EXECUTION COPY
RESIDENTIAL ACCREDIT LOANS, INC.,
Company,
RESIDENTIAL FUNDING CORPORATION,
Master Servicer,
and
BANKERS TRUST COMPANY,
Trustee
POOLING AND SERVICING AGREEMENT
Dated as of August 1, 1998
Mortgage Asset-Backed Pass-Through Certificates
Series 1998-QS11
This is a Pooling and Servicing Agreement, dated as of August 1, 1998,
among RESIDENTIAL ACCREDIT LOANS, INC., as the company (together with its
permitted successors and assigns, the "Company"), RESIDENTIAL FUNDING
CORPORATION, as master servicer (together with its permitted successors and
assigns, the "Master Servicer"), and BANKERS TRUST COMPANY, as Trustee (together
with its permitted successors and assigns, the "Trustee").
PRELIMINARY STATEMENT:
The Company intends to sell mortgage pass-through certificates
(collectively, the "Certificates"), to be issued hereunder in multiple classes,
which in the aggregate will evidence the entire beneficial ownership interest in
the Mortgage Loans (as defined herein). As provided herein, the Master Servicer
will make an election to treat the entire segregated pool of assets described in
the definition of Trust Fund herein, and subject to this Agreement (including
the Mortgage Loans but excluding the Initial Monthly Payment Fund), as a real
estate mortgage investment conduit (a "REMIC") for federal income tax purposes.
The Class A-1, Class A-2, Class A-3, Class A-4, Class A-5, Class A-6, Class A-7,
Class A-8, Class A-9, Class A-10, Class M-1, Class M-2, Class M-3, Class B-1,
Class B-2 and Class B-3 Certificates and the Uncertificated REMIC Regular
Interests (as defined herein), the rights in and to which will be initially
represented by the Class A-11 Certificates, will be "regular interests" in the
REMIC, and the Class R Certificates will be the sole class of "residual
interests" therein for purposes of the REMIC Provisions (as defined herein)
under federal income tax law.
The following table sets forth the designation, type, Pass-Through Rate,
aggregate Initial Certificate Principal Balance, Maturity Date, initial ratings
and certain features for each Class of Certificates comprising the interests in
the Trust Fund created hereunder.
Designation Pass-ThrougAggregate Initial Features Maturity Standard Fitch
Rate Certificate Date & Poor's IBCA
Principal
Balance
Class A-1 6.75% $ 112,117,000 Senior August 25, 2028 AAA AAA
Class A-2 6.75% $ 47,967,000 Senior August 25, 2028 AAA AAA
Class A-3 6.75% $ 67,521,000 Senior August 25, 2028 AAA AAA
Class A-4 6.75% $ 30,346,000 Senior August 25, 2028 AAA AAA
Class A-5 6.75% $ 45,610,000 Senior August 25, 2028 AAA AAA
Class A-6 6.75% $ 28,628,000 Senior August 25, 2028 AAA AAA
Class A-7 Adjustable $ate 16,219,000 Floater/Senior August 25, 2028 AAA AAA
Class A-8 Adjustable $ate 5,046,000 Inverse Floater/Senior August 25, 2028AAAr AAA
Class A-9 6.75% $ 96,429,000 Lockout/Senior August 25, 2028 AAA AAA
Class A-10 0.00% $ 62,872.89 Principal Only/Senior August 25, 2028AAAr AAA
Class X-00 Xxxxxxxx Xxxx 0 Xxxxxxxx Xxxxx/XxxxxxxxXxxxxx 00,x0000XXXx AAA
Class R 6.75% $ 100 Residual/Senior August 25, 2028 AAA AAA
Class M-1 6.75% $ 13,198,800 Xxxxxxxxx Xxxxxx 00, 0000 X/X XX
Class M-2 6.75% $ 6,000,000 Mezzanine August 25, 2028 N/A A
Class M-3 6.75% $ 4,799,500 Mezzanine August 25, 2028 N/A BBB
Class B-1 6.75% $ 2,639,600 Subordinate August 25, 2028 N/A BB
Class B-2 6.75% $ 1,439,500 Subordinate August 25, 2028 N/A B
Class B-3 6.75% $ 1,919,815.88 Subordinate August 25, 2028 N/A N/A
The Mortgage Loans have an aggregate Cut-off Date Principal Balance equal
to $479,943,188.77. The Mortgage Loans are fixed-rate first lien mortgage loans
having terms to maturity at origination or modification of not more than 30
years.
In consideration of the mutual agreements herein contained, the Company,
the Master Servicer and the Trustee agree as follows:
ARTICLE I
DEFINITIONS
Section 1.01. Definitions.
Whenever used in this Agreement, the following words and phrases, unless
the context otherwise requires, shall have the meanings specified in this
Article.
Accrued Certificate Interest With respect to each Distribution Date, as to
any Class A Certificate (other than the Class A-10 Certificates and Class A-11
Certificates), any Class M Certificate, any Class B Certificate or any Class R
Certificate, interest accrued during the related Interest Accrual Period at the
related Pass-Through Rate on the Certificate Principal Balance thereof
immediately prior to such Distribution Date. With respect to each Distribution
Date, as to the Class A-11 Certificates in the aggregate, interest accrued
during the related Interest Accrual Period at the related Pass-Through Rate on
the Class A-11 Notional Amount. With respect to each Distribution Date, as to
any Subclass of Class A-11 Certificates, interest accrued during the related
Interest Accrual Period at the related Pass-Through Rate on the Subclass
Notional Amount. Accrued Certificate Interest will be calculated on the basis of
a 360-day year, consisting of twelve 30-day months. In each case Accrued
Certificate Interest on any Class of Certificates will be reduced by the amount
of (i) Prepayment Interest Shortfalls (to the extent not offset by the Master
Servicer with a payment of Compensating Interest as provided in Section 4.01),
(ii) the interest portion (adjusted to the Net Mortgage Rate or the Modified Net
Mortgage Rate in the case of a Modified Mortgage Loan)) of Realized Losses
(including Excess Special Hazard Losses, Excess Fraud Losses, Excess Bankruptcy
Losses and Extraordinary Losses) not allocated solely to one or more specific
Classes of Certificates pursuant to Section 4.05, (iii) the interest portion of
Advances previously made with respect to a Mortgage Loan or REO Property which
remained unreimbursed following the Cash Liquidation or REO Disposition of such
Mortgage Loan or REO Property that were made with respect to delinquencies that
were ultimately determined to be Excess Special Hazard Losses, Excess Fraud
Losses, Excess Bankruptcy Losses or Extraordinary Losses and (iv) any other
interest shortfalls not covered by the subordination provided by the Class M
Certificates and Class B Certificates, including interest that is not
collectible from the Mortgagor pursuant to the Soldiers' and Sailors' Civil
Relief Act of 1940, as amended, or similar legislation or regulations as in
effect from time to time, with all such reductions allocated among all of the
Certificates in proportion to their respective amounts of Accrued Certificate
Interest payable on such Distribution Date which would have resulted absent such
reductions. Any portion of the reductions described in the immediately preceding
sentence that are allocated to the Class A-11 Certificates shall be allocated
among the Subclasses thereof, if any, in proportion to their respective amounts
of Accrued Certificate Interest payable on such Distribution Date which would
have resulted absent such reductions. In addition to that portion of the
reductions described in the second preceding sentence that are allocated to any
Class of Class B Certificates or any Class of Class M Certificates, Accrued
Certificate Interest on such Class of Class B Certificates or such Class of
Class M Certificates will be reduced by the interest portion (adjusted to the
Net Mortgage Rate) of Realized Losses that are allocated solely to such Class of
Class B Certificates or such Class of Class M Certificates pursuant to Section
4.05.
Addendum and Assignment Agreement: The Addendum and Assignment Agreement,
dated as of January 31, 1995, between MLCC and the Master Servicer.
Additional Collateral: With respect to any Mortgage 100SM Loan, the
marketable securities held from time to time as security for the repayment of
such Mortgage 100SM Loan and any related collateral. With respect to any Parent
PowerSM Loan, the third-party guarantee for such Parent PowerSM Loan, together
with (i) any marketable securities held from time to time as security for the
performance of such guarantee and any related collateral or (ii) any mortgaged
property securing the performance of such guarantee, the related home equity
line of credit loan and any related collateral.
Additional Collateral Loan: Each Mortgage Loan that is supported by
Additional Collateral.
Adjusted Mortgage Rate: With respect to any Mortgage Loan and any date of
determination, the Mortgage Rate borne by the related Mortgage Note, less the
rate at which the related Subservicing Fee accrues.
Advance: As to any Mortgage Loan, any advance made by the Master Servicer,
pursuant to Section 4.04.
Affiliate: With respect to any Person, any other Person controlling,
controlled by or under common control with such first Person. For the purposes
of this definition, "control" means the power to direct the management and
policies of such Person, directly or indirectly, whether through the ownership
of voting securities, by contract or otherwise; and the terms "controlling" and
"controlled" have meanings correlative to the foregoing.
Agreement: This Pooling and Servicing Agreement and all amendments hereof
and supplements hereto.
Amount Held for Future Distribution: As to any Distribution Date, the
total of the amounts held in the Custodial Account at the close of business on
the preceding Determination Date on account of (i) Liquidation Proceeds,
Insurance Proceeds, Principal Prepayments, Mortgage Loan purchases made pursuant
to Section 2.02, 2.03, 2.04 or 4.07 and Mortgage Loan substitutions made
pursuant to Section 2.03 or 2.04 received or made in the month of such
Distribution Date (other than such Liquidation Proceeds, Insurance Proceeds and
purchases of Mortgage Loans that the Master Servicer has deemed to have been
received in the preceding month in accordance with Section 3.07(b)) and (ii)
payments which represent early receipt of scheduled payments of principal and
interest due on a date or dates subsequent to the related Due Date.
Appraised Value: As to any Mortgaged Property, the lesser of (i) the
appraised value of such Mortgaged Property based upon the appraisal made at the
time of the origination of the related Mortgage Loan, and (ii) the sales price
of the Mortgaged Property at such time of origination, except in the case of a
Mortgaged Property securing a refinanced or modified Mortgage Loan as to which
it is either the appraised value determined above or the appraised value
determined in an appraisal at the time of refinancing or modification, as the
case may be.
Assignment: An assignment of the Mortgage, notice of transfer or
equivalent instrument, in recordable form, sufficient under the laws of the
jurisdiction wherein the related Mortgaged Property is located to reflect of
record the sale of the Mortgage Loan to the Trustee for the benefit of
Certificateholders, which assignment, notice of transfer or equivalent
instrument may be in the form of one or more blanket assignments covering
Mortgages secured by Mortgaged Properties located in the same county, if
permitted by law and accompanied by an Opinion of Counsel to that effect.
Assignment Agreement: The Assignment and Assumption Agreement, dated August
31, 1998, between Residential Funding and the Company relating to the transfer
and assignment of the Mortgage Loans.
Assignment of Proprietary Lease: With respect to a Cooperative Loan, the
assignment of the related Cooperative Lease from the Mortgagor to the originator
of the Cooperative Loan.
Available Distribution Amount: As to any Distribution Date, an amount
equal to (a) the sum of (i) the amount relating to the Mortgage Loans on deposit
in the Custodial Account as of the close of business on the immediately
preceding Determination Date and amounts deposited in the Custodial Account in
connection with the substitution of Qualified Substitute Mortgage Loans, (ii)
the amount of any Advance made on the immediately preceding Certificate Account
Deposit Date, (iii) any amount deposited in the Certificate Account on the
related Certificate Account Deposit Date pursuant to the second paragraph of
Section 3.12(a), (iv) any amount deposited in the Certificate Account pursuant
to Section 4.07, (v) any amount that the Master Servicer is not permitted to
withdraw from the Custodial Account or the Certificate Account pursuant to
Section 3.16(e) and (vi) any amount received by the Trustee pursuant to the
Surety Bond in respect of such Distribution Date, reduced by (b) the sum as of
the close of business on the immediately preceding Determination Date of (w)
aggregate Foreclosure Profits, (x) the Amount Held for Future Distribution, and
(y) amounts permitted to be withdrawn by the Master Servicer from the Custodial
Account in respect of the Mortgage Loans pursuant to clauses (ii)-(x),
inclusive, of Section 3.10(a).
Bankruptcy Amount: As of any date of determination prior to the first
anniversary of the Cut-off Date, an amount equal to the excess, if any, of (A)
$158,290 over (B) the aggregate amount of Bankruptcy Losses allocated solely to
one or more specific Classes of Certificates in accordance with Section 4.05. As
of any date of determination on or after the first anniversary of the Cut-off
Date, an amount equal to the excess, if any, of (1) the lesser of (a) the
Bankruptcy Amount calculated as of the close of business on the Business Day
immediately preceding the most recent anniversary of the Cut-off Date coinciding
with or preceding such date of determination (or, if such date of determination
is an anniversary of the Cut-off Date, the Business Day immediately preceding
such date of determination) (for purposes of this definition, the "Relevant
Anniversary") and (b) the greater of
(A) the greater of (i) 0.0006 times the aggregate principal balance
of all the Mortgage Loans in the Mortgage Pool as of the Relevant
Anniversary (other than Additional Collateral Loans) having a
Loan-to-Value Ratio at origination which exceeds 75% and (ii) $100,000;
and (B) the greater of (i) the product of (x) an amount equal to the
largest difference in the related Monthly Payment for any Non-Primary
Residence Loan remaining in the Mortgage Pool (other than Additional
Collateral Loans) which had an original Loan-to-Value Ratio of 80% or
greater that would result if the Net Mortgage Rate thereof was equal to
the weighted average (based on the principal balance of the Mortgage Loans
as of the Relevant Anniversary) of the Net Mortgage Rates of all Mortgage
Loans as of the Relevant Anniversary less 1.25% per annum, (y) a number
equal to the weighted average remaining term to maturity, in months, of
all Non-Primary Residence Loans remaining in the Mortgage Pool as of the
Relevant Anniversary, and (z) one plus the quotient of the number of all
Non-Primary Residence Loans remaining in the Mortgage Pool divided by the
total number of Outstanding Mortgage Loans in the Mortgage Pool as of the
Relevant Anniversary, and (ii) $50,000,
over (2) the aggregate amount of Bankruptcy Losses allocated solely to one or
more specific Classes of Certificates in accordance with Section 4.05 since the
Relevant Anniversary.
The Bankruptcy Amount may be further reduced by the Master Servicer
(including accelerating the manner in which such coverage is reduced) provided
that prior to any such reduction, the Master Servicer shall (i) obtain written
confirmation from each Rating Agency that such reduction shall not reduce the
rating assigned to any Class of Certificates by such Rating Agency below the
lower of the then-current rating or the rating assigned to such Certificates as
of the Closing Date by such Rating Agency and (ii) provide a copy of such
written confirmation to the Trustee.
Bankruptcy Code: The Bankruptcy Code of 1978, as amended.
Bankruptcy Loss: With respect to any Mortgage Loan, a Deficient Valuation
or Debt Service Reduction; provided, however, that neither a Deficient Valuation
nor a Debt Service Reduction shall be deemed a Bankruptcy Loss hereunder so long
as the Master Servicer has notified the Trustee in writing that the Master
Servicer is diligently pursuing any remedies that may exist in connection with
the representations and warranties made regarding the related Mortgage Loan and
either (A) the related Mortgage Loan is not in default with regard to payments
due thereunder or (B) delinquent payments of principal and interest under the
related Mortgage Loan and any premiums on any applicable primary hazard
insurance policy and any related escrow payments in respect of such Mortgage
Loan are being advanced on a current basis by the Master Servicer or a
Subservicer, in either case without giving effect to any Debt Service Reduction.
Book-Entry Certificate: Any Certificate registered in the name of the
Depository or its nominee.
Business Day: Any day other than (i) a Saturday or a Sunday or (ii) a day
on which banking institutions in the State of New York, the State of Michigan,
the State of California or the State of Illinois (and such other state or states
in which the Custodial Account or the Certificate Account are at the time
located) are required or authorized by law or executive order to be closed.
Buydown Funds: Any amount contributed by the seller of a Mortgaged
Property, the Company or other source in order to enable the Mortgagor to reduce
the payments required to be made from the Mortgagor's funds in the early years
of a Mortgage Loan. Buydown Funds are not part of the Trust Fund prior to
deposit into the Custodial or Certificate Account.
Buydown Mortgage Loan: Any Mortgage Loan as to which a specified amount of
interest is paid out of related Buydown Funds in accordance with a related
buydown agreement.
Cash Liquidation: As to any defaulted Mortgage Loan other than a Mortgage
Loan as to which an REO Acquisition occurred, a determination by the Master
Servicer that it has received all Insurance Proceeds, Liquidation Proceeds and
other payments or cash recoveries which the Master Servicer reasonably and in
good faith expects to be finally recoverable with respect to such Mortgage Loan.
Certificate: Any Class A Certificate, Class M Certificate, Class B
Certificate or Class R Certificate.
Certificate Account: The separate account or accounts created and
maintained pursuant to Section 4.01, which shall be entitled "Bankers Trust
Company, as trustee, in trust for the registered holders of Residential Accredit
Loans, Inc., Mortgage Asset-Backed Pass-Through Certificates, Series 1998-QS11"
and which must be an Eligible Account.
Certificate Account Deposit Date: As to any Distribution Date, the Business
Day prior thereto.
Certificateholder or Holder: The Person in whose name a Certificate is
registered in the Certificate Register, except that neither a Disqualified
Organization nor a Non-United States Person shall be a holder of a Class R
Certificate for purposes hereof and, solely for the purpose of giving any
consent or direction pursuant to this Agreement, any Certificate, other than a
Class R Certificate, registered in the name of the Company, the Master Servicer
or any Subservicer or any Affiliate thereof shall be deemed not to be
outstanding and the Percentage Interest or Voting Rights evidenced thereby shall
not be taken into account in determining whether the requisite amount of
Percentage Interests or Voting Rights necessary to effect any such consent or
direction has been obtained. All references herein to "Holders" or
"Certificateholders" shall reflect the rights of Certificate Owners as they may
indirectly exercise such rights through the Depository and participating members
thereof, except as otherwise specified herein; provided, however, that the
Trustee shall be required to recognize as a "Holder" or "Certificateholder" only
the Person in whose name a Certificate is registered in the Certificate
Register.
Certificate Owner: With respect to a Book-Entry Certificate, the Person who
is the beneficial owner of such Certificate, as reflected on the books of an
indirect participating brokerage firm for which a Depository Participant acts as
agent, if any, and otherwise on the books of a Depository Participant, if any,
and otherwise on the books of the Depository.
Certificate Principal Balance: With respect to each Class A Certificate
(other than any Class A-11 Certificate) and Class R Certificate, on any date of
determination, an amount equal to (i) the Initial Certificate Principal Balance
of such Certificate as specified on the face thereof, minus (ii) the sum of (x)
the aggregate of all amounts previously distributed with respect to such
Certificate (or any predecessor Certificate) and applied to reduce the
Certificate Principal Balance thereof pursuant to Section 4.02(a) and (y) the
aggregate of all reductions in Certificate Principal Balance deemed to have
occurred in connection with Realized Losses which were previously allocated to
such Certificate (or any predecessor Certificate) pursuant to Section 4.05. With
respect to each Class M Certificate, on any date of determination, an amount
equal to (i) the Initial Certificate Principal Balance of such Class M
Certificate as specified on the face thereof, minus (ii) the sum of (x) the
aggregate of all amounts previously distributed with respect to such Certificate
(or any predecessor Certificate) and applied to reduce the Certificate Principal
Balance thereof pursuant to Section 4.02(a) and (y) the aggregate of all
reductions in Certificate Principal Balance deemed to have occurred in
connection with Realized Losses which were previously allocated to such
Certificate (or any predecessor Certificate) pursuant to Section 4.05; provided,
that if the Certificate Principal Balances of the Class B Certificates have been
reduced to zero, the Certificate Principal Balance of each Class M Certificate
of those Class M Certificates outstanding with the highest numerical designation
at any given time shall thereafter be calculated to equal the Percentage
Interest evidenced by such Certificate times the excess, if any, of (A) the then
aggregate Stated Principal Balance of the Mortgage Loans over (B) the then
aggregate Certificate Principal Balance of all other Classes of Certificates
then outstanding. With respect to each Class B Certificate, on any date of
determination, an amount equal to (i) the Initial Certificate Principal Balance
of such Class B Certificate as specified on the face thereof, minus (ii) the sum
of (x) the aggregate of all amounts previously distributed with respect to such
Certificate (or any predecessor Certificate) and applied to reduce the
Certificate Principal Balance thereof pursuant to Section 4.02(a) and (y) the
aggregate of all reductions in Certificate Principal Balance deemed to have
occurred in connection with Realized Losses which were previously allocated to
such Certificate (or any predecessor Certificate) pursuant to Section 4.05;
provided, that the Certificate Principal Balance of each Class B Certificate of
those Class B Certificates outstanding with the highest numerical designation at
any given time shall be calculated to equal the Percentage Interest evidenced by
such Certificate times the excess, if any, of (A) the then aggregate Stated
Principal Balance of the Mortgage Loans over (B) the then aggregate Certificate
Principal Balance of all other Classes of Certificates then outstanding. The
Class A-11 Certificates will have no Certificate Principal Balance.
Certificate Register and Certificate Registrar: The register maintained and
the registrar appointed pursuant to Section 5.02.
Class: Collectively, all of the Certificates bearing the same designation.
The initial Class A-11 Certificates and any Subclass thereof issued pursuant to
Section 5.01(c) shall be a single Class for purposes of this Agreement.
Class A Certificate: Any one of the Class X-0, Xxxxx X-0, Class A-3, Class
A-4, Class A-5, Class A-6, Class A-7, Class A-8, Class A-9, Class A-10 or Class
A-11 Certificates, executed by the Trustee and authenticated by the Certificate
Registrar substantially in the form annexed hereto as Exhibit A, each such
Certificate (other than the Class A-11 Certificates) evidencing an interest
designated as a "regular interest" in the REMIC for purposes of the REMIC
Provisions. The Class A-11 Certificates will represent the entire beneficial
ownership interest in the Uncertificated REMIC Regular Interests. On and after
the date of issuance of any Subclass of Class A-11 Certificates pursuant to
Section 5.01(c), any such Subclass will represent the Uncertificated REMIC
Regular Interest or Interests specified by the initial Holder of the Class A-11
Certificates pursuant to said Section.
Class A-10 Collection Shortfall: With respect to the Cash Liquidation or
REO Disposition of a Discount Mortgage Loan and any Distribution Date, the
excess of the amount described in Section 4.02(b)(i)(C)(1) over the amount
described in Section 4.02(b)(i)(C)(2).
Class A-10 Principal Distribution Amount: As defined in Section 4.02(b)(i).
Class A-11 Certificates: The Class A Certificates designated as Class A-11
Certificates, including any Subclass thereof.
Class A-11 Notional Amount: As of any Distribution Date, with respect to
the Class A-11 Certificates, the aggregate Stated Principal Balance of the
Mortgage Loans immediately prior to such Distribution Date.
Class B Certificate: Any one of the Class B-1 Certificates, Class B-2
Certificates or Class B-3 Certificates executed by the Trustee and authenticated
by the Certificate Registrar substantially in the form annexed hereto as Exhibit
C and evidencing an interest designated as a "regular interest" in the REMIC for
purposes of the REMIC Provisions.
Class B Percentage: The Class B-1 Percentage, Class B-2 Percentage and
Class B-3 Percentage.
Class B-1 Percentage: With respect to any Distribution Date, a fraction,
expressed as a percentage, the numerator of which is the aggregate Certificate
Principal Balance of the Class B-1 Certificates immediately prior to such date
and the denominator of which is the aggregate Stated Principal Balance of all of
the Mortgage Loans (or related REO Properties) (other than the related Discount
Fraction of each Discount Mortgage Loan) immediately prior to such Distribution
Date.
Class B-1 Prepayment Distribution Trigger: With respect to any Distribution
Date, a test that shall be satisfied if the fraction (expressed as a percentage)
equal to the sum of the Certificate Principal Balances of the Class B-1
Certificates, Class B-2 Certificates and Class B-3 Certificates immediately
prior to such Distribution Date divided by the aggregate Stated Principal
Balance of all of the Mortgage Loans (or related REO Properties) immediately
prior to such Distribution Date is greater than or equal to 1.25%.
Class B-2 Percentage: With respect to any Distribution Date, a fraction,
expressed as a percentage, the numerator of which is the aggregate Certificate
Principal Balance of the Class B-2 Certificates immediately prior to such date
and the denominator of which is the aggregate Stated Principal Balance of all of
the Mortgage Loans (or related REO Properties) (other than the related Discount
Fraction of each Discount Mortgage Loan) immediately prior to such Distribution
Date.
Class B-2 Prepayment Distribution Trigger: With respect to any Distribution
Date, a test that shall be satisfied if the fraction (expressed as a percentage)
equal to the sum of the Certificate Principal Balances of the Class B-2
Certificates and Class B-3 Certificates immediately prior to such Distribution
Date divided by the aggregate Stated Principal Balance of all of the Mortgage
Loans (or related REO Properties) immediately prior to such Distribution Date is
greater than or equal to 0.70%.
Class B-3 Percentage: With respect to any Distribution Date, a fraction
expressed as a percentage, the numerator of which is the aggregate Certificate
Principal Balance of the Class B-3 Certificates immediately prior to such date
and the denominator of which is the aggregate Stated Principal Balance of all
the Mortgage Loans (or related REO Properties) (other than the related Discount
Fraction of each Discount Mortgage Loan) immediately prior to such Distribution
Date.
Class B-3 Prepayment Distribution Trigger: With respect to any Distribution
Date, a test that shall be satisfied if the fraction (expressed as a percentage)
equal to the sum of the Certificate Principal Balances of the Class B-3
Certificates immediately prior to such Distribution Date divided by the
aggregate Stated Principal Balance of all of the Mortgage Loans (or related REO
Properties) immediately prior to such Distribution Date is greater than or equal
to 0.40%.
Class M Certificate: Any one of the Class M-1 Certificates, Class M-2
Certificates or Class M-3 Certificates executed by the Trustee and authenticated
by the Certificate Registrar substantially in the form annexed hereto as Exhibit
B and evidencing an interest designated as a "regular interest" in the REMIC for
purposes of the REMIC Provisions.
Class M Percentage: The Class M-1 Percentage, Class M-2 Percentage and
Class M-3 Percentage.
Class M-1 Percentage: With respect to any Distribution Date, a fraction,
expressed as a percentage, the numerator of which is the aggregate Certificate
Principal Balance of the Class M-1 Certificates immediately prior to such date
and the denominator of which is the aggregate Stated Principal Balance of all of
the Mortgage Loans (or related REO Properties) (other than the related Discount
Fraction of each Discount Mortgage Loan) immediately prior to such Distribution
Date.
Class M-2 Percentage: With respect to any Distribution Date, a fraction,
expressed as a percentage, the numerator of which is the aggregate Certificate
Principal Balance of the Class M-2 Certificates immediately prior to such date
and the denominator of which is the aggregate Stated Principal Balance of all of
the Mortgage Loans (or related REO Properties) (other than the related Discount
Fraction of each Discount Mortgage Loan) immediately prior to such Distribution
Date.
Class M-2 Prepayment Distribution Trigger: With respect to any
Distribution Date, a test that shall be satisfied if the fraction (expressed as
a percentage) equal to the sum of the Certificate Principal Balances of the
Class M-2 Certificates, Class M-3 Certificates, Class B-1 Certificates, Class
B-2 Certificates and Class B-3 Certificates immediately prior to such
Distribution Date divided by the aggregate Stated Principal Balance of all of
the Mortgage Loans (or related REO Properties) immediately prior to such
Distribution Date is greater than or equal to 3.50%.
Class M-3 Percentage: With respect to any Distribution Date, a fraction,
expressed as a percentage, the numerator of which is the aggregate Certificate
Principal Balance of the Class M-3 Certificates immediately prior to such date
and the denominator of which is the aggregate Stated Principal Balance of all of
the Mortgage Loans (or related REO Properties) (other than the related Discount
Fraction of each Discount Mortgage Loan) immediately prior to such Distribution
Date.
Class M-3 Prepayment Distribution Trigger: With respect to any
Distribution Date, a test that shall be satisfied if the fraction (expressed as
a percentage) equal to the sum of the Certificate Principal Balances of the
Class M-3 Certificates, Class B-1 Certificates, Class B-2 Certificates and Class
B-3 Certificates immediately prior to such Distribution Date divided by the
aggregate Stated Principal Balance of all of the Mortgage Loans (or related REO
Properties) immediately prior to such Distribution Date is greater than or equal
to 2.25%.
Class R Certificate: Any one of the Class R Certificates executed by the
Trustee and authenticated by the Certificate Registrar substantially in the form
annexed hereto as Exhibit D and evidencing an interest designated as a "residual
interest" in the REMIC for purposes of the REMIC Provisions.
Closing Date: August 31, 1998.
Code: The Internal Revenue Code of 1986.
Compensating Interest: With respect to any Distribution Date, an amount
equal to Prepayment Interest Shortfalls resulting from Principal Prepayments in
Full during the related Prepayment Period, but not more than the lesser of (a)
one-twelfth of 0.125% of the Stated Principal Balance of the Mortgage Loans
immediately preceding such Distribution Date and (b) the sum of the Servicing
Fee, all income and gain on amounts held in the Custodial Account and the
Certificate Account and payable to the Certificateholders with respect to such
Distribution Date and servicing compensation to which the Master Servicer may be
entitled pursuant to Section 3.10(a)(v) and (vi); provided that for purposes of
this definition the amount of the Servicing Fee will not be reduced pursuant to
Section 7.02 except as may be required pursuant to the last sentence of such
Section.
Cooperative: A private, cooperative housing corporation organized under the
laws of, and headquartered in, the State of New York which owns or leases land
and all or part of a building or buildings located in the State of New York,
including apartments, spaces used for commercial purposes and common areas
therein and whose board of directors authorizes, among other things, the sale of
Cooperative Stock.
Cooperative Apartment: A dwelling unit in a multi-dwelling building owned
or leased by a Cooperative, which unit the Mortgagor has an exclusive right to
occupy pursuant to the terms of a proprietary lease or occupancy agreement.
Cooperative Lease: With respect to a Cooperative Loan, the proprietary
lease or occupancy agreement with respect to the Cooperative Apartment occupied
by the Mortgagor and relating to the related Cooperative Stock, which lease or
agreement confers an exclusive right to the holder of such Cooperative Stock to
occupy such apartment.
Cooperative Loans: Any of the Mortgage Loans made in respect of a
Cooperative Apartment, evidenced by a Mortgage Note and secured by (i) a
Security Agreement, (ii) the related Cooperative Stock Certificate, (iii) an
assignment of the Cooperative Lease, (iv) financing statements and (v) a stock
power (or other similar instrument), and ancillary thereto, a recognition
agreement between the Cooperative and the originator of the Cooperative Loan,
each of which was transferred and assigned to the Trustee pursuant to Section
2.01 and are from time to time held as part of the Trust Fund.
Cooperative Stock: With respect to a Cooperative Loan, the single
outstanding class of stock, partnership interest or other ownership instrument
in the related Cooperative.
Cooperative Stock Certificate: With respect to a Cooperative Loan, the
stock certificate or other instrument evidencing the related Cooperative Stock.
Corporate Trust Office: The principal office of the Trustee at which at any
particular time its corporate trust business with respect to this Agreement
shall be administered, which office at the date of the execution of this
instrument is located at Four Xxxxxx Xxxxxx, Xxx Xxxx, Xxx Xxxx 00000,
Attention: Residential Funding Corporation Series 1998-QS11.
Credit Support Depletion Date: The first Distribution Date on which the
Certificate Principal Balances of the Class M Certificates and Class B
Certificates have been reduced to zero.
Curtailment: Any Principal Prepayment made by a Mortgagor which is not a
Principal Prepayment in Full.
Custodial Account: The custodial account or accounts created and maintained
pursuant to Section 3.07 in the name of a depository institution, as custodian
for the holders of the Certificates, for the holders of certain other interests
in mortgage loans serviced or sold by the Master Servicer and for the Master
Servicer, into which the amounts set forth in Section 3.07 shall be deposited
directly. Any such account or accounts shall be an Eligible Account.
Custodial Agreement: An agreement that may be entered into among the
Company, the Master Servicer, the Trustee and a Custodian in substantially the
form of Exhibit E hereto.
Custodian: A custodian appointed pursuant to a Custodial Agreement.
Cut-off Date: August 1, 1998.
Cut-off Date Principal Balance: As to any Mortgage Loan, the unpaid
principal balance thereof at the Cut-off Date after giving effect to all
installments of principal due on or prior thereto, whether or not received.
Debt Service Reduction: With respect to any Mortgage Loan, a reduction in
the scheduled Monthly Payment for such Mortgage Loan by a court of competent
jurisdiction in a proceeding under the Bankruptcy Code, except such a reduction
constituting a Deficient Valuation or any reduction that results in a permanent
forgiveness of principal.
Deficient Valuation: With respect to any Mortgage Loan, a valuation by a
court of competent jurisdiction of the Mortgaged Property in an amount less than
the then outstanding indebtedness under the Mortgage Loan, or any reduction in
the amount of principal to be paid in connection with any scheduled Monthly
Payment that constitutes a permanent forgiveness of principal, which valuation
or reduction results from a proceeding under the Bankruptcy Code.
Definitive Certificate: Any definitive, fully registered Certificate.
Deleted Mortgage Loan: A Mortgage Loan replaced or to be replaced with a
Qualified Substitute Mortgage Loan.
Depository: The Depository Trust Company, or any successor Depository
hereafter named. The nominee of the initial Depository for purposes of
registering those Certificates that are to be Book-Entry Certificates is Cede &
Co. The Depository shall at all times be a "clearing corporation" as defined in
Section 8-102(a)(5) of the Uniform Commercial Code of the State of New York and
a "clearing agency" registered pursuant to the provisions of Section 17A of the
Securities Exchange Act of 1934, as amended.
Depository Participant: A broker, dealer, bank or other financial
institution or other Person for whom from time to time a Depository effects
book-entry transfers and pledges of securities deposited with the Depository.
Destroyed Mortgage Note: A Mortgage Note the original of which was
permanently lost or destroyed and has not been replaced.
Determination Date: With respect to any Distribution Date, the 20th day (or
if such 20th day is not a Business Day, the Business Day immediately following
such 20th day) of the month of the related Distribution Date.
Discount Fraction: With respect to each Discount Mortgage Loan, the
fraction expressed as a percentage, the numerator of which is 6.75% minus the
Net Mortgage Rate (or the initial Net Mortgage Rate with respect to any Discount
Mortgage Loans as to which the Mortgage Rate is modified pursuant to 3.07(a))
for such Mortgage Loan and the denominator of which is 6.75%. The Discount
Fraction with respect to each Discount Mortgage Loan is set forth on Exhibit P
attached hereto.
Discount Mortgage Loan: Any Mortgage Loan having a Net Mortgage Rate (or
the initial Net Mortgage Rate) of less than 6.75% per annum and any Mortgage
Loan deemed to be a Discount Mortgage Loan pursuant to the definition of
Qualified Substitute Mortgage Loan.
Disqualified Organization: Any organization defined as a "disqualified
organization" under Section 860E(e)(5) of the Code, which includes any of the
following: (i) the United States, any State or political subdivision thereof,
any possession of the United States, or any agency or instrumentality of any of
the foregoing (other than an instrumentality which is a corporation if all of
its activities are subject to tax and, except for the FHLMC, a majority of its
board of directors is not selected by such governmental unit), (ii) a foreign
government, any international organization, or any agency or instrumentality of
any of the foregoing, (iii) any organization (other than certain farmers'
cooperatives described in Section 521 of the Code) which is exempt from the tax
imposed by Chapter 1 of the Code (including the tax imposed by Section 511 of
the Code on unrelated business taxable income), (iv) rural electric and
telephone cooperatives described in Section 1381(a)(2)(C) of the Code. A
Disqualified Organization also includes any "electing large partnership," as
defined in Section 775(a) of the Code and any other Person so designated by the
Trustee based upon an Opinion of Counsel that the holding of an Ownership
Interest in a Class R Certificate by such Person may cause the Trust Fund or any
Person having an Ownership Interest in any Class of Certificates (other than
such Person) to incur a liability for any federal tax imposed under the Code
that would not otherwise be imposed but for the Transfer of an Ownership
Interest in a Class R Certificate to such Person. The terms "United States",
"State" and "international organization" shall have the meanings set forth in
Section 7701 of the Code or successor provisions.
Distribution Date: The 25th day of any month beginning in the month
immediately following the month of the initial issuance of the Certificates or,
if such 25th day is not a Business Day, the Business Day immediately following
such 25th day.
Due Date: With respect to any Distribution Date, the first day of the month
in which such Distribution Date occurs.
Due Period: With respect to any Distribution Date, the period commencing on
the second day of the month preceding the month of such Distribution Date and
ending on the related Due Date.
Eligible Account: An account that is any of the following: (i) maintained
with a depository institution the debt obligations of which have been rated by
each Rating Agency in its highest rating available, or (ii) an account or
accounts in a depository institution in which such accounts are fully insured to
the limits established by the FDIC, provided that any deposits not so insured
shall, to the extent acceptable to each Rating Agency, as evidenced in writing,
be maintained such that (as evidenced by an Opinion of Counsel delivered to the
Trustee and each Rating Agency) the registered Holders of Certificates have a
claim with respect to the funds in such account or a perfected first security
interest against any collateral (which shall be limited to Permitted
Investments) securing such funds that is superior to claims of any other
depositors or creditors of the depository institution with which such account is
maintained, or (iii) in the case of the Custodial Account, either (A) a trust
account or accounts maintained in the corporate trust department of The First
National Bank of Chicago or (B) an account or accounts maintained in the
corporate asset services department of The First National Bank of Chicago, as
long as its short term debt obligations are rated P-1 (or the equivalent) or
better by each Rating Agency and its long term debt obligations are rated A2 (or
the equivalent) or better, by each Rating Agency, or (iv) in the case of the
Certificate Account, a trust account or accounts maintained in the corporate
trust division of Bankers Trust Company, or (v) an account or accounts of a
depository institution acceptable to each Rating Agency (as evidenced in writing
by each Rating Agency that use of any such account as the Custodial Account or
the Certificate Account will not reduce the rating assigned to any Class of
Certificates by such Rating Agency below the lower of the then-current rating or
the rating assigned to such Certificates as of the Closing Date by such Rating
Agency).
Eligible Funds: On any Distribution Date, the portion, if any, of the
Available Distribution Amount remaining after reduction by the sum of (I) the
aggregate amount of Accrued Certificate Interest on the Class A Certificates and
Class R Certificates, (ii) the Senior Principal Distribution Amount (determined
without regard to Section 4.02(a)(ii)(Y)(D) hereof), (iii) the Class A-10
Principal Distribution Amount (determined without regard to Section
4.02(b)(i)(E) hereof) and (iv) the aggregate amount of Accrued Certificate
Interest on the Class M, Class B-1 and Class B-2 Certificates.
Event of Default: As defined in Section 7.01.
Excess Bankruptcy Loss: Any Bankruptcy Loss, or portion thereof, which
exceeds the then applicable Bankruptcy Amount.
Excess Fraud Loss: Any Fraud Loss, or portion thereof, which exceeds the
then applicable Fraud Loss Amount.
Excess Special Hazard Loss: Any Special Hazard Loss, or portion thereof,
that exceeds the then applicable Special Hazard Amount.
Excess Subordinate Principal Amount: With respect to any Distribution Date
on which the Certificate Principal Balance of the most subordinate class or
classes of Certificates (as established in Section 4.05 hereof) then outstanding
is to be reduced to zero and on which Realized Losses are to be allocated to
such class or classes, the excess, if any, of (i) the amount that would
otherwise be distributable in respect of principal on such class or classes of
Certificates on such Distribution Date over (ii) the excess, if any, of the
Certificate Principal Balance of such class or classes of Certificates
immediately prior to such Distribution Date over the aggregate amount of
Realized Losses to be allocated to such classes of Certificates on such
Distribution Date as reduced by any amount calculated pursuant to Section
4.02(b)(i)(E).
Extraordinary Events: Any of the following conditions with respect to a
Mortgaged Property (or, with respect to a Cooperative Loan, the Cooperative
Apartment) or Mortgage Loan causing or resulting in a loss which causes the
liquidation of such Mortgage Loan:
losses that are of the type that would be covered by the fidelity
bond and the errors and omissions insurance policy required to be maintained
pursuant to Section 3.12(b) but are in excess of the coverage maintained
thereunder;
nuclear reaction or nuclear radiation or radioactive contamination,
all whether controlled or uncontrolled, and whether such loss be direct or
indirect, proximate or remote or be in whole or in part caused by, contributed
to or aggravated by a peril covered by the definition of the term "Special
Hazard Loss";
hostile or warlike action in time of peace or war, including action
in hindering, combatting or defending against an actual, impending or expected
attack:
by any government or sovereign power, de jure or de facto, or by any
authority maintaining or using military, naval or air forces; or
by military, naval or air forces; or
by an agent of any such government, power, authority or forces;
any weapon of war employing atomic fission or radioactive force whether in
time of peace or war; or
insurrection, rebellion, revolution, civil war, usurped power or action
taken by governmental authority in hindering, combatting or defending against
such an occurrence, seizure or destruction under quarantine or customs
regulations, confiscation by order of any government or public authority; or
risks of contraband or illegal transportation or trade.
Extraordinary Losses: Any loss incurred on a Mortgage Loan caused by or
resulting from an Extraordinary Event.
FASIT: A "financial asset securitization investment trust" within the
meaning of Section 860L of the Code.
FDIC: Federal Deposit Insurance Corporation or any successor thereto.
FHLMC: Federal Home Loan Mortgage Corporation, a corporate instrumentality
of the United States created and existing under Title III of the Emergency Home
Finance Act of 1970, as amended, or any successor thereto.
Final Distribution Date: The Distribution Date on which the final
distribution in respect of the Certificates will be made pursuant to Section
9.01, which Final Distribution Date shall in no event be later than the end of
the 90-day liquidation period described in Section 9.02.
Fitch IBCA: Fitch IBCA, Inc. or its successor in interest.
FNMA: Federal National Mortgage Association, a federally chartered and
privately owned corporation organized and existing under the Federal National
Mortgage Association Charter Act, or any successor thereto.
Foreclosure Profits: As to any Distribution Date or related Determination
Date and any Mortgage Loan, the excess, if any, of Liquidation Proceeds,
Insurance Proceeds and REO Proceeds (net of all amounts reimbursable therefrom
pursuant to Section 3.10(a)(ii)) in respect of each Mortgage Loan or REO
Property for which a Cash Liquidation or REO Disposition occurred in the related
Prepayment Period over the sum of the unpaid principal balance of such Mortgage
Loan or REO Property (determined, in the case of an REO Disposition, in
accordance with Section 3.14) plus accrued and unpaid interest at the Mortgage
Rate on such unpaid principal balance from the Due Date to which interest was
last paid by the Mortgagor to the first day of the month following the month in
which such Cash Liquidation or REO Disposition occurred.
Fraud Loss Amount: As of any date of determination after the Cut-off Date,
an amount equal to: (X) prior to the first anniversary of the Cut-off Date an
amount equal to 2.00% of the aggregate outstanding principal balance of all of
the Mortgage Loans as of the Cut-off Date minus the aggregate amount of Fraud
Losses allocated solely to one or more specific Classes of Certificates in
accordance with Section 4.05 since the Cut-off Date up to such date of
determination and (Y) from the first to the fifth anniversary of the Cut-off
Date, an amount equal to (1) the lesser of (a) the Fraud Loss Amount as of the
most recent anniversary of the Cut-off Date and (b) 1.00% of the aggregate
outstanding principal balance of all of the Mortgage Loans as of the most recent
anniversary of the Cut-off Date minus (2) the aggregate amount of Fraud Losses
allocated solely to one or more specific Classes of Certificates in accordance
with Section 4.05 since the most recent anniversary of the Cut-off Date up to
such date of determination. On and after the fifth anniversary of the Cut-off
Date the Fraud Loss Amount shall be zero.
The Fraud Loss Amount may be further reduced by the Master Servicer
(including accelerating the manner in which such coverage is reduced) provided
that prior to any such reduction, the Master Servicer shall (i) obtain written
confirmation from each Rating Agency that such reduction shall not reduce the
rating assigned to any Class of Certificates by such Rating Agency below the
lower of the then-current rating or the rating assigned to such Certificates as
of the Closing Date by such Rating Agency and (ii) provide a copy of such
written confirmation to the Trustee.
Fraud Losses: Losses on Mortgage Loans as to which there was fraud in the
origination of such Mortgage Loan.
Independent: When used with respect to any specified Person, means such a
Person who (i) is in fact independent of the Company, the Master Servicer and
the Trustee, or any Affiliate thereof, (ii) does not have any direct financial
interest or any material indirect financial interest in the Company, the Master
Servicer or the Trustee or in an Affiliate thereof, and (iii) is not connected
with the Company, the Master Servicer or the Trustee as an officer, employee,
promoter, underwriter, trustee, partner, director or person performing similar
functions.
Initial Certificate Principal Balance: With respect to each Class of
Certificates, the Certificate Principal Balance of such Class of Certificates as
of the Cut-off Date as set forth in the Preliminary Statement hereto.
Initial Class X-00 Xxxxxxxx Xxxxxx: With respect to any Class A-11
Certificate, the Cut-off Date Principal Balance of the Mortgage Loans
corresponding to the Uncertificated REMIC Regular Interests represented by such
Class A-11 Certificate.
Initial Monthly Payment Fund: As defined in Section 2.01(g).
Insurance Proceeds: Proceeds paid in respect of the Mortgage Loans
pursuant to any Primary Insurance Policy or any other related insurance policy
covering a Mortgage Loan, to the extent such proceeds are payable to the
mortgagee under the Mortgage, any Subservicer, the Master Servicer or the
Trustee and are not applied to the restoration of the related Mortgaged Property
(or, with respect to a Cooperative Loan, the related Cooperative Apartment) or
released to the Mortgagor in accordance with the procedures that the Master
Servicer would follow in servicing mortgage loans held for its own account.
Insurer: Any named insurer under any Primary Insurance Policy or any
successor thereto or the named insurer in any replacement policy.
Interest Accrual Period: With respect to any Certificate and any
Distribution Date, the calendar month preceding the month in which such
Distribution Date occurs.
International Borrower: In connection with any Mortgage Loan, a borrower
who is (a) a United States citizen employed in a foreign country, (b) a
non-permanent resident alien employed in the United States or (c) a citizen of a
country other than the United States with income derived from sources outside
the United States.
Late Collections: With respect to any Mortgage Loan, all amounts received
during any Due Period, whether as late payments of Monthly Payments or as
Insurance Proceeds, Liquidation Proceeds or otherwise, which represent late
payments or collections of Monthly Payments due but delinquent for a previous
Due Period and not previously recovered.
LIBOR: With respect to any Distribution Date and the Pass-Through Rates on
the Class A-7 Certificates and Class A-8 Certificates, the arithmetic mean of
the London interbank offered rate quotations for one-month Eurodollar deposits,
expressed on a per annum basis, determined in accordance with Section 1.02.
LIBOR Business Day: Any day other than (i) a Saturday or Sunday or (ii) a
day on which banking institutions in London, England are required or authorized
by law to be closed.
LIBOR Rate Adjustment Date: With respect to each Distribution Date, other
than the Distribution Date relating to the initial Interest Accrual Period, and
the Class A-7 Certificates and Class A-8 Certificates, the second LIBOR Business
Day immediately preceding the commencement of the related Interest Accrual
Period.
Liquidation Proceeds: Amounts (other than Insurance Proceeds) received by
the Master Servicer in connection with the taking of an entire Mortgaged
Property by exercise of the power of eminent domain or condemnation or in
connection with the liquidation of a defaulted Mortgage Loan through trustee's
sale, foreclosure sale or otherwise, other than REO Proceeds.
Loan-to-Value Ratio: As of any date, the fraction, expressed as a
percentage, the numerator of which is the current principal balance of the
related Mortgage Loan at the date of determination and the denominator of which
is the Appraised Value of the related Mortgaged Property.
Lockout Percentage: For any Distribution Date occurring prior to the
Distribution Date in September 2003, 0%; for any Distribution Date occurring
after August 2003 but prior to September 2004, 75%; for any Distribution Date
occurring after August 2004 but prior to September 2005, 100%; for any
Distribution Date occurring after August 2005 but prior to September 2006, 150%;
for any Distribution Date occurring after August 2006 but prior to September
2007, 200%; for any Distribution Date after August 2007, but prior to the
Distribution Date in January 2011, 250%.
Maturity Date: The latest possible maturity date, solely for purposes of
Section 1.860G-1(a)(4)(iii) of the Treasury regulations, by which the
Certificate Principal Balance of each Class of Certificates (other than the
Class A-11 Certificates which have no Certificate Principal Balance)
representing a regular interest in the REMIC would be reduced to zero, which is
August 25, 2028, the Distribution Date immediately following the latest
scheduled maturity date of any Mortgage Loan. The latest possible Maturity Date
for each Uncertificated REMIC Regular Interest is August 25, 2028, which is the
Distribution Date immediately following the latest scheduled maturity date of
any Mortgage Loan.
MLCC: Xxxxxxx Xxxxx Credit Corporation, or its successor in interest.
Modified Mortgage Loan: Any Mortgage Loan that has been the subject of a
Servicing Modification.
Modified Net Mortgage Rate: As to any Mortgage Loan that has been the
subject of a Servicing Modification, the Net Mortgage Rate minus the rate per
annum by which the Mortgage Rate on such Mortgage Loan was reduced.
Monthly Payment: With respect to any Mortgage Loan (including any REO
Property) and any Due Date, the payment of principal and interest due thereon in
accordance with the amortization schedule at the time applicable thereto (after
adjustment, if any, for Curtailments and for Deficient Valuations occurring
prior to such Due Date but before any adjustment to such amortization schedule
by reason of any bankruptcy, other than a Deficient Valuation, or similar
proceeding or any moratorium or similar waiver or grace period and before any
Servicing Modification that constitutes a reduction of the interest rate on such
Mortgage Loan).
Moody's: Xxxxx'x Investors Service, Inc., or its successor in interest.
Mortgage: With respect to each Mortgage Note related to a Mortgage Loan
which is not a Cooperative Loan, the mortgage, deed of trust or other comparable
instrument creating a first lien on an estate in fee simple or leasehold
interest in real property securing a Mortgage Note.
Mortgage 100SM Loan: A Mortgage Loan that has a Loan-to-Value Ratio at
origination in excess of 80.00% and that is secured by Additional Collateral and
does not have a Primary Insurance Policy.
Mortgage File: The mortgage documents listed in Section 2.01 pertaining to
a particular Mortgage Loan and any additional documents required to be added to
the Mortgage File pursuant to this Agreement.
Mortgage Loan Schedule: The list of the Mortgage Loans attached hereto as
Exhibit F (as amended from time to time to reflect the addition of Qualified
Substitute Mortgage Loans), which list shall set forth at a minimum the
following information as to each Mortgage Loan:
the Mortgage Loan identifying number ("RFC LOAN #");
the street address of the Mortgaged Property (or, with respect to a
Cooperative Loan, the related Cooperative Apartment) including state and zip
code ("ADDRESS");
the maturity of the Mortgage Note ("MATURITY DATE");
the Mortgage Rate ("ORIG RATE");
the Subservicer pass-through rate ("CURR NET");
the Net Mortgage Rate ("NET MTG RT");
the Pool Strip Rate ("STRIP");
the initial scheduled monthly payment of principal, if any, and interest
("ORIGINAL P & I");
the Cut-off Date Principal Balance ("PRINCIPAL BAL");
the Loan-to-Value Ratio at origination ("LTV");
the rate at which the Subservicing Fee accrues ("SUBSERV FEE") and at
which the Servicing Fee accrues ("MSTR SERV FEE");
a code "T," "BT" or "CT" under the column "LN FEATURE," indicating that
the Mortgage Loan is secured by a second or vacation residence; and
a code "N" under the column "OCCP CODE," indicating that the Mortgage Loan
is secured by a non-owner occupied residence.
Such schedule may consist of multiple reports that collectively set forth all of
the information required.
Mortgage Loans: Such of the mortgage loans transferred and assigned to the
Trustee pursuant to Section 2.01 as from time to time are held or deemed to be
held as a part of the Trust Fund, the Mortgage Loans originally so held being
identified in the initial Mortgage Loan Schedule, and Qualified Substitute
Mortgage Loans held or deemed held as part of the Trust Fund including, without
limitation, (i) with respect to each Cooperative Loan, the related Mortgage
Note, Security Agreement, Assignment ofProprietary Lease, Cooperative Stock
Certificate, Cooperative Lease and Mortgage File and all rights appertaining
thereto, and (ii) with respect to each Mortgage Loan other than a Cooperative
Loan, each related Mortgage Note, Mortgage and Mortgage File and all rights
appertaining thereto.
Mortgage Note: The originally executed note or other evidence of
indebtedness evidencing the indebtedness of a Mortgagor under a Mortgage Loan,
together with any modification thereto.
Mortgage Rate: As to any Mortgage Loan, the interest rate borne by the
related Mortgage Note, or any modification thereto other than a Servicing
Modification.
Mortgaged Property: The underlying real property securing a Mortgage Loan
or, with respect to a Cooperative Loan, the related Cooperative Lease and
Cooperative Stock.
Mortgagor: The obligor on a Mortgage Note.
Net Mortgage Rate: As to each Mortgage Loan, a per annum rate of interest
equal to the Adjusted Mortgage Rate less the per annum rate at which the
Servicing Fee is calculated.
Non-Discount Mortgage Loan: A Mortgage Loan that is not a Discount Mortgage
Loan.
Non-Primary Residence Loans: The Mortgage Loans designated as secured by
second or vacation residences, or by non-owner occupied residences, on the
Mortgage Loan Schedule.
Non-United States Person: Any Person other than a United States Person.
Nonrecoverable Advance: Any Advance previously made or proposed to be made
by the Master Servicer in respect of a Mortgage Loan (other than a Deleted
Mortgage Loan) which, in the good faith judgment of the Master Servicer, will
not, or, in the case of a proposed Advance, would not, be ultimately recoverable
by the Master Servicer from related Late Collections, Insurance Proceeds,
Liquidation Proceeds, REO Proceeds or amounts reimbursable to the Master
Servicer pursuant to Section 4.02(a) hereof. The determination by the Master
Servicer that it has made a Nonrecoverable Advance or that any proposed Advance
would constitute a Nonrecoverable Advance, shall be evidenced by an Officers'
Certificate delivered to the Company and the Trustee.
Nonsubserviced Mortgage Loan: Any Mortgage Loan that, at the time of
reference thereto, is not subject to a Subservicing Agreement.
Officers' Certificate: A certificate signed by the Chairman of the Board,
the President or a Vice President or Assistant Vice President, or a Director or
Managing Director, and by the Treasurer, the Secretary, or one of the Assistant
Treasurers or Assistant Secretaries of the Company or the Master Servicer, as
the case may be, and delivered to the Trustee, as required by this Agreement.
Opinion of Counsel: A written opinion of counsel acceptable to the Trustee
and the Master Servicer, who may be counsel for the Company or the Master
Servicer, provided that any opinion of counsel (i) referred to in the definition
of "Disqualified Organization" or (ii) relating to the qualification of the
Trust Fund as a REMIC or compliance with the REMIC Provisions must, unless
otherwise specified, be an opinion of Independent counsel.
Outstanding Mortgage Loan: As to any Due Date, a Mortgage Loan (including
an REO Property) which was not the subject of a Principal Prepayment in Full,
Cash Liquidation or REO Disposition and which was not purchased, deleted or
substituted for prior to such Due Date pursuant to Section 2.02, 2.03, 2.04 or
4.07.
Ownership Interest: As to any Certificate, any ownership or security
interest in such Certificate, including any interest in such Certificate as the
Holder thereof and any other interest therein, whether direct or indirect, legal
or beneficial, as owner or as pledgee.
Parent PowerSM Loan: A Mortgage Loan that has a Loan-to-Value Ratio at
origination in excess of 80.00%, that is supported by Additional Collateral and
does not have a Primary Insurance Policy.
Pass-Through Rate: With respect to the Class A Certificates (other than
the Class A-7, Class A-8, Class A-10 and Class A-11 Certificates), Class M
Certificates, Class B Certificates and Class R Certificates and any Distribution
Date, the per annum rates set forth in the Preliminary Statement hereto. With
respect to the Class A-7 Certificates and the initial Interest Accrual Period,
6.456% per annum, and as to any Interest Accrual Period thereafter, a per annum
rate equal to LIBOR plus 0.80%, subject to a maximum rate of 8.850% per annum
and a minimum rate of 0.80% per annum. With respect to the Class A-8
Certificates and the initial Interest Accrual Period, 7.694% per annum, and as
to any Interest Accrual Period thereafter, a per annum rate equal to 25.875%
minus the product of 3.2142 and LIBOR, subject to a maximum rate of 25.875% per
annum and a minimum rate of 0.000% per annum. With respect to the Class A-11
Certificates (other than any Subclass thereof) and any Distribution Date, a rate
equal to the weighted average, expressed as a percentage, of the Pool Strip
Rates of all Mortgage Loans as of the Due Date in the month next preceding the
month in which such Distribution Date occurs, weighted on the basis of the
respective Stated Principal Balances of such Mortgage Loans, which Stated
Principal Balances shall be the Stated Principal Balances of such Mortgage Loans
at the close of business on the immediately preceding Distribution Date after
giving effect to distributions thereon allocable to principal to the Holders of
the Certificates (or, with respect to the initial Distribution Date, at the
close of business on the Cut-off Date). With respect to the Class A-11
Certificates and the initial Distribution Date, the Pass-Through Rate is equal
to 0.9087% per annum. With respect to any Subclass of Class A-11 Certificates
and any Distribution Date, a rate equal to the weighted average, expressed as a
percentage, of the Pool Strip Rates of all Mortgage Loans corresponding to the
Uncertificated REMIC Regular Interests represented by such Subclass as of the
Due Date in the month next preceding the month in which such Distribution Date
occurs, weighted on the basis of the respective Stated Principal Balances of
such Mortgage Loans, which Stated Principal Balances shall be the Stated
Principal Balances of such Mortgage Loans at the close of business on the
immediately preceding Distribution Date after giving effect to distributions
thereon allocable to principal to the Holders of the Certificates (or with
respect to the initial Distribution Date, at the close of business on the
Cut-off Date). The Class A-10 Certificates have no Pass-Through Rate and are not
entitled to Accrued Certificate Interest.
Paying Agent: Bankers Trust Company or any successor Paying Agent appointed
by the Trustee.
Percentage Interest: With respect to any Certificate (other than a Class R
Certificate), the undivided percentage ownership interest in the related Class
evidenced by such Certificate, which percentage ownership interest shall be
equal to the Initial Certificate Principal Balance thereof or Initial Class A-11
Notional Amount thereof (in the case of any Class A-11 Certificate) divided by
the aggregate Initial Certificate Principal Balance or the aggregate of the
Initial Class A-11 Notional Amounts, as applicable, of all the Certificates of
the same Class. With respect to a Class R Certificate, the interest in
distributions to be made with respect to such Class evidenced thereby, expressed
as a percentage, as stated on the face of each such Certificate.
Permitted Investments: One or more of the following:
obligations of or guaranteed as to principal and interest by the
United States or any agency or instrumentality thereof when such obligations are
backed by the full faith and credit of the United States;
repurchase agreements on obligations specified in clause (i) maturing
not more than one month from the date of acquisition thereof, provided that the
unsecured obligations of the party agreeing to repurchase such obligations are
at the time rated by each Rating Agency in its highest short-term rating
available;
federal funds, certificates of deposit, demand deposits, time
deposits and bankers' acceptances (which shall each have an original
maturity of not more than 90 days and, in the case of bankers'
acceptances, shall in no event have an original maturity of more than 365
days or a remaining maturity of more than 30 days) denominated in United
States dollars of any U.S. depository institution or trust company
incorporated under the laws of the United States or any state thereof or
of any domestic branch of a foreign depository institution or trust
company; provided that the debt obligations of such depository institution
or trust company (or, if the only Rating Agency is Standard & Poor's, in
the case of the principal depository institution in a depository
institution holding company, debt obligations of the depository
institution holding company) at the date of acquisition thereof have been
rated by each Rating Agency in its highest short-term rating available;
and provided further that, if the only Rating Agency is Standard & Poor's
and if the depository or trust company is a principal subsidiary of a bank
holding company and the debt obligations of such subsidiary are not
separately rated, the applicable rating shall be that of the bank holding
company; and, provided further that, if the original maturity of such
short-term obligations of a domestic branch of a foreign depository
institution or trust company shall exceed 30 days, the short-term rating
of such institution shall be A-1 in the case of Standard & Poor's if
Standard & Poor's is the Rating Agency;
commercial paper and demand notes (having original maturities of not
more than 365 days) of any corporation incorporated under the laws of the United
States or any state thereof which on the date of acquisition has been rated by
each Rating Agency in its highest short-term rating available; provided that
such commercial paper and demand notes shall have a remaining maturity of not
more than 30 days;
a money market fund or a qualified investment fund rated by each
Rating Agency in its highest long-term rating available; and
other obligations or securities that are acceptable to each Rating
Agency as a Permitted Investment hereunder and will not reduce the rating
assigned to any Class of Certificates by such Rating Agency below the lower of
the then-current rating or the rating assigned to such Certificates as of the
Closing Date by such Rating Agency, as evidenced in writing;
provided, however, no instrument shall be a Permitted Investment if it
represents, either (1) the right to receive only interest payments with respect
to the underlying debt instrument or (2) the right to receive both principal and
interest payments derived from obligations underlying such instrument and the
principal and interest payments with respect to such instrument provide a yield
to maturity greater than 120% of the yield to maturity at par of such underlying
obligations. References herein to the highest rating available on unsecured
long-term debt shall mean AAA in the case of Standard & Poor's and Fitch IBCA
and Aaa in the case of Moody's, and references herein to the highest rating
available on unsecured commercial paper and short-term debt obligations shall
mean A-1 in the case of Standard & Poor's, P-1 in the case of Moody's and either
A-1 by Standard & Poor's, P-1 by Standard & Poor's or F-1 by Fitch IBCA in the
case of Fitch IBCA.
Permitted Transferee: Any Transferee of a Class R Certificate, other than a
Disqualified Organization or Non-United States Person.
Person: Any individual, corporation, limited liability company,
partnership, joint venture, association, joint-stock company, trust,
unincorporated organization or government or any agency or political subdivision
thereof.
Pledged Asset Mortgage Servicing Agreement: The Pledged Asset Mortgage
Servicing Agreement, dated as of February 28, 1996 between MLCC and the Master
Servicer.
Pool Stated Principal Balance: As to any date of determination, the
aggregate of the Stated Principal Balances of each Mortgage Loan that was an
Outstanding Mortgage Loan on the Due Date in the month preceding the month of
such date of determination.
Pool Strip Rate: With respect to each Mortgage Loan, a per annum rate equal
to the excess of (a) the Net Mortgage Rate of such Mortgage Loan over (b) 6.75%
per annum (but not less than 0.00%).
Prepayment Assumption: The prepayment assumption to be used for
determining the accrual of original issue discount and premium and market
discount on such Certificates for federal income tax purposes, which assumes a
constant prepayment rate of 4.0% per annum of the then outstanding principal
balance of the related Mortgage Loans in the first month of the life of such
Mortgage Loans and an additional 1.090909% per annum in each month thereafter
until the twelfth month, and beginning in the twelfth month and in each month
thereafter during the life of the Mortgage Loans, a constant prepayment rate of
16.0% per annum.
Prepayment Distribution Percentage: With respect to any Distribution Date
and each Class of Class M Certificates and Class B Certificates, under the
applicable circumstances set forth below, the respective percentages set forth
below:
For any Distribution Date prior to the Distribution Date in September 2003
(unless the Certificate Principal Balances of the Class A Certificates (other
than the Class A-10 Certificates) and Class R Certificates, have been reduced to
zero), 0%.
For any Distribution Date on which any Class of Class M or Class B
Certificates are outstanding not discussed in clause (i) above:
in the case of the Class of Class M Certificates then
outstanding with the lowest numerical designation, or in the event
the Class M Certificates are no longer outstanding, the Class of
Class B Certificates then outstanding with the lowest numerical
designation and each other Class of Class M Certificates and Class B
Certificates for which the related Prepayment Distribution Trigger
has been satisfied, a fraction, expressed as a percentage, the
numerator of which is the Certificate Principal Balance of such
Class immediately prior to such date and the denominator of which is
the sum of the Certificate Principal Balances immediately prior to
such date of (1) the Class of Class M Certificates then outstanding
with the lowest numerical designation, or in the event the Class M
Certificates are no longer outstanding, the Class of Class B
Certificates then outstanding with the lowest numerical designation
and (2) all other Classes of Class M Certificates and Class B
Certificates for which the respective Prepayment Distribution
Triggers have been satisfied; and
in the case of each other Class of Class M Certificates and
Class B Certificates for which the Prepayment Distribution Triggers have not
been satisfied, 0%; and
Notwithstanding the foregoing, if the application of the foregoing
percentages on any Distribution Date as provided in Section 4.02
(determined without regard to the proviso to the definition of
"Subordinate Principal Distribution Amount") would result in a
distribution in respect of principal of any Class or Classes of
Class M Certificates and Class B Certificates in an amount greater
than the remaining Certificate Principal Balance thereof (any such
class, a "Maturing Class"), then: (a) the Prepayment Distribution
Percentage of each Maturing Class shall be reduced to a level that,
when applied as described above, would exactly reduce the
Certificate Principal Balance of such Class to zero; (b) the
Prepayment Distribution Percentage of each other Class of Class M
Certificates and Class B Certificates (any such Class, a
"Non-Maturing Class") shall be recalculated in accordance with the
provisions in paragraph (ii) above, as if the Certificate Principal
Balance of each Maturing Class had been reduced to zero (such
percentage as recalculated, the "Recalculated Percentage"); (c) the
total amount of the reductions in the Prepayment Distribution
Percentages of the Maturing Class or Classes pursuant to clause (a)
of this sentence, expressed as an aggregate percentage, shall be
allocated among the Non-Maturing Classes in proportion to their
respective Recalculated Percentages (the portion of such aggregate
reduction so allocated to any Non-Maturing Class, the "Adjustment
Percentage"); and (d) for purposes of such Distribution Date, the
Prepayment Distribution Percentage of each Non-Maturing Class shall
be equal to the sum of (1) the Prepayment Distribution Percentage
thereof, calculated in accordance with the provisions in paragraph
(ii) above as if the Certificate Principal Balance of each Maturing
Class had not been reduced to zero, plus (2) the related Adjustment
Percentage.
Prepayment Distribution Trigger: The Class M-2 Prepayment Distribution
Trigger, Class M-3 Prepayment Distribution Trigger, Class B-1 Prepayment
Distribution Trigger, Class B-2 Prepayment Distribution Trigger or Class B-3
Prepayment Distribution Trigger.
Prepayment Interest Shortfall: As to any Distribution Date and any
Mortgage Loan (other than a Mortgage Loan relating to an REO Property) that was
the subject of (a) a Principal Prepayment in Full during the related Prepayment
Period, an amount equal to the excess of one month's interest at the Net
Mortgage Rate (or Modified Net Mortgage Rate in the case of a Modified Mortgage
Loan) on the Stated Principal Balance of such Mortgage Loan over the amount of
interest (adjusted to the Net Mortgage Rate (or Modified Net Mortgage Rate in
the case of a Modified Mortgage Loan)) paid by the Mortgagor for such Prepayment
Period to the date of such Principal Prepayment in Full or (b) a Curtailment
during the prior calendar month, an amount equal to one month's interest at the
Net Mortgage Rate (or Modified Net Mortgage Rate in the case of a Modified
Mortgage Loan) on the amount of such Curtailment.
Prepayment Period: As to any Distribution Date, the calendar month
preceding the month of distribution.
Primary Insurance Policy: Each primary policy of mortgage guaranty
insurance or any replacement policy therefor referred to in Section 2.03(b)(iv)
and (v).
Principal Prepayment: Any payment of principal or other recovery on a
Mortgage Loan, including a recovery that takes the form of Liquidation Proceeds
or Insurance Proceeds, which is received in advance of its scheduled Due Date
and is not accompanied by an amount as to interest representing scheduled
interest on such payment due on any date or dates in any month or months
subsequent to the month of prepayment.
Principal Prepayment in Full: Any Principal Prepayment made by a Mortgagor
of the entire principal balance of a Mortgage Loan.
Program Guide: Collectively, the Seller Guide and the Servicer Guide for
Residential Funding's Expanded Criteria Mortgage Program.
Purchase Price: With respect to any Mortgage Loan (or REO Property)
required to be or otherwise purchased on any date pursuant to Section 2.02,
2.03, 2.04 or 4.07, an amount equal to the sum of (i) 100% of the Stated
Principal Balance thereof plus the principal portion of any related unreimbursed
Advances and (ii) unpaid accrued interest at the Adjusted Mortgage Rate (or
Modified Net Mortgage Rate plus the rate per annum at which the Servicing Fee is
calculated in the case of a Modified Mortgage Loan) (or at the Net Mortgage Rate
(or Modified Net Mortgage Rate in the case of a Modified Mortgage Loan) in the
case of a purchase made by the Master Servicer) on the Stated Principal Balance
thereof to the first day of the month following the month of purchase from the
Due Date to which interest was last paid by the Mortgagor.
Qualified Substitute Mortgage Loan: A Mortgage Loan substituted by
Residential Funding or the Company for a Deleted Mortgage Loan which must, on
the date of such substitution, as confirmed in an Officers' Certificate
delivered to the Trustee, (i) have an outstanding principal balance, after
deduction of the principal portion of the monthly payment due in the month of
substitution (or in the case of a substitution of more than one Mortgage Loan
for a Deleted Mortgage Loan, an aggregate outstanding principal balance, after
such deduction), not in excess of the Stated Principal Balance of the Deleted
Mortgage Loan (the amount of any shortfall to be deposited by Residential
Funding in the Custodial Account in the month of substitution); (ii) have a
Mortgage Rate and a Net Mortgage Rate no lower than and not more than 1% per
annum higher than the Mortgage Rate and Net Mortgage Rate, respectively, of the
Deleted Mortgage Loan as of the date of substitution; (iii) have a Loan-to-Value
Ratio at the time of substitution no higher than that of the Deleted Mortgage
Loan at the time of substitution; (iv) have a remaining term to stated maturity
not greater than (and not more than one year less than) that of the Deleted
Mortgage Loan; (v) comply with each representation and warranty set forth in
Sections 2.03 and 2.04 hereof and Section 4 of the Assignment Agreement; and
(vi) have a Pool Strip Rate equal to or greater than that of the Deleted
Mortgage Loan. Notwithstanding any other provisions herein, (x) with respect to
any Qualified Substitute Mortgage Loan substituted for a related Deleted
Mortgage Loan which was a Discount Mortgage Loan, such Qualified Substitute
Mortgage Loan shall be deemed to be a Discount Mortgage Loan and to have a
Discount Fraction equal to the Discount Fraction of the Deleted Mortgage Loan
and (y) in the event that the "Pool Strip Rate" of any Qualified Substitute
Mortgage Loan as calculated pursuant to the definition of "Pool Strip Rate is
greater than the Pool Strip Rate of the related Deleted Mortgage Loan (I) the
Pool Strip Rate of such Qualified Substitute Mortgage Loan shall be equal to the
Pool Strip Rate of the related Deleted Mortgage Loan for purposes of calculating
the Pass-Through Rate on the Class A-11 Certificates and (ii) the excess of the
Pool Strip Rate on such Qualified Substitute Mortgage Loan as calculated
pursuant to the definition of "Pool Strip Rate" over the Pool Strip Rate on the
related Deleted Mortgage Loan shall be payable to the Class R Certificates
pursuant to Section 4.02 hereof.
Rating Agency: Fitch IBCA and Standard & Poor's with respect to the Class A
Certificates and Class R Certificates and Fitch IBCA with respect to the Class
X-0, Xxxxx X-0, Class M-3, Class B-1 and Class B-2 Certificates. If either
agency or a successor is no longer in existence, "Rating Agency" shall be such
statistical credit rating agency, or other comparable Person, designated by the
Company, notice of which designation shall be given to the Trustee and the
Master Servicer.
Realized Loss: With respect to each Mortgage Loan (or REO Property) as to
which a Cash Liquidation or REO Disposition has occurred, an amount (not less
than zero) equal to (i) the Stated Principal Balance of the Mortgage Loan (or
REO Property) as of the date of Cash Liquidation or REO Disposition, plus (ii)
interest (and REO Imputed Interest, if any) at the Net Mortgage Rate from the
Due Date as to which interest was last paid or advanced to Certificateholders up
to the last day of the month in which the Cash Liquidation (or REO Disposition)
occurred on the Stated Principal Balance of such Mortgage Loan (or REO Property)
outstanding during each Due Period that such interest was not paid or advanced,
minus (iii) the proceeds, if any, received during the month in which such Cash
Liquidation (or REO Disposition) occurred, to the extent applied as recoveries
of interest at the Net Mortgage Rate and to principal of the Mortgage Loan, net
of the portion thereof reimbursable to the Master Servicer or any Subservicer
with respect to related Advances or expenses as to which the Master Servicer or
Subservicer is entitled to reimbursement thereunder but which have not been
previously reimbursed. With respect to each Mortgage Loan which is the subject
of a Servicing Modification, (a) the amount by which the interest portion of a
Monthly Payment or the principal balance of such Mortgage Loan was reduced, and
(b) any such amount with respect to a Monthly Payment that was or would have
been due in the month immediately following the month in which a Principal
Prepayment or the Purchase Price of such Mortgage Loan is received or is deemed
to have been received. With respect to each Mortgage Loan which has become the
subject of a Deficient Valuation, the difference between the principal balance
of the Mortgage Loan outstanding immediately prior to such Deficient Valuation
and the principal balance of the Mortgage Loan as reduced by the Deficient
Valuation. With respect to each Mortgage Loan which has become the object of a
Debt Service Reduction, the amount of such Debt Service Reduction.
Notwithstanding the above, neither a Deficient Valuation nor a Debt Service
Reduction shall be deemed a Realized Loss hereunder so long as the Master
Servicer has notified the Trustee in writing that the Master Servicer is
diligently pursuing any remedies that may exist in connection with the
representations and warranties made regarding the related Mortgage Loan and
either (A) the related Mortgage Loan is not in default with regard to payments
due thereunder or (B) delinquent payments of principal and interest under the
related Mortgage Loan and any premiums on any applicable primary hazard
insurance policy and any related escrow payments in respect of such Mortgage
Loan are being advanced on a current basis by the Master Servicer or a
Subservicer, in either case without giving effect to any Debt Service Reduction.
Record Date: With respect to each Distribution Date, the close of business
on the last Business Day of the month next preceding the month in which the
related Distribution Date occurs.
Regular Certificate: Any of the Certificates other than a Class R
Certificate.
REMIC: A "real estate mortgage investment conduit" within the meaning of
Section 860D of the Code.
REMIC Administrator: Residential Funding Corporation. If Residential
Funding Corporation is found by a court of competent jurisdiction to no longer
be able to fulfill its obligations as REMIC Administrator under this Agreement
the Master Servicer or Trustee acting as Master Servicer shall appoint a
successor REMIC Administrator, subject to assumption of the REMIC Administrator
obligations under this Agreement.
REMIC Provisions: Provisions of the federal income tax law relating to real
estate mortgage investment conduits, which appear at Sections 860A through 860G
of Subchapter M of Chapter 1 of the Code, and related provisions, and temporary
and final regulations (or, to the extent not inconsistent with such temporary or
final regulations, proposed regulations) and published rulings, notices and
announcements promulgated thereunder, as the foregoing may be in effect from
time to time.
REO Acquisition: The acquisition by the Master Servicer on behalf of the
Trustee for the benefit of the Certificateholders of any REO Property pursuant
to Section 3.14.
REO Disposition: As to any REO Property, a determination by the Master
Servicer that it has received all Insurance Proceeds, Liquidation Proceeds, REO
Proceeds and other payments and recoveries (including proceeds of a final sale)
which the Master Servicer expects to be finally recoverable from the sale or
other disposition of the REO Property.
REO Imputed Interest: As to any REO Property, for any period, an amount
equivalent to interest (at the Net Mortgage Rate that would have been applicable
to the related Mortgage Loan had it been outstanding) on the unpaid principal
balance of the Mortgage Loan as of the date of acquisition thereof for such
period.
REO Proceeds: Proceeds, net of expenses, received in respect of any REO
Property (including, without limitation, proceeds from the rental of the related
Mortgaged Property or, with respect to a Cooperative Loan, the related
Cooperative Apartment) which proceeds are required to be deposited into the
Custodial Account only upon the related REO Disposition.
REO Property: A Mortgaged Property acquired by the Master Servicer through
foreclosure or deed in lieu of foreclosure in connection with a defaulted
Mortgage Loan.
Request for Release: A request for release, the forms of which are attached
as Exhibit H hereto or an electronic request in a form acceptable to the
Custodian.
Required Insurance Policy: With respect to any Mortgage Loan, any insurance
policy which is required to be maintained from time to time under this
Agreement, the Program Guide or the related Subservicing Agreement in respect of
such Mortgage Loan.
Required Surety Payment: With respect to any Additional Collateral Mortgage
Loan that becomes a Liquidated Mortgage Loan, the lesser of (i) the principal
portion of the Realized Loss with respect to such Mortgage Loan and (ii) the
excess, if any, of (a) the amount of Additional Collateral required at
origination with respect to such Mortgage Loan over (b) the net proceeds
realized by MLCC from the related Additional Collateral.
Residential Funding: Residential Funding Corporation, a Delaware
corporation, in its capacity as seller of the Mortgage Loans to the Company and
any successor thereto.
Responsible Officer: When used with respect to the Trustee, any officer of
the Corporate Trust Department of the Trustee, including any Senior Vice
President, any Vice President, any Assistant Vice President, any Assistant
Secretary, any Trust Officer or Assistant Trust Officer, or any other officer of
the Trustee customarily performing functions similar to those performed by any
of the above designated officers to whom, with respect to a particular matter,
such matter is referred.
Schedule of Discount Fractions: The schedule setting forth the Discount
Fractions with respect to the Discount Mortgage Loans, attached hereto as
Exhibit P.
Security Agreement: With respect to a Cooperative Loan, the agreement
creating a security interest in favor of the originator in the related
Cooperative Stock.
Seller: As to any Mortgage Loan, a Person, including any Subservicer, that
executed a Seller's Agreement applicable to such Mortgage Loan.
Seller's Agreement: An agreement for the origination and sale of Mortgage
Loans generally in the form of the Seller Contract referred to or contained in
the Program Guide, or in such other form as has been approved by the Master
Servicer and the Company, each containing representations and warranties in
respect of one or more Mortgage Loans consistent in all material respects with
those set forth in the Program Guide.
Senior Accelerated Distribution Percentage: With respect to any
Distribution Date, the percentage indicated below:
2
Distribution Date
3
Senior Accelerated
Distribution Percentage
September 1998 through 100%
August 2003.............................
September 2003 through Senior Percentage, plus 70% of the Subordinate Percentage
August 2004.............................
September 2004 through Senior Percentage, plus 60% of the Subordinate Percentage
August 2005.............................
September 2005 through Senior Percentage, plus 40% of the Subordinate Percentage
August 2006.............................
September 2006 through Senior Percentage, plus 20% of the Subordinate Percentage
August 2007.............................
September 2007 and Senior Percentage
thereafter..............................
provided, however, (i) that any scheduled reduction to the Senior Accelerated
Distribution Percentages described above shall not occur as of any Distribution
Date unless either (a)(1)(X) the outstanding principal balance of the Mortgage
Loans delinquent 60 days or more averaged over the last six months, as a
percentage of the aggregate outstanding Certificate Principal Balance of the
Class M and Class B Certificates, is less than 50% or (Y) the outstanding
principal balance of Mortgage Loans delinquent 60 days or more averaged over the
last six months, as a percentage of the aggregate outstanding principal balance
of all Mortgage Loans averaged over the last six months, does not exceed 2% and
(2) Realized Losses on the Mortgage Loans to date for such Distribution Date if
occurring during the sixth, seventh, eighth, ninth or tenth year (or any year
thereafter) after the Closing Date are less than 30%, 35%, 40%, 45% or 50%,
respectively, of the sum of the Initial Certificate Principal Balances of the
Class M Certificates and Class B Certificates or (b)(1) the outstanding
principal balance of Mortgage Loans delinquent 60 days or more averaged over the
last six months, as a percentage of the aggregate outstanding principal balance
of all Mortgage Loans averaged over the last six months, does not exceed 4% and
(2) Realized Losses on the Mortgage Loans to date for such Distribution Date, if
occurring during the sixth, seventh, eighth, ninth or tenth year (or any year
thereafter) are less than 10%, 15%, 20%, 25% or 30%, respectively, of the sum of
the Initial Certificate Principal Balances of the Class M Certificates and Class
B Certificates and (ii) that for any Distribution Date on which the Senior
Percentage is greater than the Senior Percentage as of the Closing Date, the
Senior Accelerated Distribution Percentage for such Distribution Date shall be
100%. Notwithstanding the foregoing, upon the reduction of the Certificate
Principal Balances of the Class A Certificates (other than the Class A-10
Certificates) and Class R Certificates, to zero, the Senior Accelerated
Distribution Percentage shall thereafter be 0%.
Senior Percentage: As of any Distribution Date, the lesser of 100% and a
fraction, expressed as a percentage, the numerator of which is the aggregate
Certificate Principal Balance of the Class A Certificates (other than the Class
A-10 Certificates) and Class R Certificates immediately prior to such
Distribution Date and the denominator of which is the aggregate Stated Principal
Balance of all of the Mortgage Loans (or related REO Properties) (other than the
related Discount Fraction of each Discount Mortgage Loan) immediately prior to
such Distribution Date.
Senior Principal Distribution Amount: As to any Distribution Date, the
lesser of (a) the balance of the Available Distribution Amount remaining after
the distribution of all amounts required to be distributed pursuant to Sections
4.02(a)(i) and 4.02(a)(ii)(X) and (b) the sum of the amounts required to be
distributed to the Class A Certificateholders and Class R Certificateholders on
such Distribution Date pursuant to Section 4.02(a)(ii)(Y), (xvi) and (xvii).
Servicing Accounts: The account or accounts created and maintained pursuant
to Section 3.08.
Servicing Advances: All customary, reasonable and necessary "out of
pocket" costs and expenses incurred in connection with a default, delinquency or
other unanticipated event by the Master Servicer in the performance of its
servicing obligations, including, but not limited to, the cost of (i) the
preservation, restoration and protection of a Mortgaged Property or, with
respect to a Cooperative Loan, the related Cooperative Apartment, (ii) any
enforcement or judicial proceedings, including foreclosures, (iii) the
management and liquidation of any REO Property and (iv) compliance with the
obligations under Sections 3.01, 3.08, 3.12(a) and 3.14, including, if the
Master Servicer or any Affiliate of the Master Servicer provides services such
as appraisals and brokerage services that are customarily provided by Persons
other than servicers of mortgage loans, reasonable compensation for such
services.
Servicing Fee: With respect to any Mortgage Loan and Distribution Date, the
fee payable monthly to the Master Servicer in respect of master servicing
compensation that accrues at an annual rate designated on the Mortgage Loan
Schedule as the "MSTR SERV FEE" for such Mortgage Loan, as may be adjusted with
respect to successor Master Servicers as provided in Section 7.02.
Servicing Modification: Any reduction of the interest rate on or the
outstanding principal balance of a Mortgage Loan that is in default, or for
which, in the judgment of the Master Servicer, default is reasonably
foreseeable, pursuant to a modification of such Mortgage Loan in accordance with
Section 3.07(a).
Servicing Officer: Any officer of the Master Servicer involved in, or
responsible for, the administration and servicing of the Mortgage Loans whose
name and specimen signature appear on a list of servicing officers furnished to
the Trustee by the Master Servicer, as such list may from time to time be
amended.
Special Hazard Amount: As of any Distribution Date, an amount equal to
$4,800,778 minus the sum of (i) the aggregate amount of Special Hazard Losses
allocated solely to one or more specific Classes of Certificates in accordance
with Section 4.05 and (ii) the Adjustment Amount (as defined below) as most
recently calculated. For each anniversary of the Cut-off Date, the Adjustment
Amount shall be equal to the amount, if any, by which the amount calculated in
accordance with the preceding sentence (without giving effect to the deduction
of the Adjustment Amount for such anniversary) exceeds the greater of (A) the
greatest of (i) twice the outstanding principal balance of the Mortgage Loan in
the Trust Fund which has the largest outstanding principal balance on the
Distribution Date immediately preceding such anniversary, (ii) the product of
1.00% multiplied by the outstanding principal balance of all Mortgage Loans on
the Distribution Date immediately preceding such anniversary and (iii) the
aggregate outstanding principal balance (as of the immediately preceding
Distribution Date) of the Mortgage Loans in any single five-digit California zip
code area with the largest amount of Mortgage Loans by aggregate principal
balance as of such anniversary and (B) the greater of (i) the product of 0.50%
multiplied by the outstanding principal balance of all Mortgage Loans on the
Distribution Date immediately preceding such anniversary multiplied by a
fraction, the numerator of which is equal to the aggregate outstanding principal
balance (as of the immediately preceding Distribution Date) of all of the
Mortgage Loans secured by Mortgaged Properties located in the State of
California divided by the aggregate outstanding principal balance (as of the
immediately preceding Distribution Date) of all of the Mortgage Loans, expressed
as a percentage, and the denominator of which is equal to 29.77% (which
percentage is equal to the percentage of Mortgage Loans initially secured by
Mortgaged Properties located in the State of California) and (ii) the aggregate
outstanding principal balance (as of the immediately preceding Distribution
Date) of the largest Mortgage Loan secured by a Mortgaged Property (or, with
respect to a Cooperative Loan, the related Cooperative Apartment) located in the
State of California.
The Special Hazard Amount may be further reduced by the Master Servicer
(including accelerating the manner in which coverage is reduced) provided that
prior to any such reduction, the Master Servicer shall (i) obtain written
confirmation from each Rating Agency that such reduction shall not reduce the
rating assigned to any Class of Certificates by such Rating Agency below the
lower of the then-current rating or the rating assigned to such Certificates as
of the Closing Date by such Rating Agency and (ii) provide a copy of such
written confirmation to the Trustee.
Special Hazard Loss: Any Realized Loss not in excess of the cost of the
lesser of repair or replacement of a Mortgaged Property (or, with respect to a
Cooperative Loan, the related Cooperative Apartment) suffered by such Mortgaged
Property (or Cooperative Apartment) on account of direct physical loss,
exclusive of (i) any loss of a type covered by a hazard policy or a flood
insurance policy required to be maintained in respect of such Mortgaged Property
pursuant to Section 3.12(a), except to the extent of the portion of such loss
not covered as a result of any coinsurance provision and (ii) any Extraordinary
Loss.
Standard & Poor's: Standard & Poor's Rating Services, a division of the
XxXxxx-Xxxx Companies, or its successor in interest.
Stated Principal Balance: With respect to any Mortgage Loan or related REO
Property, at any given time, (i) the Cut-off Date Principal Balance of the
Mortgage Loan, minus (ii) the sum of (a) the principal portion of the Monthly
Payments due with respect to such Mortgage Loan or REO Property during each Due
Period ending prior to the most recent Distribution Date which were received or
with respect to which an Advance was made, and (b) all Principal Prepayments
with respect to such Mortgage Loan or REO Property, and all Insurance Proceeds,
Liquidation Proceeds and REO Proceeds, to the extent applied by the Master
Servicer as recoveries of principal in accordance with Section 3.14 with respect
to such Mortgage Loan or REO Property, in each case which were distributed
pursuant to Section 4.02 on any previous Distribution Date, and (c) any Realized
Loss allocated to Certificateholders with respect thereto for any previous
Distribution Date.
Subclass: With respect to the Class A-11 Certificates, any Subclass
thereof issued pursuant to Section 5.01(c). Any such Subclass will represent the
Uncertificated REMIC Regular Interest or Interests specified by the initial
Holder of the Class A-11 Certificates pursuant to Section 5.01(c).
Subclass Notional Amount: As of any Distribution Date, with respect to any
Subclass of Class A-11 Certificates issued pursuant to Section 5.01(c), the
aggregate Stated Principal Balance of the Mortgage Loans corresponding to the
Uncertificated REMIC Regular Interests represented by such Subclass immediately
prior to such date.
Subordinate Percentage: As of any Distribution Date, 100% minus the Senior
Percentage as of such Distribution Date.
Subordinate Principal Distribution Amount: With respect to any
Distribution Date and each Class of Class M Certificates and Class B
Certificates, (a) the sum of (i) the product of (x) the related Class M
Percentage or Class B Percentage for such Class and (y) the aggregate of the
amounts calculated for such Distribution Date under clauses (1), (2) and (3) of
Section 4.02(a)(ii)(Y)(A); (ii) such Class's pro rata share, based on the
Certificate Principal Balance of each Class of Class M Certificates and Class B
Certificates then outstanding, of the principal collections described in Section
4.02(a)(ii)(Y)(B)(b) to the extent such collections are not otherwise
distributed to the Class A Certificates and Class R Certificates; (iii) the
product of (x) the related Prepayment Distribution Percentage and (y) the
aggregate of all Principal Prepayments in Full and Curtailments received in the
related Prepayment Period (other than the related Discount Fraction of such
Principal Payments in Full and Curtailments with respect to a Discount Mortgage
Loan) to the extent not payable to the Class A Certificates and Class R
Certificates; (iv) if such Class is the most senior Class of Certificates then
outstanding (as established in Section 4.05 hereof), any Excess Subordinate
Principal Amount for such Distribution Date; and (v) any amounts described in
clauses (i), (ii) and (iii) as determined for any previous Distribution Date,
that remain undistributed to the extent that such amounts are not attributable
to Realized Losses which have been allocated to a subordinate Class of Class M
or Class B Certificates minus (b) any Excess Subordinate Principal Amount not
payable to such Class on such Distribution Date pursuant to the definition
thereof; provided, however, that such amount shall in no event exceed the
outstanding Certificate Principal Balance of such Class of Certificates
immediately prior to such date.
Subserviced Mortgage Loan: Any Mortgage Loan that, at the time of reference
thereto, is subject to a Subservicing Agreement.
Subservicer: Any Person with whom the Master Servicer has entered into a
Subservicing Agreement and who generally satisfied the requirements set forth in
the Program Guide in respect of the qualification of a Subservicer as of the
date of its approval as a Subservicer by the Master Servicer.
Subservicer Advance: Any delinquent installment of principal and interest
on a Mortgage Loan which is advanced by the related Subservicer (net of its
Subservicing Fee) pursuant to the Subservicing Agreement.
Subservicing Account: An account established by a Subservicer in accordance
with Section 3.08.
Subservicing Agreement: The written contract between the Master Servicer
and any Subservicer relating to servicing and administration of certain Mortgage
Loans as provided in Section 3.02, generally in the form of the servicer
contract referred to or contained in the Program Guide or in such other form as
has been approved by the Master Servicer and the Company. With respect to
Mortgage Loans subserviced by MLCC, the Subservicing Agreement shall also
include the Addendum and Assignment Agreement and the Pledged Asset Mortgage
Servicing Agreement.
Subservicing Fee: As to any Mortgage Loan, the fee payable monthly to the
related Subservicer (or, in the case of a Nonsubserviced Mortgage Loan, to the
Master Servicer) in respect of subservicing and other compensation that accrues
at an annual rate equal to the excess of the Mortgage Rate borne by the related
Mortgage Note over the rate per annum designated on the Mortgage Loan Schedule
as the "CURR NET" for such Mortgage Loan.
Surety: Ambac Assurance Corporation, or its successors in interest.
Surety Bond: The Limited Purpose Surety Bond (Policy No. AB0039BE), dated
February 28, 1996, issued by Ambac Assurance Corporation (formerly known as
AMBAC Indemnity Corporation) for the benefit of certain beneficiaries, including
the Trustee for the benefit of the Holders of the Certificates, but only to the
extent that such Limited Purpose Surety Bond covers any Additional Collateral
Mortgage Loans.
Tax Returns: The federal income tax return on Internal Revenue Service
Form 1066, U.S. Real Estate Mortgage Investment Conduit Income Tax Return,
including Schedule Q thereto, Quarterly Notice to Residual Interest Holders of
REMIC Taxable Income or Net Loss Allocation, or any successor forms, to be filed
on behalf of the Trust Fund due to its classification as a REMIC under the REMIC
Provisions, together with any and all other information, reports or returns that
may be required to be furnished to the Certificateholders or filed with the
Internal Revenue Service or any other governmental taxing authority under any
applicable provisions of federal, state or local tax laws.
Transfer: Any direct or indirect transfer, sale, pledge, hypothecation or
other form of assignment of any Ownership Interest in a Certificate.
Transferee: Any Person who is acquiring by Transfer any Ownership Interest
in a Certificate.
Transferor: Any Person who is disposing by Transfer of any Ownership
Interest in a Certificate.
Trust Fund: The segregated pool of assets, with respect to which a REMIC
election is to be made, consisting of:
the Mortgage Loans and the related Mortgage Files,
all payments on and collections in respect of the Mortgage Loans due after
the Cut-off Date as shall be on deposit in the Custodial Account or in the
Certificate Account and identified as belonging to the Trust Fund, including the
proceeds from the liquidation of Additional Collateral for any Additional
Collateral Loan, but not including amounts on deposit in the Initial Monthly
Payment Fund;
property which secured a Mortgage Loan and which has been acquired for the
benefit of the Certificateholders by foreclosure or deed in lieu of foreclosure,
the hazard insurance policies and Primary Insurance Policies, if any, and
the interest in the Surety Bond transferred to the Trustee pursuant to Section
2.01, and
all proceeds of clauses (i) through (iv) above.
Uncertificated REMIC Regular Interests: The 3,551 uncertificated partial
undivided beneficial ownership interests in the Trust Fund, numbered
sequentially from 1 to 3,551, each relating to the particular Mortgage Loan
identified by such sequential number on the Mortgage Loan Schedule, each having
no principal balance, and each bearing interest at the respective Pool Strip
Rate on the Stated Principal Balance of the related Mortgage Loan.
Uniform Single Attestation Program for Mortgage Bankers: The Uniform Single
Attestation Program for Mortgage Bankers, as published by the Mortgage Bankers
Association of America and effective with respect to fiscal periods ending on or
after December 15, 1995.
Uninsured Cause: Any cause of damage to property subject to a Mortgage such
that the complete restoration of such property is not fully reimbursable by the
hazard insurance policies.
United States Person: A citizen or resident of the United States, a
corporation, partnership or other entity created (treated as a corporation or
partnership for United States income tax purposes) or organized in, or under the
laws of, the United States, any state thereof, or the District of Columbia
(except in the case of a partnership, to the extent provided in Treasury
regulations) or any political subdivision thereof, or an estate that is
described in Section 7701(a)(30)(D) of the Code, or a trust that is described in
Section 7701(a)(30)(E) of the Code.
Voting Rights: The portion of the voting rights of all of the Certificates
which is allocated to any Certificate. 98.0% of all of the Voting Rights shall
be allocated among Holders of Certificates, other than the Class A-11
Certificates and Class R Certificates, in proportion to the outstanding
Certificate Principal Balances of their respective Certificates; 1.0% of all
Voting Rights shall be allocated among the Holders of the Class A-11
Certificates and the Holders of the Class R Certificates shall be entitled to
1.0% of all of the Voting Rights, allocated among the Certificates of each such
Class in accordance with their respective Percentage Interests.
Section 1.02. Determination of LIBOR.
LIBOR applicable to the calculation of the Pass-Through Rates on the Class
A-7 Certificates and Class A-8 Certificates for any Interest Accrual Period
(other than the initial Interest Accrual Period) will be determined on each
LIBOR Rate Adjustment Date.
On each LIBOR Rate Adjustment Date, LIBOR shall be established by the
Trustee and, as to any Interest Accrual Period, will equal the rate for one
month United States dollar deposits that appears on the Telerate Screen Page
3750 as of 11:00 a.m., London time, on such LIBOR Rate Adjustment Date.
"Telerate Screen Page 3750" means the display designated as page 3750 on the
Telerate Service (or such other page as may replace page 3750 on that service
for the purpose of displaying London interbank offered rates of major banks). If
such rate does not appear on such page (or such other page as may replace that
page on that service, or if such service is no longer offered, LIBOR shall be so
established by use of such other service for displaying LIBOR or comparable
rates as may be selected by the Trustee after consultation with the Master
Servicer), the rate will be the Reference Bank Rate. The "Reference Bank Rate"
will be determined on the basis of the rates at which deposits in U.S. Dollars
are offered by the reference banks (which shall be any three major banks that
are engaged in transactions in the London interbank market, selected by the
Trustee after consultation with the Master Servicer) as of 11:00 a.m., London
time, on the LIBOR Rate Adjustment Date to prime banks in the London interbank
market for a period of one month in amounts approximately equal to, with respect
to each of the Class A-7 Certificates and Class A-8 Certificates, the
Certificate Principal Balances of the Class A-7 Certificates and Class A-8
Certificates, respectively, then outstanding. The Trustee will request the
principal London office of each of the reference banks to provide a quotation of
its rate. If at least two such quotations are provided, the rate will be the
arithmetic mean of the quotations rounded up to the next multiple of 1/16%. If
on such date fewer than two quotations are provided as requested, the rate will
be the arithmetic mean of the rates quoted by one or more major banks in New
York City, selected by the Trustee after consultation with the Master Servicer,
as of 11:00 a.m., New York City time, on such date for loans in U.S. Dollars to
leading European banks for a period of one month in amounts approximately equal
to, with respect to each of the Class A-7 Certificates and Class A-8
Certificates, the Certificate Principal Balances of the Class A-7 Certificates
and Class A-8 Certificates, respectively, then outstanding. If no such
quotations can be obtained, the rate will be LIBOR for the prior Distribution
Date.
The establishment of LIBOR by the Trustee on any LIBOR Rate Adjustment
Date and the Trustee's subsequent calculation of the Pass-Through Rates
applicable to each of the Class A-7 Certificates and Class A-8 Certificates for
the relevant Interest Accrual Period, in the absence of manifest error, will be
final and binding.
Promptly following each LIBOR Rate Adjustment Date the Trustee shall supply
the Master Servicer with the results of its determination of LIBOR on such date.
Furthermore, the Trustee will supply to any Certificateholder so requesting by
telephone the Pass-Through Rates on each of the Class A-7 Certificates and Class
A-8 Certificates for the current and the immediately preceding Interest Accrual
Period.
4
ARTICLE II
CONVEYANCE OF MORTGAGE LOANS;
ORIGINAL ISSUANCE OF CERTIFICATES
Section 2.01. Conveyance of Mortgage Loans.
(a) The Company, concurrently with the execution and delivery hereof, does
hereby assign to the Trustee without recourse all the right, title and interest
of the Company in and to the Mortgage Loans, including all interest and
principal received on or with respect to the Mortgage Loans after the Cut-off
Date (other than payments of principal and interest due on the Mortgage Loans on
or before the Cut-off Date).
(b) In connection with such assignment, except as set forth in Section
2.01(c) below, the Company does hereby deliver to, and deposit with, the
Trustee, or to and with one or more Custodians, as the duly appointed agent or
agents of the Trustee for such purpose, the following documents or instruments
(or copies thereof as permitted by this Section) (I) with respect to each
Mortgage Loan so assigned (other than a Cooperative Loan):
(i) The original Mortgage Note, endorsed without recourse to the order
of the Trustee and showing an unbroken chain of endorsements from the
originator thereof to the Person endorsing it to the Trustee, or with
respect to any Destroyed Mortgage Note, an original lost note affidavit
from the related Seller or Residential Funding stating that the original
Mortgage Note was lost, misplaced or destroyed, together with a copy of the
related Mortgage Note;
(ii) The original Mortgage with evidence of recording indicated
thereon or a copy of the Mortgage certified by the public recording office
in which such Mortgage has been recorded;
(iii) An original Assignment of the Mortgage to the Trustee with
evidence of recording indicated thereon or a copy of such assignment
certified by the public recording office in which such assignment has been
recorded;
(iv) The original recorded assignment or assignments of the Mortgage
showing an unbroken chain of title from the originator thereof to the
Person assigning it to the Trustee or a copy of such assignment or
assignments of the Mortgage certified by the public recording office in
which such assignment or assignments have been recorded; and
(v) The original of each modification, assumption agreement or
preferred loan agreement, if any, relating to such Mortgage Loan or a copy
of each modification, assumption agreement or preferred loan agreement
certified by the public recording office in which such document has been
recorded.
and (II) with respect to each Cooperative Loan so assigned:
(i) The original Mortgage Note, endorsed without recourse to the order
of the Trustee and showing an unbroken chain of endorsements from the
originator thereof to the Person endorsing it to the Trustee, or with
respect to any Destroyed Mortgage Note, an original lost note affidavit
from the related Seller or Residential Funding stating that the original
Mortgage Note was lost, misplaced or destroyed, together with a copy of the
related Mortgage Note;
(ii) A counterpart of the Cooperative Lease and the Assignment of
Proprietary Lease to the originator of the Cooperative Loan with
intervening assignments showing an unbroken chain of title from such
originator to the Trustee;
(iii) The related Cooperative Stock Certificate, representing the
related Cooperative Stock pledged with respect to such Cooperative Loan,
together with an undated stock power (or other similar instrument) executed
in blank;
(iv) The original recognition agreement by the Cooperative of the
interests of the mortgagee with respect to the related Cooperative Loan;
(v) The Security Agreement;
(vi) Copies of the original UCC-1 financing statement, and any
continuation statements, filed by the originator of such Cooperative Loan
as secured party, each with evidence of recording thereof, evidencing the
interest of the originator under the Security Agreement and the Assignment
of Proprietary Lease;
(vii) Copies of the filed UCC-3 assignments of the security interest
referenced in clause (vi) above showing an unbroken chain of title from the
originator to the Trustee, each with evidence of recording thereof,
evidencing the interest of the originator under the Security Agreement and
the Assignment of Proprietary Lease;
(viii) An executed assignment of the interest of the originator in the
Security Agreement, Assignment of Proprietary Lease and the recognition
agreement referenced in clause (iv) above, showing an unbroken chain of
title from the originator to the Trustee;
(ix) The original of each modification, assumption agreement or
preferred loan agreement, if any, relating to such Cooperative Loan; and
(x) An executed UCC-1 financing statement showing the Master Servicer
as debtor, the Company as secured party and the Trustee as assignee and an
executed UCC-1 financing statement showing the Company as debtor and the
Trustee as secured party, each in a form sufficient for filing, evidencing
the interest of such debtors in the Cooperative Loans.
(c) The Company may, in lieu of delivering the documents set forth in
Section 2.01(b)(I)(iv) and (v) and Section (b)(II)(ii), (iv), (vii), (ix) and
(x) to the Trustee or the Custodian or Custodians, deliver such documents to the
Master Servicer, and the Master Servicer shall hold such documents in trust for
the use and benefit of all present and future Certificateholders until such time
as is set forth below. Within ten Business Days following the earlier of (i) the
receipt of the original of each of the documents or instruments set forth in
Section 2.01(b)(I)(iv) and (v) and Section (b)(II)(ii), (iv), (vii), (ix) and
(x) (or copies thereof as permitted by such Section) for any Mortgage Loan and
(ii) a written request by the Trustee to deliver those documents with respect to
any or all of the Mortgage Loans then being held by the Master Servicer, the
Master Servicer shall deliver a complete set of such documents to the Trustee or
the Custodian or Custodians that are the duly appointed agent or agents of the
Trustee.
On the Closing Date, the Master Servicer shall certify that it has in its
possession an original or copy of each of the documents referred to in Section
2.01(b)(I)(iv) and (v) and Section (b)(II)(ii), (iv), (vii), (ix) and (x) which
has been delivered to it by the Company. Every six months after the Closing
Date, for so long as the Master Servicer is holding documents pursuant to this
Section 2.01(c), the Master Servicer shall deliver to (i) Xxxxx'x if it is one
of the Rating Agencies, (ii) the Trustee and (iii) each Custodian a report
setting forth the status of the documents which it is holding pursuant to this
Section 2.01(c).
(d) In the event that in connection with any Mortgage Loan the Company
cannot deliver the Mortgage, any assignment, modification, assumption agreement
or preferred loan agreement (or copy thereof certified by the public recording
office) with evidence of recording thereon concurrently with the execution and
delivery of this Agreement solely because of a delay caused by the public
recording office where such Mortgage, assignment, modification, assumption
agreement or preferred loan agreement as the case may be, has been delivered for
recordation, the Company shall deliver or cause to be delivered to the Trustee
or the respective Custodian a true and correct photocopy of such Mortgage,
assignment, modification, assumption agreement or preferred loan agreement.
The Company shall promptly cause to be recorded in the appropriate public
office for real property records the Assignment referred to in clause (I)(iii)
of Section 2.01(b), except in states where, in the opinion of counsel acceptable
to the Trustee and the Master Servicer, such recording is not required to
protect the Trustee's interests in the Mortgage Loan against the claim of any
subsequent transferee or any successor to or creditor of the Company or the
originator of such Mortgage Loan and shall promptly cause to be filed the Form
UCC-3 assignment and UCC-1 financing statement referred to in clause (II)(vii)
and (x), respectively, of Section 2.01(b). If any Assignment, Form UCC-3 or Form
UCC-1, as applicable, is lost or returned unrecorded to the Company because of
any defect therein, the Company shall prepare a substitute Assignment, Form
UCC-3 or Form UCC-1, as applicable, or cure such defect, as the case may be, and
cause such Assignment to be recorded in accordance with this paragraph. The
Company shall promptly deliver or cause to be delivered to the Trustee or the
respective Custodian such Mortgage or Assignment or Form UCC-3 or Form UCC-1, as
applicable, (or copy thereof certified by the public recording office) with
evidence of recording indicated thereon upon receipt thereof from the public
recording office or from the related Subservicer. In connection with its
servicing of Cooperative Loans, the Master Servicer will use its best efforts to
file timely continuation statements with regard to each financing statement and
assignment relating to Cooperative Loans as to which the related Cooperative
Apartment is located outside of the State of New York.
In the event that the Company delivers to the Trustee or Custodian any
Mortgage Note or Assignment of Mortgage in blank, the Company shall, or shall
cause the Custodian to, complete the endorsement of the Mortgage Note and the
Assignment of Mortgage in the name of the Trustee within 45 days after the
Closing Date, as contemplated by Section 2.02.
Any of the items set forth in Sections 2.01(b)(I)(iv) and (v) and (II)(vi)
and (vii) and that may be delivered as a copy rather than the original may be
delivered in microfiche form.
(e) Residential Funding hereby assigns to the Trustee its security interest
in and to any Additional Collateral, its right to receive payments in respect of
any Additional Collateral Loans pursuant the Addendum and Assignment Agreement
and the Pledged Asset Mortgage Servicing Agreement, and its rights as
beneficiary under the Surety Bond in respect of any Additional Collateral Loans.
With respect to any Additional Collateral Mortgage Loan, Residential Funding
shall cause to be filed in the appropriate recording office a UCC-3 statement
giving notice of the assignment of the related security interest to the Trust
Fund and shall thereafter cause the timely filing of all necessary continuation
statements with regard to such financing statements.
(f) It is intended that the conveyance by the Company to the Trustee of the
Mortgage Loans as provided for in this Section 2.01 be, and be construed as, a
sale by the Company to the Trustee of the Mortgage Loans for the benefit of the
Certificateholders. Further, it is not intended that such conveyance be deemed
to be a pledge of the Mortgage Loans by the Company to the Trustee to secure a
debt or other obligation of the Company. However, in the event that the Mortgage
Loans are held to be property of the Company or of Residential Funding, or if
for any reason this Agreement is held or deemed to create a security interest in
the Mortgage Loans, then it is intended that (a) this Agreement shall also be
deemed to be a security agreement within the meaning of Articles 8 and 9 of the
New York Uniform Commercial Code and the Uniform Commercial Code of any other
applicable jurisdiction; (b) the conveyance provided for in Section 2.01 shall
be deemed to be (1) a grant by the Company to the Trustee of a security interest
in all of the Company's right (including the power to convey title thereto),
title and interest, whether now owned or hereafter acquired, in and to (A) the
Mortgage Loans, including (i) with respect to each Cooperative Loan, the related
Mortgage Note, Security Agreement, Assignment of Proprietary Lease, Cooperative
Stock Certificate, Cooperative Lease and (ii) with respect to each Mortgage Loan
other than a Cooperative Loan, the related Mortgage Note and Mortgage, (B) all
amounts payable pursuant to the Mortgage Loans in accordance with the terms
thereof, (C) any insurance policies related to any Mortgage Loan, and (D) any
and all general intangibles, accounts, chattel paper, instruments, documents,
money, deposit accounts, certificates of deposit, goods, letters of credit,
advices of credit and investment property consisting of, arising from or
relating to any of the foregoing, and all proceeds of the conversion, voluntary
or involuntary, of the foregoing into cash, instruments, securities or other
property, including without limitation all amounts from time to time held or
invested in the Certificate Account or the Custodial Account, whether in the
form of cash, instruments, securities or other property and (2) an assignment by
the Company to the Trustee of any security interest in any and all of
Residential Funding's right (including the power to convey title thereto), title
and interest, whether now owned or hereafter acquired, in and to the property
described in the foregoing clauses (1)(A), (B), (C) and (D) granted by
Residential Funding to the Company pursuant to the Assignment Agreement; (c) the
possession by the Trustee, the Custodian or any other agent of the Trustee of
Mortgage Notes or such other items of property as constitute instruments, money,
negotiable documents, , investment property goods, letters of credit, advices of
credit, certificated securities or chattel paper shall be deemed to be
"possession by the secured party," or possession by a purchaser, for purposes of
perfecting the security interest pursuant to the Minnesota Uniform Commercial
Code and the Uniform Commercial Code of any other applicable jurisdiction
(including, without limitation, Section 8-106, 9-305 and 9-115 thereof); and (d)
notifications to persons holding such property, and acknowledgments, receipts or
confirmations from persons holding such property, shall be deemed notifications
to, or acknowledgments, receipts or confirmations from, securities
intermediaries, bailees or agents of, or persons holding for (as applicable),
the Trustee or its designee for the purpose of perfecting such security interest
under applicable law.
The Company and, at the Company's direction, Residential Funding and the
Trustee shall, to the extent consistent with this Agreement, take such
reasonable actions as may be necessary to ensure that, if this Agreement were
deemed to create a security interest in the Mortgage Loans and the other
property described above, such security interest would be deemed to be a
perfected security interest of first priority under applicable law and will be
maintained as such throughout the term of this Agreement. Without limiting the
generality of the foregoing, the Company shall prepare and deliver to the
Trustee not less than 15 days prior to any filing date and, the Trustee shall
forward for filing, or shall cause to be forwarded for filing, at the expense of
the Company, all filings necessary to maintain the effectiveness of any original
filings necessary under the Uniform Commercial Code as in effect in any
jurisdiction to perfect the Trustee's security interest in or lien on the
Mortgage Loans, as evidenced by an Officer's Certificate of the Company,
including without limitation (x) continuation statements, and (y) such other
statements as may be occasioned by (1) any change of name of Residential
Funding, the Company or the Trustee (such preparation and filing shall be at the
expense of the Trustee, if occasioned by a change in the Trustee's name), (2)
any change of location of the place of business or the chief executive office of
Residential Funding or the Company or (3) any transfer of any interest of
Residential Funding or the Company in any Mortgage Loan.
(g) The Master Servicer hereby acknowledges the receipt by it of cash in an
amount equal to $83,104.92 (the "Initial Monthly Payment Fund"), representing
scheduled principal amortization and interest at the Net Mortgage Rate for the
Due Date in September 1998, for those Mortgage Loans for which the Trustee will
not be entitled to receive such payment. The Master Servicer shall hold such
Initial Monthly Payment Fund in the Custodial Account and shall include such
Initial Monthly Payment Fund in the Available Distribution Amount for the
Distribution Date in September 1998. Notwithstanding anything herein to the
contrary, the Initial Monthly Payment Fund shall not be an asset of the REMIC.
To the extent that the Initial Monthly Payment Fund constitutes a reserve fund
for federal income tax purposes, (1) it shall be an outside reserve fund and not
an asset of the REMIC, (2) it shall be owned by the Seller and (3) amounts
transferred by the REMIC to the Initial Monthly Payment Fund shall be treated as
transferred to the Seller or any successor, all within the meaning of Section
1.860G-2(h) of the Treasury Regulations.
Section 2.02. Acceptance by Trustee.
The Trustee acknowledges receipt (or, with respect to Mortgage Loans
subject to a Custodial Agreement, and based solely upon a receipt or
certification executed by the Custodian, receipt by the respective Custodian as
the duly appointed agent of the Trustee) of the documents referred to in Section
2.01(b)(i) through (iii) above (except that for purposes of such acknowledgement
only, a Mortgage Note may be endorsed in blank and an Assignment of Mortgage may
be in blank) and declares that it, or a Custodian as its agent, holds and will
hold such documents and the other documents constituting a part of the Mortgage
Files delivered to it, or a Custodian as its agent, and the rights of
Residential Funding with respect to any Additional Collateral and the Surety
Bond assigned to the Trustee pursuant to Section 2.01, in trust for the use and
benefit of all present and future Certificateholders. The Trustee or Custodian
(such Custodian being so obligated under a Custodial Agreement) agrees, for the
benefit of Certificateholders, to review each Mortgage File delivered to it
pursuant to Section 2.01(b) within 45 days after the Closing Date to ascertain
that all required documents (specifically as set forth in Section 2.01(b)), have
been executed and received, and that such documents relate to the Mortgage Loans
identified on the Mortgage Loan Schedule, as supplemented, that have been
conveyed to it. Upon delivery of the Mortgage Files by the Company or the Master
Servicer, the Trustee shall acknowledge receipt (or, with respect to Mortgage
Loans subject to a Custodial Agreement, and based solely upon a receipt or
certification executed by the Custodian, receipt by the respective Custodian as
the duly appointed agent of the Trustee) of the documents referred to in Section
2.01(c) above. The Trustee or Custodian (such Custodian being so obligated under
a Custodial Agreement) agrees to review each Mortgage File delivered to it
pursuant to Section 2.01(c) within 45 days after receipt thereof to ascertain
that all documents required to be delivered pursuant to such Section have been
received, and that such documents relate to the Mortgage Loans identified on the
Mortgage Loan Schedule, as supplemented, that have been conveyed to it.
If the Custodian, as the Trustee's agent, finds any document or documents
constituting a part of a Mortgage File to be missing or defective in any
material respect, the Trustee shall promptly so notify the Master Servicer and
the Company. Pursuant to Section 2.3 of the Custodial Agreement, the Custodian
will notify the Master Servicer, the Company and the Trustee of any such
omission or defect found by it in respect of any Mortgage File held by it. The
Master Servicer shall promptly notify the related Subservicer or Seller of such
omission or defect and request that such Subservicer or Seller correct or cure
such omission or defect within 60 days from the date the Master Servicer was
notified of such omission or defect and, if such Subservicer or Seller does not
correct or cure such omission or defect within such period, that such
Subservicer or Seller purchase such Mortgage Loan from the Trust Fund at its
Purchase Price, in either case within 90 days from the date the Master Servicer
was notified of such omission or defect; provided that if the omission or defect
would cause the Mortgage Loan to be other than a "qualified mortgage" as defined
in Section 860G(a)(3) of the Code, any such cure or repurchase must occur within
90 days from the date such breach was discovered. The Purchase Price for any
such Mortgage Loan, whether purchased by the Seller or the Subservicer, shall be
deposited or caused to be deposited by the Master Servicer in the Custodial
Account maintained by it pursuant to Section 3.07 and, upon receipt by the
Trustee of written notification of such deposit signed by a Servicing Officer,
the Trustee or any Custodian, as the case may be, shall release to the Master
Servicer the related Mortgage File and the Trustee shall execute and deliver
such instruments of transfer or assignment prepared by the Master Servicer, in
each case without recourse, as shall be necessary to vest in the Seller or its
designee or the Subservicer or its designee, as the case may be, any Mortgage
Loan released pursuant hereto and thereafter such Mortgage Loan shall not be
part of the Trust Fund. It is understood and agreed that the obligation of the
Seller or the Subservicer, as the case may be, to so cure or purchase any
Mortgage Loan as to which a material defect in or omission of a constituent
document exists shall constitute the sole remedy respecting such defect or
omission available to Certificateholders or the Trustee on behalf of the
Certificateholders.
Section 2.03. Representations, Warranties and Covenants of the Master
Servicer and the Company.
(a) The Master Servicer hereby represents and warrants to the Trustee for
the benefit of the Certificateholders that:
(i) The Master Servicer is a corporation duly organized, validly
existing and in good standing under the laws governing its creation and
existence and is or will be in compliance with the laws of each state in
which any Mortgaged Property is located to the extent necessary to ensure
the enforceability of each Mortgage Loan in accordance with the terms of
this Agreement;
(ii) The execution and delivery of this Agreement by the Master
Servicer and its performance and compliance with the terms of this
Agreement will not violate the Master Servicer's Certificate of
Incorporation or Bylaws or constitute a material default (or an event
which, with notice or lapse of time, or both, would constitute a material
default) under, or result in the material breach of, any material
contract, agreement or other instrument to which the Master Servicer is a
party or which may be applicable to the Master Servicer or any of its
assets;
(iii) This Agreement, assuming due authorization, execution and
delivery by the Trustee and the Company, constitutes a valid, legal and
binding obligation of the Master Servicer, enforceable against it in
accordance with the terms hereof subject to applicable bankruptcy,
insolvency, reorganization, moratorium and other laws affecting the
enforcement of creditors' rights generally and to general principles of
equity, regardless of whether such enforcement is considered in a
proceeding in equity or at law;
(iv) The Master Servicer is not in default with respect to any order
or decree of any court or any order, regulation or demand of any federal,
state, municipal or governmental agency, which default might have
consequences that would materially and adversely affect the condition
(financial or other) or operations of the Master Servicer or its properties
or might have consequences that would materially adversely affect its
performance hereunder;
(v) No litigation is pending or, to the best of the Master Servicer's
knowledge, threatened against the Master Servicer which would prohibit its
entering into this Agreement or performing its obligations under this
Agreement;
(vi) The Master Servicer will comply in all material respects in the
performance of this Agreement with all reasonable rules and requirements of
each insurer under each Required Insurance Policy;
(vii) No information, certificate of an officer, statement furnished
in writing or report delivered to the Company, any Affiliate of the Company
or the Trustee by the Master Servicer will, to the knowledge of the Master
Servicer, contain any untrue statement of a material fact or omit a
material fact necessary to make the information, certificate, statement or
report not misleading; and
(viii) The Master Servicer has examined each existing, and will
examine each new, Subservicing Agreement and is or will be familiar with
the terms thereof. The terms of each existing Subservicing Agreement and
each designated Subservicer are acceptable to the Master Servicer and any
new Subservicing Agreements will comply with the provisions of Section
3.02.
It is understood and agreed that the representations and warranties set forth in
this Section 2.03(a) shall survive delivery of the respective Mortgage Files to
the Trustee or any Custodian.
Upon discovery by either the Company, the Master Servicer, the Trustee or
any Custodian of a breach of any representation or warranty set forth in this
Section 2.03(a) which materially and adversely affects the interests of the
Certificateholders in any Mortgage Loan, the party discovering such breach shall
give prompt written notice to the other parties (any Custodian being so
obligated under a Custodial Agreement). Within 90 days of its discovery or its
receipt of notice of such breach, the Master Servicer shall either (i) cure such
breach in all material respects or (ii) to the extent that such breach is with
respect to a Mortgage Loan or a related document, purchase such Mortgage Loan
from the Trust Fund at the Purchase Price and in the manner set forth in Section
2.02; provided that if the omission or defect would cause the Mortgage Loan to
be other than a "qualified mortgage" as defined in Section 860G(a)(3) of the
Code, any such cure must occur within 90 days from the date such breach was
discovered. The obligation of the Master Servicer to cure such breach or to so
purchase such Mortgage Loan shall constitute the sole remedy in respect of a
breach of a representation and warranty set forth in this Section 2.03(a)
available to the Certificateholders or the Trustee on behalf of the
Certificateholders.
(b) The Company hereby represents and warrants to the Trustee for the
benefit of Certificateholders that as of the Closing Date (or, if otherwise
specified below, as of the date so specified):
(i) No Mortgage Loan is one month or more delinquent in payment of
principal and interest as of the Cut-off Date and no Mortgage Loan has been
so delinquent more than once in the 12-month period prior to the Cut-off
Date;
(ii) The information set forth in Exhibit F hereto with respect to
each Mortgage Loan or the Mortgage Loans, as the case may be, is true and
correct in all material respects at the date or dates respecting which such
information is furnished;
(iii) The Mortgage Loans are fully-amortizing, fixed-rate mortgage
loans with level Monthly Payments due on the first day of each month and
terms to maturity at origination or modification of not more than 30 years;
(iv) To the best of the Company's knowledge, except with respect to
fourteen Mortgage Loans representing approximately 0.5% of the Mortgage
Loans by aggregate Stated Principal Balance, if a Mortgage Loan is secured
by a Mortgaged Property with a Loan-to-Value Ratio at origination in
excess of 80%, such Mortgage Loan is the subject of a Primary Insurance
Policy that insures that portion of the principal balance thereof that
exceeds the amount equal to 75% of the Appraised Value of the related
Mortgaged Property. To the best of the Company's knowledge, each such
Primary Insurance Policy is in full force and effect and the Trustee is
entitled to the benefits thereunder;
(v) The issuers of the Primary Insurance Policies are insurance
companies whose claims-paying abilities are currently acceptable to each
Rating Agency;
(vi) No more than 0.6% of the Mortgage Loans by aggregate Stated
Principal Balance as of the Cut-off Date are secured by Mortgaged
Properties located in any one zip code area in California and no more than
0.4% of the Mortgage Loans by aggregate Stated Principal Balance as of the
Cut-off Date are secured by Mortgaged Properties located in any one zip
code area outside California, and none of the Mortgage Loans is a
Cooperative Loan;
(vii) If the improvements securing a Mortgage Loan are in a federally
designated special flood hazard area, flood insurance in the amount
required under the Program Guide covers the related Mortgaged Property
(either by coverage under the federal flood insurance program or by
coverage by private insurers);
(viii) Immediately prior to the assignment of the Mortgage Loans to
the Trustee, the Company had good title to, and was the sole owner of, each
Mortgage Loan free and clear of any pledge, lien, encumbrance or security
interest (other than rights to servicing and related compensation) and such
assignment validly transfers ownership of the Mortgage Loans to the Trustee
free and clear of any pledge, lien, encumbrance or security interest;
(ix) Approximately 33.19% of the Mortgage Loans by aggregate Stated
Principal Balance as of the Cut-off Date were underwritten under a reduced
loan documentation program, approximately 17.02% of the Mortgage Loans by
aggregate Stated Principal Balance as of the Cut-off Date were underwritten
under a no-stated income program and approximately 1.069% of the Mortgage
Loans by aggregate Stated Principal Balance as of the Cut-off Date were
underwritten under a no income/no asset program;
(x) Approximately 24.43% of the Mortgage Loans by aggregate Stated
Principal Balance as of the Cut-off Date are non-owner occupied properties
as of the date of origination of such Mortgage Loans;
(xi) None of the Mortgage Loans by aggregate Stated Principal Balance
as of the Cut-off Date were Buydown Mortgage Loans;
(xii) Each Mortgage Loan constitutes a qualified mortgage under
Section 860G(a)(3)(A) of the Code and Treasury Regulations Section
1.860G-2(a)(1);
(xiii) A policy of title insurance was effective as of the closing of
each Mortgage Loan and is valid and binding and remains in full force and
effect;
(xiv) With respect to a Mortgage Loan that is a Cooperative Loan, the
Cooperative Stock that is pledged as security for the Mortgage Loan is held
by a person as a tenant-stockholder (as defined in Section 216 of the Code)
in a cooperative housing corporation (as defined in Section 216 of the
Code);
(xv) Interest on each Mortgage Loan is calculated on the basis of a
360-day year consisting of twelve 30-day months;
(xvi) None of the Mortgage Loans contain in the related Mortgage File
a Destroyed Mortgage Note;
(xvii) Not more than 1.7% of the Mortgage Loans by aggregate Stated
Principal Balance as of the Cut-off Date will have been made to
International Borrowers, and no such Mortgagor is a member of a foreign
diplomatic mission with diplomatic rank;
(xviii) No Mortgage Loan provides for payments that are subject to
reduction by withholding taxes levied by any foreign (non-United States)
sovereign government; and
(xix) None of the Mortgage Loans are Additional Collateral Loans.
It is understood and agreed that the representations and warranties set forth in
this Section 2.03(b) shall survive delivery of the respective Mortgage Files to
the Trustee or any Custodian.
Upon discovery by any of the Company, the Master Servicer, the Trustee or
any Custodian of a breach of any of the representations and warranties set forth
in this Section 2.03(b) which materially and adversely affects the interests of
the Certificateholders in any Mortgage Loan, the party discovering such breach
shall give prompt written notice to the other parties (any Custodian being so
obligated under a Custodial Agreement); provided, however, that in the event of
a breach of the representation and warranty set forth in Section 2.03(b)(xii),
the party discovering such breach shall give such notice within five days of
discovery. Within 90 days of its discovery or its receipt of notice of breach,
the Company shall either (i) cure such breach in all material respects or (ii)
purchase such Mortgage Loan from the Trust Fund at the Purchase Price and in the
manner set forth in Section 2.02; provided that the Company shall have the
option to substitute a Qualified Substitute Mortgage Loan or Loans for such
Mortgage Loan if such substitution occurs within two years following the Closing
Date; provided that if the omission or defect would cause the Mortgage Loan to
be other than a "qualified mortgage" as defined in Section 860G(a)(3) of the
Code, any such cure or repurchase must occur within 90 days from the date such
breach was discovered. Any such substitution shall be effected by the Company
under the same terms and conditions as provided in Section 2.04 for
substitutions by Residential Funding. It is understood and agreed that the
obligation of the Company to cure such breach or to so purchase or substitute
for any Mortgage Loan as to which such a breach has occurred and is continuing
shall constitute the sole remedy respecting such breach available to the
Certificateholders or the Trustee on behalf of the Certificateholders.
Notwithstanding the foregoing, the Company shall not be required to cure
breaches or purchase or substitute for Mortgage Loans as provided in this
Section 2.03(b) if the substance of the breach of a representation set forth
above also constitutes fraud in the origination of the Mortgage Loan.
Section 2.04. Representations and Warranties of Sellers.
The Company, as assignee of Residential Funding under the Assignment
Agreement, hereby assigns to the Trustee for the benefit of Certificateholders
all of its right, title and interest in respect of the Assignment Agreement and
each Seller's Agreement applicable to a Mortgage Loan. Insofar as the Assignment
Agreement or such Seller's Agreement relates to the representations and
warranties made by Residential Funding or the related Seller in respect of such
Mortgage Loan and any remedies provided thereunder for any breach of such
representations and warranties, such right, title and interest may be enforced
by the Master Servicer on behalf of the Trustee and the Certificateholders. Upon
the discovery by the Company, the Master Servicer, the Trustee or any Custodian
of a breach of any of the representations and warranties made in a Seller's
Agreement or the Assignment Agreement (which, for purposes hereof, will be
deemed to include any other cause giving rise to a repurchase obligation under
the Assignment Agreement) in respect of any Mortgage Loan which materially and
adversely affects the interests of the Certificateholders in such Mortgage Loan,
the party discovering such breach shall give prompt written notice to the other
parties (any Custodian being so obligated under a Custodial Agreement). The
Master Servicer shall promptly notify the related Seller or Residential Funding,
as the case may be, of such breach and request that such Seller or Residential
Funding, as the case may be, either (i) cure such breach in all material
respects within 90 days from the date the Master Servicer was notified of such
breach or (ii) purchase such Mortgage Loan from the Trust Fund at the Purchase
Price and in the manner set forth in Section 2.02; provided that in the case of
a breach under the Assignment Agreement Residential Funding shall have the
option to substitute a Qualified Substitute Mortgage Loan or Loans for such
Mortgage Loan if such substitution occurs within two years following the Closing
Date; provided that if the breach would cause the Mortgage Loan to be other than
a "qualified mortgage" as defined in Section 860G(a)(3) of the Code, any such
cure or substitution must occur within 90 days from the date the breach was
discovered. In the event that Residential Funding elects to substitute a
Qualified Substitute Mortgage Loan or Loans for a Deleted Mortgage Loan pursuant
to this Section 2.04, Residential Funding shall deliver to the Trustee for the
benefit of the Certificateholders with respect to such Qualified Substitute
Mortgage Loan or Loans, the original Mortgage Note, the Mortgage, an Assignment
of the Mortgage in recordable form, and such other documents and agreements as
are required by Section 2.01, with the Mortgage Note endorsed as required by
Section 2.01. No substitution will be made in any calendar month after the
Determination Date for such month. Monthly Payments due with respect to
Qualified Substitute Mortgage Loans in the month of substitution shall not be
part of the Trust Fund and will be retained by the Master Servicer and remitted
by the Master Servicer to Residential Funding on the next succeeding
Distribution Date. For the month of substitution, distributions to the
Certificateholders will include the Monthly Payment due on a Deleted Mortgage
Loan for such month and thereafter Residential Funding shall be entitled to
retain all amounts received in respect of such Deleted Mortgage Loan. The Master
Servicer shall amend or cause to be amended the Mortgage Loan Schedule, and, if
the Deleted Mortgage Loan was a Discount Mortgage Loan, the Schedule of Discount
Fractions, for the benefit of the Certificateholders to reflect the removal of
such Deleted Mortgage Loan and the substitution of the Qualified Substitute
Mortgage Loan or Loans and the Master Servicer shall deliver the amended
Mortgage Loan Schedule, and, if the Deleted Mortgage Loan was a Discount Loan,
the amended Schedule of Discount Fractions, to the Trustee. Upon such
substitution, the Qualified Substitute Mortgage Loan or Loans shall be subject
to the terms of this Agreement and the related Subservicing Agreement in all
respects, the related Seller shall be deemed to have made the representations
and warranties with respect to the Qualified Substitute Mortgage Loan contained
in the related Seller's Agreement as of the date of substitution, and the
Company and the Master Servicer shall be deemed to have made with respect to any
Qualified Substitute Mortgage Loan or Loans, as of the date of substitution, the
covenants, representations and warranties set forth in this Section 2.04, in
Section 2.03 hereof and in Section 4 of the Assignment Agreement, and the Master
Servicer shall be obligated to repurchase or substitute for any Qualified
Substitute Mortgage Loan as to which a Repurchase Event (as defined in the
Assignment Agreement) has occurred pursuant to Section 4 of the Assignment
Agreement.
In connection with the substitution of one or more Qualified Substitute
Mortgage Loans for one or more Deleted Mortgage Loans, the Master Servicer will
determine the amount (if any) by which the aggregate principal balance of all
such Qualified Substitute Mortgage Loans as of the date of substitution is less
than the aggregate Stated Principal Balance of all such Deleted Mortgage Loans
(in each case after application of the principal portion of the Monthly Payments
due in the month of substitution that are to be distributed to the
Certificateholders in the month of substitution). Residential Funding shall
deposit the amount of such shortfall into the Custodial Account on the day of
substitution, without any reimbursement therefor. Residential Funding shall give
notice in writing to the Trustee of such event, which notice shall be
accompanied by an Officers' Certificate as to the calculation of such shortfall
and (subject to Section 10.01(f)) by an Opinion of Counsel to the effect that
such substitution will not cause (a) any federal tax to be imposed on the Trust
Fund, including without limitation, any federal tax imposed on "prohibited
transactions" under Section 860F(a)(1) of the Code or on "contributions after
the startup date" under Section 860G(d)(1) of the Code or (b) any portion of the
Trust Fund to fail to qualify as a REMIC at any time that any Certificate is
outstanding.
It is understood and agreed that the obligation of the Seller or
Residential Funding, as the case may be, to cure such breach or purchase (or in
the case of Residential Funding to substitute for) such Mortgage Loan as to
which such a breach has occurred and is continuing shall constitute the sole
remedy respecting such breach available to the Certificateholders or the Trustee
on behalf of Certificateholders. If the Master Servicer is Residential Funding,
then the Trustee shall also have the right to give the notification and require
the purchase or substitution provided for in the second preceding paragraph in
the event of such a breach of a representation or warranty made by Residential
Funding in the Assignment Agreement. In connection with the purchase of or
substitution for any such Mortgage Loan by Residential Funding, the Trustee
shall assign to Residential Funding all of the right, title and interest in
respect of the Seller's Agreement and the Assignment Agreement applicable to
such Mortgage Loan.
Section 2.05. Execution and Authentication of Certificates.
The Trustee acknowledges the assignment to it of the Mortgage Loans and the
delivery of the Mortgage Files to it, or any Custodian on its behalf, subject to
any exceptions noted, together with the assignment to it of all other assets
included in the Trust Fund, receipt of which is hereby acknowledged.
Concurrently with such delivery and in exchange therefor, the Trustee, pursuant
to the written request of the Company executed by an officer of the Company has
executed and caused to be authenticated and delivered to or upon the order of
the Company the Certificates in authorized denominations which evidence
ownership of the entire Trust Fund.
5
ARTICLE III
ADMINISTRATION AND SERVICING
OF MORTGAGE LOANS
Section 3.01. Master Servicer to Act as Servicer.
(a) The Master Servicer shall service and administer the Mortgage Loans in
accordance with the terms of this Agreement and the respective Mortgage Loans
and shall have full power and authority, acting alone or through Subservicers as
provided in Section 3.02, to do any and all things which it may deem necessary
or desirable in connection with such servicing and administration. Without
limiting the generality of the foregoing, the Master Servicer in its own name or
in the name of a Subservicer is hereby authorized and empowered by the Trustee
when the Master Servicer or the Subservicer, as the case may be, believes it
appropriate in its best judgment, to execute and deliver, on behalf of the
Certificateholders and the Trustee or any of them, any and all instruments of
satisfaction or cancellation, or of partial or full release or discharge, or of
consent to assumption or modification in connection with a proposed conveyance,
or of assignment of any Mortgage and Mortgage Note in connection with the
repurchase of a Mortgage Loan and all other comparable instruments, or with
respect to the modification or re-recording of a Mortgage for the purpose of
correcting the Mortgage, the subordination of the lien of the Mortgage in favor
of a public utility company or government agency or unit with powers of eminent
domain, the taking of a deed in lieu of foreclosure, the completion of judicial
or non-judicial foreclosure, the conveyance of a Mortgaged Property to the
related Insurer, the acquisition of any property acquired by foreclosure or deed
in lieu of foreclosure, or the management, marketing and conveyance of any
property acquired by foreclosure or deed in lieu of foreclosure with respect to
the Mortgage Loans and with respect to the Mortgaged Properties. Notwithstanding
the foregoing, subject to Section 3.07(a), the Master Servicer shall not permit
any modification with respect to any Mortgage Loan that would both constitute a
sale or exchange of such Mortgage Loan within the meaning of Section 1001 of the
Code and any proposed, temporary or final regulations promulgated thereunder
(other than in connection with a proposed conveyance or assumption of such
Mortgage Loan that is treated as a Principal Prepayment in Full pursuant to
Section 3.13(d) hereof) and cause the Trust Fund to fail to qualify as such
under the Code. The Trustee shall furnish the Master Servicer with any powers of
attorney and other documents necessary or appropriate to enable the Master
Servicer to service and administer the Mortgage Loans. The Trustee shall not be
liable for any action taken by the Master Servicer or any Subservicer pursuant
to such powers of attorney. In servicing and administering any Nonsubserviced
Mortgage Loan, the Master Servicer shall, to the extent not inconsistent with
this Agreement, comply with the Program Guide as if it were the originator of
such Mortgage Loan and had retained the servicing rights and obligations in
respect thereof. In connection with servicing and administering the Mortgage
Loans, the Master Servicer and any Affiliate of the Master Servicer (i) may
perform services such as appraisals and brokerage services that are not
customarily provided by servicers of mortgage loans, and shall be entitled to
reasonable compensation therefor in accordance with Section 3.10 and (ii) may,
at its own discretion and on behalf of the Trustee, obtain credit information in
the form of a "credit score" from a credit repository.
(b) All costs incurred by the Master Servicer or by Subservicers in
effecting the timely payment of taxes and assessments on the properties subject
to the Mortgage Loans shall not, for the purpose of calculating monthly
distributions to the Certificateholders, be added to the amount owing under the
related Mortgage Loans, notwithstanding that the terms of such Mortgage Loan so
permit, and such costs shall be recoverable to the extent permitted by Section
3.10(a)(ii).
(c) The Master Servicer may enter into one or more agreements in connection
with the offering of pass-through certificates evidencing interests in one or
more of the Certificates providing for the payment by the Master Servicer of
amounts received by the Master Servicer as servicing compensation hereunder and
required to cover certain Prepayment Interest Shortfalls on the Mortgage Loans,
which payment obligation will thereafter be an obligation of the Master Servicer
hereunder.
Section 3.02. Subservicing Agreements Between Master Servicer and
Subservicers; Enforcement of Subservicers' and Sellers' Obligations.
(a) The Master Servicer may continue in effect Subservicing Agreements
entered into by Residential Funding and Subservicers prior to the execution and
delivery of this Agreement, and may enter into new Subservicing Agreements with
Subservicers, for the servicing and administration of all or some of the
Mortgage Loans. Each Subservicer of a Mortgage Loan shall be entitled to receive
and retain, as provided in the related Subservicing Agreement and in Section
3.07, the related Subservicing Fee from payments of interest received on such
Mortgage Loan after payment of all amounts required to be remitted to the Master
Servicer in respect of such Mortgage Loan. For any Mortgage Loan that is a
Nonsubserviced Mortgage Loan, the Master Servicer shall be entitled to receive
and retain an amount equal to the Subservicing Fee from payments of interest.
Unless the context otherwise requires, references in this Agreement to actions
taken or to be taken by the Master Servicer in servicing the Mortgage Loans
include actions taken or to be taken by a Subservicer on behalf of the Master
Servicer. Each Subservicing Agreement will be upon such terms and conditions as
are generally required or permitted by the Program Guide and are not
inconsistent with this Agreement and as the Master Servicer and the Subservicer
have agreed. A representative form of Subservicing Agreement is attached to this
Agreement as Exhibit G. With the approval of the Master Servicer, a Subservicer
may delegate its servicing obligations to third-party servicers, but such
Subservicer will remain obligated under the related Subservicing Agreement. The
Master Servicer and a Subservicer may enter into amendments thereto or a
different form of Subservicing Agreement, and the form referred to or included
in the Program Guide is merely provided for information and shall not be deemed
to limit in any respect the discretion of the Master Servicer to modify or enter
into different Subservicing Agreements; provided, however, that any such
amendments or different forms shall be consistent with and not violate the
provisions of either this Agreement or the Program Guide in a manner which would
materially and adversely affect the interests of the Certificateholders.
(b) As part of its servicing activities hereunder, the Master Servicer, for
the benefit of the Trustee and the Certificateholders, shall use its best
reasonable efforts to enforce the obligations of each Subservicer under the
related Subservicing Agreement and of each Seller under the related Seller's
Agreement, to the extent that the non-performance of any such obligation would
have a material and adverse effect on a Mortgage Loan, including, without
limitation, the obligation to purchase a Mortgage Loan on account of defective
documentation, as described in Section 2.02, or on account of a breach of a
representation or warranty, as described in Section 2.04. Such enforcement,
including, without limitation, the legal prosecution of claims, termination of
Subservicing Agreements or Seller's Agreements, as appropriate, and the pursuit
of other appropriate remedies, shall be in such form and carried out to such an
extent and at such time as the Master Servicer would employ in its good faith
business judgment and which are normal and usual in its general mortgage
servicing activities. The Master Servicer shall pay the costs of such
enforcement at its own expense, and shall be reimbursed therefor only (i) from a
general recovery resulting from such enforcement to the extent, if any, that
such recovery exceeds all amounts due in respect of the related Mortgage Loan or
(ii) from a specific recovery of costs, expenses or attorneys fees against the
party against whom such enforcement is directed.
Section 3.03. Successor Subservicers.
The Master Servicer shall be entitled to terminate any Subservicing
Agreement that may exist in accordance with the terms and conditions of such
Subservicing Agreement and without any limitation by virtue of this Agreement;
provided, however, that in the event of termination of any Subservicing
Agreement by the Master Servicer or the Subservicer, the Master Servicer shall
either act as servicer of the related Mortgage Loan or enter into a Subservicing
Agreement with a successor Subservicer which will be bound by the terms of the
related Subservicing Agreement. If the Master Servicer or any Affiliate of
Residential Funding acts as servicer, it will not assume liability for the
representations and warranties of the Subservicer which it replaces. If the
Master Servicer enters into a Subservicing Agreement with a successor
Subservicer, the Master Servicer shall use reasonable efforts to have the
successor Subservicer assume liability for the representations and warranties
made by the terminated Subservicer in respect of the related Mortgage Loans and,
in the event of any such assumption by the successor Subservicer, the Master
Servicer may, in the exercise of its business judgment, release the terminated
Subservicer from liability for such representations and warranties.
Section 3.04. Liability of the Master Servicer.
Notwithstanding any Subservicing Agreement, any of the provisions of this
Agreement relating to agreements or arrangements between the Master Servicer or
a Subservicer or reference to actions taken through a Subservicer or otherwise,
the Master Servicer shall remain obligated and liable to the Trustee and the
Certificateholders for the servicing and administering of the Mortgage Loans in
accordance with the provisions of Section 3.01 without diminution of such
obligation or liability by virtue of such Subservicing Agreements or
arrangements or by virtue of indemnification from the Subservicer or the Company
and to the same extent and under the same terms and conditions as if the Master
Servicer alone were servicing and administering the Mortgage Loans. The Master
Servicer shall be entitled to enter into any agreement with a Subservicer or
Seller for indemnification of the Master Servicer and nothing contained in this
Agreement shall be deemed to limit or modify such indemnification.
Section 3.05. No Contractual Relationship Between Subservicer and Trustee
or Certificateholders.
Any Subservicing Agreement that may be entered into and any other
transactions or services relating to the Mortgage Loans involving a Subservicer
in its capacity as such and not as an originator shall be deemed to be between
the Subservicer and the Master Servicer alone and the Trustee and the
Certificateholders shall not be deemed parties thereto and shall have no claims,
rights, obligations, duties or liabilities with respect to the Subservicer in
its capacity as such except as set forth in Section 3.06. The foregoing
provision shall not in any way limit a Subservicer's obligation to cure an
omission or defect or to repurchase a Mortgage Loan as referred to in Section
2.02 hereof.
Section 3.06. Assumption or Termination of Subservicing Agreements by
Trustee.
(a) In the event the Master Servicer shall for any reason no longer be the
master servicer (including by reason of an Event of Default), the Trustee, its
designee or its successor shall thereupon assume all of the rights and
obligations of the Master Servicer under each Subservicing Agreement that may
have been entered into. The Trustee, its designee or the successor servicer for
the Trustee shall be deemed to have assumed all of the Master Servicer's
interest therein and to have replaced the Master Servicer as a party to the
Subservicing Agreement to the same extent as if the Subservicing Agreement had
been assigned to the assuming party except that the Master Servicer shall not
thereby be relieved of any liability or obligations under the Subservicing
Agreement.
(b) The Master Servicer shall, upon request of the Trustee but at the
expense of the Master Servicer, deliver to the assuming party all documents and
records relating to each Subservicing Agreement and the Mortgage Loans then
being serviced and an accounting of amounts collected and held by it and
otherwise use its best efforts to effect the orderly and efficient transfer of
each Subservicing Agreement to the assuming party.
Section 3.07. Collection of Certain Mortgage Loan Payments; Deposits to
Custodial Account.
(a) The Master Servicer shall make reasonable efforts to collect all
payments called for under the terms and provisions of the Mortgage Loans, and
shall, to the extent such procedures shall be consistent with this Agreement and
the terms and provisions of any related Primary Insurance Policy, follow such
collection procedures as it would employ in its good faith business judgment and
which are normal and usual in its general mortgage servicing activities.
Consistent with the foregoing, the Master Servicer may in its discretion (i)
waive any late payment charge or any prepayment charge or penalty interest in
connection with the prepayment of a Mortgage Loan and (ii) extend the Due Date
for payments due on a Mortgage Loan in accordance with the Program Guide;
provided, however, that the Master Servicer shall first determine that any such
waiver or extension will not impair the coverage of any related Primary
Insurance Policy or materially adversely affect the lien of the related
Mortgage. In the event of any such arrangement, the Master Servicer shall make
timely advances on the related Mortgage Loan during the scheduled period in
accordance with the amortization schedule of such Mortgage Loan without
modification thereof by reason of such arrangements unless otherwise agreed to
by the Holders of the Classes of Certificates affected thereby; provided,
however, that no such extension shall be made if any advance would be a
Nonrecoverable Advance. Consistent with the terms of this Agreement, the Master
Servicer may also waive, modify or vary any term of any Mortgage Loan or consent
to the postponement of strict compliance with any such term or in any manner
grant indulgence to any Mortgagor if in the Master Servicer's determination such
waiver, modification, postponement or indulgence is not materially adverse to
the interests of the Certificateholders (taking into account any estimated
Realized Loss that might result absent such action); provided, however, that the
Master Servicer may not modify materially or permit any Subservicer to modify
any Mortgage Loan, including without limitation any modification that would
change the Mortgage Rate, forgive the payment of any principal or interest
(unless in connection with the liquidation of the related Mortgage Loan or
except in connection with prepayments to the extent that such reamortization is
not inconsistent with the terms of the Mortgage Loan), or extend the final
maturity date of such Mortgage Loan, unless such Mortgage Loan is in default or,
in the judgment of the Master Servicer, such default is reasonably foreseeable;
and provided, further, that no such modification shall reduce the interest rate
on a Mortgage Loan below the sum of the Pool Strip Rate and the sum of the rates
at which the Servicing Fee and the Subservicing Fee with respect to such
Mortgage Loan accrues. In connection with any Curtailment of a Mortgage Loan,
the Master Servicer, to the extent not inconsistent with the terms of the
Mortgage Note and local law and practice, may permit the Mortgage Loan to be
reamortized such that the Monthly Payment is recalculated as an amount that will
fully amortize the remaining Stated Principal Balance thereof by the original
Maturity Date based on the original Mortgage Rate; provided, that such
re-amortization shall not be permitted if it would constitute a reissuance of
the Mortgage Loan for federal income tax purposes.
(b) The Master Servicer shall establish and maintain a Custodial Account in
which the Master Servicer shall deposit or cause to be deposited on a daily
basis, except as otherwise specifically provided herein, the following payments
and collections remitted by Subservicers or received by it in respect of the
Mortgage Loans subsequent to the Cut-off Date (other than in respect of
principal and interest on the Mortgage Loans due on or before the Cut-off Date):
(i) All payments on account of principal, including Principal
Prepayments made by Mortgagors on the Mortgage Loans and the principal
component of any Subservicer Advance or of any REO Proceeds received in
connection with an REO Property for which an REO Disposition has occurred;
(ii) All payments on account of interest at the Adjusted Mortgage Rate
on the Mortgage Loans, including Buydown Funds, if any, and the interest
component of any Subservicer Advance or of any REO Proceeds received in
connection with an REO Property for which an REO Disposition has occurred;
(iii) Insurance Proceeds and Liquidation Proceeds (net of any related
expenses of the Subservicer);
(iv) All proceeds of any Mortgage Loans purchased pursuant to Section
2.02, 2.03, 2.04 or 4.07 and all amounts required to be deposited in
connection with the substitution of a Qualified Substitute Mortgage Loan
pursuant to Section 2.03 or 2.04;
(v) Any amounts required to be deposited pursuant to Section 3.07(c)
or 3.21;
(vi) All amounts transferred from the Certificate Account to the
Custodial Account in accordance with Section 4.02(a); and
(vii) Any amounts realized by MLCC and received by the Master Servicer
in respect of any Additional Collateral.
The foregoing requirements for deposit in the Custodial Account shall be
exclusive, it being understood and agreed that, without limiting the generality
of the foregoing, payments on the Mortgage Loans which are not part of the Trust
Fund (consisting of payments in respect of principal and interest on the
Mortgage Loans due on or before the Cut-off Date) and payments or collections in
the nature of prepayment charges or late payment charges or assumption fees may
but need not be deposited by the Master Servicer in the Custodial Account. In
the event any amount not required to be deposited in the Custodial Account is so
deposited, the Master Servicer may at any time withdraw such amount from the
Custodial Account, any provision herein to the contrary notwithstanding. The
Custodial Account may contain funds that belong to one or more trust funds
created for mortgage pass-through certificates of other series and may contain
other funds respecting payments on mortgage loans belonging to the Master
Servicer or serviced or master serviced by it on behalf of others.
Notwithstanding such commingling of funds, the Master Servicer shall keep
records that accurately reflect the funds on deposit in the Custodial Account
that have been identified by it as being attributable to the Mortgage Loans.
With respect to Insurance Proceeds, Liquidation Proceeds, REO Proceeds and
the proceeds of the purchase of any Mortgage Loan pursuant to Sections 2.02,
2.03, 2.04 and 4.07 received in any calendar month, the Master Servicer may
elect to treat such amounts as included in the Available Distribution Amount for
the Distribution Date in the month of receipt, but is not obligated to do so. If
the Master Servicer so elects, such amounts will be deemed to have been received
(and any related Realized Loss shall be deemed to have occurred) on the last day
of the month prior to the receipt thereof.
(c) The Master Servicer shall use its best efforts to cause the institution
maintaining the Custodial Account to invest the funds in the Custodial Account
attributable to the Mortgage Loans in Permitted Investments which shall mature
not later than the Certificate Account Deposit Date next following the date of
such investment (with the exception of the Amount Held for Future Distribution)
and which shall not be sold or disposed of prior to their maturities. All income
and gain realized from any such investment shall be for the benefit of the
Master Servicer as additional servicing compensation and shall be subject to its
withdrawal or order from time to time. The amount of any losses incurred in
respect of any such investments attributable to the investment of amounts in
respect of the Mortgage Loans shall be deposited in the Custodial Account by the
Master Servicer out of its own funds immediately as realized without any right
of reimbursement.
(d) The Master Servicer shall give notice to the Trustee and the Company of
any change in the location of the Custodial Account and the location of the
Certificate Account prior to the use thereof.
Section 3.08. Subservicing Accounts; Servicing Accounts.
(a) In those cases where a Subservicer is servicing a Mortgage Loan
pursuant to a Subservicing Agreement, the Master Servicer shall cause the
Subservicer, pursuant to the Subservicing Agreement, to establish and maintain
one or more Subservicing Accounts which shall be an Eligible Account or, if such
account is not an Eligible Account, shall generally satisfy the requirements of
the Program Guide and be otherwise acceptable to the Master Servicer and each
Rating Agency. The Subservicer will be required thereby to deposit into the
Subservicing Account on a daily basis all proceeds of Mortgage Loans received by
the Subservicer, less its Subservicing Fees and unreimbursed advances and
expenses, to the extent permitted by the Subservicing Agreement. If the
Subservicing Account is not an Eligible Account, the Master Servicer shall be
deemed to have received such monies upon receipt thereof by the Subservicer. The
Subservicer shall not be required to deposit in the Subservicing Account
payments or collections in the nature of prepayment charges or late charges or
assumption fees. On or before the date specified in the Program Guide, but in no
event later than the Determination Date, the Master Servicer shall cause the
Subservicer, pursuant to the Subservicing Agreement, to remit to the Master
Servicer for deposit in the Custodial Account all funds held in the Subservicing
Account with respect to each Mortgage Loan serviced by such Subservicer that are
required to be remitted to the Master Servicer. The Subservicer will also be
required, pursuant to the Subservicing Agreement, to advance on such scheduled
date of remittance amounts equal to any scheduled monthly installments of
principal and interest less its Subservicing Fees on any Mortgage Loans for
which payment was not received by the Subservicer. This obligation to advance
with respect to each Mortgage Loan will continue up to and including the first
of the month following the date on which the related Mortgaged Property is sold
at a foreclosure sale or is acquired by the Trust Fund by deed in lieu of
foreclosure or otherwise. All such advances received by the Master Servicer
shall be deposited promptly by it in the Custodial Account.
(b) The Subservicer may also be required, pursuant to the Subservicing
Agreement, to remit to the Master Servicer for deposit in the Custodial Account
interest at the Adjusted Mortgage Rate (or Modified Net Mortgage Rate plus the
rate per annum at which the Servicing Fee accrues in the case of a Modified
Mortgage Loan) on any Curtailment received by such Subservicer in respect of a
Mortgage Loan from the related Mortgagor during any month that is to be applied
by the Subservicer to reduce the unpaid principal balance of the related
Mortgage Loan as of the first day of such month, from the date of application of
such Curtailment to the first day of the following month. Any amounts paid by a
Subservicer pursuant to the preceding sentence shall be for the benefit of the
Master Servicer as additional servicing compensation and shall be subject to its
withdrawal or order from time to time pursuant to Sections 3.10(a)(iv) and (v).
(c) In addition to the Custodial Account and the Certificate Account, the
Master Servicer shall for any Nonsubserviced Mortgage Loan, and shall cause the
Subservicers for Subserviced Mortgage Loans to, establish and maintain one or
more Servicing Accounts and deposit and retain therein all collections from the
Mortgagors (or advances from Subservicers) for the payment of taxes,
assessments, hazard insurance premiums, Primary Insurance Policy premiums, if
applicable, or comparable items for the account of the Mortgagors. Each
Servicing Account shall satisfy the requirements for a Subservicing Account and,
to the extent permitted by the Program Guide or as is otherwise acceptable to
the Master Servicer, may also function as a Subservicing Account. Withdrawals of
amounts related to the Mortgage Loans from the Servicing Accounts may be made
only to effect timely payment of taxes, assessments, hazard insurance premiums,
Primary Insurance Policy premiums, if applicable, or comparable items, to
reimburse the Master Servicer or Subservicer out of related collections for any
payments made pursuant to Sections 3.11 (with respect to the Primary Insurance
Policy) and 3.12(a) (with respect to hazard insurance), to refund to any
Mortgagors any sums as may be determined to be overages, to pay interest, if
required, to Mortgagors on balances in the Servicing Account or to clear and
terminate the Servicing Account at the termination of this Agreement in
accordance with Section 9.01 or in accordance with the Program Guide. As part of
its servicing duties, the Master Servicer shall, and the Subservicers will,
pursuant to the Subservicing Agreements, be required to pay to the Mortgagors
interest on funds in this account to the extent required by law.
(d) The Master Servicer shall advance the payments referred to in the
preceding subsection that are not timely paid by the Mortgagors or advanced by
the Subservicers on the date when the tax, premium or other cost for which such
payment is intended is due, but the Master Servicer shall be required so to
advance only to the extent that such advances, in the good faith judgment of the
Master Servicer, will be recoverable by the Master Servicer out of Insurance
Proceeds, Liquidation Proceeds or otherwise.
Section 3.09. Access to Certain Documentation and Information Regarding the
Mortgage Loans.
In the event that compliance with this Section 3.09 shall make any Class
of Certificates legal for investment by federally insured savings and loan
associations, the Master Servicer shall provide, or cause the Subservicers to
provide, to the Trustee, the Office of Thrift Supervision or the FDIC and the
supervisory agents and examiners thereof access to the documentation regarding
the Mortgage Loans required by applicable regulations of the Office of Thrift
Supervision, such access being afforded without charge but only upon reasonable
request and during normal business hours at the offices designated by the Master
Servicer. The Master Servicer shall permit such representatives to photocopy any
such documentation and shall provide equipment for that purpose at a charge
reasonably approximating the cost of such photocopying to the Master Servicer.
Section 3.10. Permitted Withdrawals from the Custodial Account.
(a) The Master Servicer may, from time to time as provided herein, make
withdrawals from the Custodial Account of amounts on deposit therein pursuant to
Section 3.07 that are attributable to the Mortgage Loans for the following
purposes:
(i) to make deposits into the Certificate Account in the amounts and
in the manner provided for in Section 4.01;
(ii) to reimburse itself or the related Subservicer for previously
unreimbursed advances or expenses made pursuant to Sections 3.01, 3.07(a),
3.08, 3.11, 3.12(a), 3.14 and 4.04 or otherwise reimbursable pursuant to
the terms of this Agreement, such withdrawal right being limited to amounts
received on particular Mortgage Loans (including, for this purpose, REO
Proceeds, Insurance Proceeds, Liquidation Proceeds and proceeds from the
purchase of a Mortgage Loan pursuant to Section 2.02, 2.03, 2.04 or 4.07)
which represent (A) Late Collections of Monthly Payments for which any such
advance was made in the case of Subservicer Advances or Advances pursuant
to Section 4.04 and (B) recoveries of amounts in respect of which such
advances were made in the case of Servicing Advances;
(iii) to pay to itself or the related Subservicer (if not previously
retained by such Subservicer) out of each payment received by the Master
Servicer on account of interest on a Mortgage Loan as contemplated by
Sections 3.14 and 3.16, an amount equal to that remaining portion of any
such payment as to interest (but not in excess of the Servicing Fee and
the Subservicing Fee, if not previously retained) which, when deducted,
will result in the remaining amount of such interest being interest at the
Net Mortgage Rate (or Modified Net Mortgage Rate in the case of a Modified
Mortgage Loan) on the amount specified in the amortization schedule of the
related Mortgage Loan as the principal balance thereof at the beginning of
the period respecting which such interest was paid after giving effect to
any previous Curtailments;
(iv) to pay to itself as additional servicing compensation any
interest or investment income earned on funds deposited in the Custodial
Account that it is entitled to withdraw pursuant to Section 3.07(c);
(v) to pay to itself as additional servicing compensation any
Foreclosure Profits, and any amounts remitted by Subservicers as interest
in respect of Curtailments pursuant to Section 3.08(b);
(vi) to pay to itself, a Subservicer, a Seller, Residential Funding,
the Company or any other appropriate Person, as the case may be, with
respect to each Mortgage Loan or property acquired in respect thereof that
has been purchased or otherwise transferred pursuant to Section 2.02, 2.03,
2.04, 4.07 or 9.01, all amounts received thereon and not required to be
distributed to the Certificateholders as of the date on which the related
Stated Principal Balance or Purchase Price is determined;
(vii) to reimburse itself or the related Subservicer for any
Nonrecoverable Advance or Advances in the manner and to the extent
provided in subsection (c) below, any Advance made in connection with a
modification of a Mortgage Loan that is in default or, in the judgment of
the Master Servicer, default is reasonably foreseeable pursuant to Section
3.07(a), to the extent the amount of the Advance has been added to the
outstanding principal balance of the Mortgage Loan, or any Advance
reimbursable to the Master Servicer pursuant to Section 4.02(a)(iii);
(viii) to reimburse itself or the Company for expenses incurred by and
reimbursable to it or the Company pursuant to Sections 3.13, 3.14(c), 6.03,
10.01 or otherwise, or in connection with enforcing any repurchase,
substitution or indemnification obligation of any Seller (other than an
Affiliate of the Company) pursuant to the related Seller's Agreement;
(ix) to reimburse itself for amounts expended by it (a) pursuant to
Section 3.14 in good faith in connection with the restoration of property
damaged by an Uninsured Cause, and (b) in connection with the liquidation
of a Mortgage Loan or disposition of an REO Property to the extent not
otherwise reimbursed pursuant to clause (ii) or (viii) above; and
(x) to withdraw any amount deposited in the Custodial Account that was
not required to be deposited therein pursuant to Section 3.07.
(b) Since, in connection with withdrawals pursuant to clauses (ii), (iii),
(v) and (vi), the Master Servicer's entitlement thereto is limited to
collections or other recoveries on the related Mortgage Loan, the Master
Servicer shall keep and maintain separate accounting, on a Mortgage Loan by
Mortgage Loan basis, for the purpose of justifying any withdrawal from the
Custodial Account pursuant to such clauses.
(c) The Master Servicer shall be entitled to reimburse itself or the
related Subservicer for any advance made in respect of a Mortgage Loan that the
Master Servicer determines to be a Nonrecoverable Advance by withdrawal from the
Custodial Account of amounts on deposit therein attributable to the Mortgage
Loans on any Certificate Account Deposit Date succeeding the date of such
determination. Such right of reimbursement in respect of a Nonrecoverable
Advance on any such Certificate Account Deposit Date shall be limited to an
amount not exceeding the portion of such advance previously paid to
Certificateholders (and not theretofore reimbursed to the Master Servicer or the
related Subservicer).
Section 3.11. Maintenance of the Primary Insurance Policies; Collections
Thereunder.
(a) The Master Servicer shall not take, or permit any Subservicer to take,
any action which would result in non-coverage under any applicable Primary
Insurance Policy of any loss which, but for the actions of the Master Servicer
or Subservicer, would have been covered thereunder. To the extent coverage is
available, the Master Servicer shall keep or cause to be kept in full force and
effect each such Primary Insurance Policy until the principal balance of the
related Mortgage Loan secured by a Mortgaged Property is reduced to 80% or less
of the Appraised Value in the case of such a Mortgage Loan having a
Loan-to-Value Ratio at origination in excess of 80%, provided that such Primary
Insurance Policy was in place as of the Cut-off Date and the Company had
knowledge of such Primary Insurance Policy. The Master Servicer shall be
entitled to cancel or permit the discontinuation of any Primary Insurance Policy
as to any Mortgage Loan, if the Stated Principal Balance of the Mortgage Loan is
reduced below an amount equal to 80% of the appraised value of the related
Mortgaged Property as determined in any appraisal thereof after the Closing
Date, or if the Loan-to-Value Ratio is reduced below 80% as a result of
principal payments on the Mortgage Loan after the Closing Date. In the event
that the Company gains knowledge that as of the Closing Date, a Mortgage Loan
had a Loan-to-Value Ratio at origination in excess of 80% and is not the subject
of a Primary Insurance Policy (and was not included in any exception to the
representation in Section 2.03(b)(iv)) and that such Mortgage Loan has a current
Loan-to-Value Ratio in excess of 80% then the Master Servicer shall use its
reasonable efforts to obtain and maintain a Primary Insurance Policy to the
extent that such a policy is obtainable at a reasonable price. The Master
Servicer shall not cancel or refuse to renew any such Primary Insurance Policy
applicable to a Nonsubserviced Mortgage Loan, or consent to any Subservicer
canceling or refusing to renew any such Primary Insurance Policy applicable to a
Mortgage Loan subserviced by it, that is in effect at the date of the initial
issuance of the Certificates and is required to be kept in force hereunder
unless the replacement Primary Insurance Policy for such canceled or non-renewed
policy is maintained with an insurer whose claims-paying ability is acceptable
to each Rating Agency for mortgage pass-through certificates having a rating
equal to or better than the lower of the then-curren rating or the rating
assigned to the Certificates as of the Closing Date by such Rating Agency.
(b) In connection with its activities as administrator and servicer of the
Mortgage Loans, the Master Servicer agrees to present or to cause the related
Subservicer to present, on behalf of the Master Servicer, the Subservicer, if
any, the Trustee and Certificateholders, claims to the related Insurer under any
Primary Insurance Policies, in a timely manner in accordance with such policies,
and, in this regard, to take or cause to be taken such reasonable action as
shall be necessary to permit recovery under any Primary Insurance Policies
respecting defaulted Mortgage Loans. Pursuant to Section 3.07, any Insurance
Proceeds collected by or remitted to the Master Servicer under any Primary
Insurance Policies shall be deposited in the Custodial Account, subject to
withdrawal pursuant to Section 3.10.
Section 3.12. Maintenance of Fire Insurance and Omissions and Fidelity
Coverage.
(a) The Master Servicer shall cause to be maintained for each Mortgage Loan
(other than a Cooperative Loan) fire insurance with extended coverage in an
amount which is equal to the lesser of the principal balance owing on such
Mortgage Loan or 100 percent of the insurable value of the improvements;
provided, however, that such coverage may not be less than the minimum amount
required to fully compensate for any loss or damage on a replacement cost basis.
To the extent it may do so without breaching the related Subservicing Agreement,
the Master Servicer shall replace any Subservicer that does not cause such
insurance, to the extent it is available, to be maintained. The Master Servicer
shall also cause to be maintained on property acquired upon foreclosure, or deed
in lieu of foreclosure, of any Mortgage Loan (other than a Cooperative Loan),
fire insurance with extended coverage in an amount which is at least equal to
the amount necessary to avoid the application of any co-insurance clause
contained in the related hazard insurance policy. Pursuant to Section 3.07, any
amounts collected by the Master Servicer under any such policies (other than
amounts to be applied to the restoration or repair of the related Mortgaged
Property or property thus acquired or amounts released to the Mortgagor in
accordance with the Master Servicer's normal servicing procedures) shall be
deposited in the Custodial Account, subject to withdrawal pursuant to Section
3.10. Any cost incurred by the Master Servicer in maintaining any such insurance
shall not, for the purpose of calculating monthly distributions to the
Certificateholders, be added to the amount owing under the Mortgage Loan,
notwithstanding that the terms of the Mortgage Loan so permit. Such costs shall
be recoverable by the Master Servicer out of related late payments by the
Mortgagor or out of Insurance Proceeds and Liquidation Proceeds to the extent
permitted by Section 3.10. It is understood and agreed that no earthquake or
other additional insurance is to be required of any Mortgagor or maintained on
property acquired in respect of a Mortgage Loan other than pursuant to such
applicable laws and regulations as shall at any time be in force and as shall
require such additional insurance. Whenever the improvements securing a Mortgage
Loan (other than a Cooperative Loan) are located at the time of origination of
such Mortgage Loan in a federally designated special flood hazard area, the
Master Servicer shall cause flood insurance (to the extent available) to be
maintained in respect thereof. Such flood insurance shall be in an amount equal
to the lesser of (i) the amount required to compensate for any loss or damage to
the Mortgaged Property on a replacement cost basis and (ii) the maximum amount
of such insurance available for the related Mortgaged Property under the
national flood insurance program (assuming that the area in which such Mortgaged
Property is located is participating in such program).
In the event that the Master Servicer shall obtain and maintain a blanket
fire insurance policy with extended coverage insuring against hazard losses on
all of the Mortgage Loans, it shall conclusively be deemed to have satisfied its
obligations as set forth in the first sentence of this Section 3.12(a), it being
understood and agreed that such policy may contain a deductible clause, in which
case the Master Servicer shall, in the event that there shall not have been
maintained on the related Mortgaged Property a policy complying with the first
sentence of this Section 3.12(a) and there shall have been a loss which would
have been covered by such policy, deposit in the Certificate Account the amount
not otherwise payable under the blanket policy because of such deductible
clause. Any such deposit by the Master Servicer shall be made on the Certificate
Account Deposit Date next preceding the Distribution Date which occurs in the
month following the month in which payments under any such policy would have
been deposited in the Custodial Account. In connection with its activities as
administrator and servicer of the Mortgage Loans, the Master Servicer agrees to
present, on behalf of itself, the Trustee and the Certificateholders, claims
under any such blanket policy.
(b) The Master Servicer shall obtain and maintain at its own expense and
keep in full force and effect throughout the term of this Agreement a blanket
fidelity bond and an errors and omissions insurance policy covering the Master
Servicer's officers and employees and other persons acting on behalf of the
Master Servicer in connection with its activities under this Agreement. The
amount of coverage shall be at least equal to the coverage that would be
required by FNMA or FHLMC, whichever is greater, with respect to the Master
Servicer if the Master Servicer were servicing and administering the Mortgage
Loans for FNMA or FHLMC. In the event that any such bond or policy ceases to be
in effect, the Master Servicer shall obtain a comparable replacement bond or
policy from an issuer or insurer, as the case may be, meeting the requirements,
if any, of the Program Guide and acceptable to the Company. Coverage of the
Master Servicer under a policy or bond obtained by an Affiliate of the Master
Servicer and providing the coverage required by this Section 3.12(b) shall
satisfy the requirements of this Section 3.12(b).
Section 3.13. Enforcement of Due-on-Sale Clauses; Assumption and
Modification Agreements; Certain Assignments.
(a) When any Mortgaged Property is conveyed by the Mortgagor, the Master
Servicer or Subservicer, to the extent it has knowledge of such conveyance,
shall enforce any due-on-sale clause contained in any Mortgage Note or Mortgage,
to the extent permitted under applicable law and governmental regulations, but
only to the extent that such enforcement will not adversely affect or jeopardize
coverage under any Required Insurance Policy. Notwithstanding the foregoing:
(i) the Master Servicer shall not be deemed to be in default under
this Section 3.13(a) by reason of any transfer or assumption which the
Master Servicer is restricted by law from preventing; and
(ii) if the Master Servicer determines that it is reasonably likely
that any Mortgagor will bring, or if any Mortgagor does bring, legal action
to declare invalid or otherwise avoid enforcement of a due-on-sale clause
contained in any Mortgage Note or Mortgage, the Master Servicer shall not
be required to enforce the due-on-sale clause or to contest such action.
(b) Subject to the Master Servicer's duty to enforce any due-on-sale clause
to the extent set forth in Section 3.13(a), in any case in which a Mortgaged
Property is to be conveyed to a Person by a Mortgagor, and such Person is to
enter into an assumption or modification agreement or supplement to the Mortgage
Note or Mortgage which requires the signature of the Trustee, or if an
instrument of release signed by the Trustee is required releasing the Mortgagor
from liability on the Mortgage Loan, the Master Servicer is authorized, subject
to the requirements of the sentence next following, to execute and deliver, on
behalf of the Trustee, the assumption agreement with the Person to whom the
Mortgaged Property is to be conveyed and such modification agreement or
supplement to the Mortgage Note or Mortgage or other instruments as are
reasonable or necessary to carry out the terms of the Mortgage Note or Mortgage
or otherwise to comply with any applicable laws regarding assumptions or the
transfer of the Mortgaged Property to such Person; provided, however, none of
such terms and requirements shall both (i) constitute a "significant
modification" effecting an exchange or reissuance of such Mortgage Loan under
the Code (or final, temporary or proposed Treasury Regulations promulgated
thereunder) and (ii) cause the Trust Fund to fail to qualify as a REMIC under
the Code or (subject to Section 10.01(f)), result in the imposition of any tax
on "prohibited transactions" or constitute " contributions" after the start-up
date under the REMIC Provisions. The Master Servicer shall execute and deliver
such documents only if it reasonably determines that (i) its execution and
delivery thereof will not conflict with or violate any terms of this Agreement
or cause the unpaid balance and interest on the Mortgage Loan to be
uncollectible in whole or in part, (ii) any required consents of insurers under
any Required Insurance Policies have been obtained and (iii) subsequent to the
closing of the transaction involving the assumption or transfer (A) the Mortgage
Loan will continue to be secured by a first mortgage lien pursuant to the terms
of the Mortgage, (B) such transaction will not adversely affect the coverage
under any Required Insurance Policies, (C) the Mortgage Loan will fully amortize
over the remaining term thereof, (D) no material term of the Mortgage Loan
(including the interest rate on the Mortgage Loan) will be altered nor will the
term of the Mortgage Loan be changed and (E) if the seller/transferor of the
Mortgaged Property is to be released from liability on the Mortgage Loan, such
release will not (based on the Master Servicer's or Subservicer's good faith
determination) adversely affect the collectability of the Mortgage Loan. Upon
receipt of appropriate instructions from the Master Servicer in accordance with
the foregoing, the Trustee shall execute any necessary instruments for such
assumption or substitution of liability as directed in writing by the Master
Servicer. Upon the closing of the transactions contemplated by such documents,
the Master Servicer shall cause the originals or true and correct copies of the
assumption agreement, the release (if any), or the modification or supplement to
the Mortgage Note or Mortgage to be delivered to the Trustee or the Custodian
and deposited with the Mortgage File for such Mortgage Loan. Any fee collected
by the Master Servicer or such related Subservicer for entering into an
assumption or substitution of liability agreement will be retained by the Master
Servicer or such Subservicer as additional servicing compensation.
(c) The Master Servicer or the related Subservicer, as the case may be,
shall be entitled to approve a request from a Mortgagor for a partial release of
the related Mortgaged Property, the granting of an easement thereon in favor of
another Person, any alteration or demolition of the related Mortgaged Property
(or, with respect to a Cooperative Loan, the related Cooperative Apartment) or
other similar matters if it has determined, exercising its good faith business
judgment in the same manner as it would if it were the owner of the related
Mortgage Loan, that the security for, and the timely and full collectability of,
such Mortgage Loan would not be adversely affected thereby and that the Trust
Fund would not fail to continue to qualify as a REMIC under the Code as a result
thereof and (subject to Section 10.01(f)) that no tax on "prohibited
transactions" or "contributions" after the startup day would be imposed on the
REMIC as a result thereof. Any fee collected by the Master Servicer or the
related Subservicer for processing such a request will be retained by the Master
Servicer or such Subservicer as additional servicing compensation.
(d) Subject to any other applicable terms and conditions of this Agreement,
the Trustee and Master Servicer shall be entitled to approve an assignment in
lieu of satisfaction with respect to any Mortgage Loan, provided the obligee
with respect to such Mortgage Loan following such proposed assignment provides
the Trustee and Master Servicer with a "Lender Certification for Assignment of
Mortgage Loan" in the form attached hereto as Exhibit O, in form and substance
satisfactory to the Trustee and Master Servicer, providing the following: (i)
that the Mortgage Loan is secured by Mortgaged Property located in a
jurisdiction in which an assignment in lieu of satisfaction is required to
preserve lien priority, minimize or avoid mortgage recording taxes or otherwise
comply with, or facilitate a refinancing under, the laws of such jurisdiction;
(ii) that the substance of the assignment is, and is intended to be, a
refinancing of such Mortgage Loan and that the form of the transaction is solely
to comply with, or facilitate the transaction under, such local laws; (iii) that
the Mortgage Loan following the proposed assignment will have a rate of interest
at least 0.25 percent below or above the rate of interest on such Mortgage Loan
prior to such proposed assignment; and (iv) that such assignment is at the
request of the borrower under the related Mortgage Loan. Upon approval of an
assignment in lieu of satisfaction with respect to any Mortgage Loan, the Master
Servicer shall receive cash in an amount equal to the unpaid principal balance
of and accrued interest on such Mortgage Loan and the Master Servicer shall
treat such amount as a Principal Prepayment in Full with respect to such
Mortgage Loan for all purposes hereof.
Section 3.14. Realization Upon Defaulted Mortgage Loans.
(a) The Master Servicer shall foreclose upon or otherwise comparably
convert (which may include an REO Acquisition) the ownership of properties
securing such of the Mortgage Loans as come into and continue in default and as
to which no satisfactory arrangements can be made for collection of delinquent
payments pursuant to Section 3.07. In connection with such foreclosure or other
conversion, the Master Servicer shall, consistent with Section 3.11, follow such
practices and procedures as it shall deem necessary or advisable, as shall be
normal and usual in its general mortgage servicing activities and as shall be
required or permitted by the Program Guide; provided that the Master Servicer
shall not be liable in any respect hereunder if the Master Servicer is acting in
connection with any such foreclosure or other conversion in a manner that is
consistent with the provisions of this Agreement. The Master Servicer, however,
shall not be required to expend its own funds or incur other reimbursable
charges in connection with any foreclosure, or attempted foreclosure which is
not completed, or towards the restoration of any property unless it shall
determine (i) that such restoration and/or foreclosure will increase the
proceeds of liquidation of the Mortgage Loan to Holders of Certificates of one
or more Classes after reimbursement to itself for such expenses or charges and
(ii) that such expenses or charges will be recoverable to it through Liquidation
Proceeds, Insurance Proceeds, or REO Proceeds (respecting which it shall have
priority for purposes of withdrawals from the Custodial Account pursuant to
Section 3.10, whether or not such expenses and charges are actually recoverable
from related Liquidation Proceeds, Insurance Proceeds or REO Proceeds). In the
event of such a determination by the Master Servicer pursuant to this Section
3.14(a), the Master Servicer shall be entitled to reimbursement of such amounts
pursuant to Section 3.10. In addition to the foregoing, the Master Servicer
shall use its best reasonable efforts to realize upon any Additional Collateral
for such of the Additional Collateral Loans as come into and continue in default
and as to which no satisfactory arrangements can be made for collection of
delinquent payments pursuant to Section 3.07; provided that the Master Servicer
shall not, on behalf of the Trustee, obtain title to any such Additional
Collateral as a result of or in lieu of the disposition thereof or otherwise;
and provided further that (i) the Master Servicer shall not proceed with respect
to such Additional Collateral in any manner that would impair the ability to
recover against the related Mortgaged Property, and (ii) the Master Servicer
shall proceed with any REO Acquisition in a manner that preserves the ability to
apply the proceeds of such Additional Collateral against amounts owed under the
defaulted Mortgage Loan. Any proceeds realized from such Additional Collateral
(other than amounts to be released to the Mortgagor or the related guarantor in
accordance with procedures that the Master Servicer would follow in servicing
loans held for its own account, subject to the terms and conditions of the
related Mortgage and Mortgage Note and to the terms and conditions of any
security agreement, guarantee agreement, mortgage or other agreement governing
the disposition of the proceeds of such Additional Collateral) shall be
deposited in the Custodial Account, subject to withdrawal pursuant to Section
3.10. Any other payment received by the Master Servicer in respect of such
Additional Collateral shall be deposited in the Custodial Account subject to
withdrawal pursuant to Section 3.10. Concurrently with the foregoing, the Master
Servicer may pursue any remedies that may be available in connection with a
breach of a representation and warranty with respect to any such Mortgage Loan
in accordance with Sections 2.03 and 2.04. However, the Master Servicer is not
required to continue to pursue both foreclosure (or similar remedies) with
respect to the Mortgage Loans and remedies in connection with a breach of a
representation and warranty if the Master Servicer determines in its reasonable
discretion that one such remedy is more likely to result in a greater recovery
as to the Mortgage Loan. Upon the occurrence of a Cash Liquidation or REO
Disposition, following the deposit in the Custodial Account of all Insurance
Proceeds, Liquidation Proceeds and other payments and recoveries referred to in
the definition of "Cash Liquidation" or "RE Disposition," as applicable, upon
receipt by the Trustee of written notification of such deposit signed by a
Servicing Officer, the Trustee or any Custodian, as the case may be, shall
release to the Master Servicer the related Mortgage File and the Trustee shall
execute and deliver such instruments of transfer or assignment prepared by the
Master Servicer, in each case without recourse, as shall be necessary to vest in
the Master Servicer or its designee, as the case may be, the related Mortgage
Loan, and thereafter such Mortgage Loan shall not be part of the Trust Fund.
Notwithstanding the foregoing or any other provision of this Agreement, in the
Master Servicer's sole discretion with respect to any defaulted Mortgage Loan or
REO Property as to either of the following provisions, (i) a Cash Liquidation or
REO Disposition may be deemed to have occurred if substantially all amounts
expected by the Master Servicer to be received in connection with the related
defaulted Mortgage Loan or REO Property have been received, and (ii) for
purposes of determining the amount of any Liquidation Proceeds, Insurance
Proceeds, REO Proceeds or any other unscheduled collections or the amount of any
Realized Loss, the Master Servicer may take into account minimal amounts of
additional receipts expected to be received or any estimated additional
liquidation expenses expected to be incurred in connection with the related
defaulted Mortgage Loan or REO Property.
(b) In the event that title to any Mortgaged Property is acquired by the
Trust Fund as an REO Property by foreclosure or by deed in lieu of foreclosure,
the deed or certificate of sale shall be issued to the Trustee or to its nominee
on behalf of Certificateholders. Notwithstanding any such acquisition of title
and cancellation of the related Mortgage Loan, such REO Property shall (except
as otherwise expressly provided herein) be considered to be an Outstanding
Mortgage Loan held in the Trust Fund until such time as the REO Property shall
be sold. Consistent with the foregoing for purposes of all calculations
hereunder so long as such REO Property shall be considered to be an Outstanding
Mortgage Loan it shall be assumed that, notwithstanding that the indebtedness
evidenced by the related Mortgage Note shall have been discharged, such Mortgage
Note and the related amortization schedule in effect at the time of any such
acquisition of title (after giving effect to any previous Curtailments and
before any adjustment thereto by reason of any bankruptcy or similar proceeding
or any moratorium or similar waiver or grace period) remain in effect.
(c) In the event that the Trust Fund acquires any REO Property as aforesaid
or otherwise in connection with a default or imminent default on a Mortgage
Loan, the Master Servicer on behalf of the Trust Fund shall dispose of such REO
Property within three years after the taxable year of its acquisition by the
Trust Fund for purposes of Section 860G(a)(8) of the Code (or such shorter
period as may be necessary under applicable state (including any state in which
such property is located) law to maintain the status of the Trust Fund as a
REMIC under applicable state law and avoid taxes resulting from such property
failing to be foreclosure property under applicable state law) or, at the
expense of the Trust Fund, request, more than 60 days before the day on which
such grace period would otherwise expire, an extension of the such grace period
unless the Master Servicer (subject to Section 10.01(f)) obtains for the Trustee
an Opinion of Counsel, addressed to the Trustee and the Master Servicer, to the
effect that the holding by the Trust Fund of such REO Property subsequent to
such period will not result in the imposition of taxes on "prohibited
transactions" as defined in Section 860F of the Code or cause the Trust Fund to
fail to qualify as a REMIC (for federal (or any applicable State or local)
income tax purposes) at any time that any Certificates are outstanding, in which
case the Trust Fund may continue to hold such REO Property (subject to any
conditions contained in such Opinion of Counsel). The Master Servicer shall be
entitled to be reimbursed from the Custodial Account for any costs incurred in
obtaining such Opinion of Counsel, as provided in Section 3.10. Notwithstanding
any other provision of this Agreement, no REO Property acquired by the Trust
Fund shall be rented (or allowed to continue to be rented) or otherwise used by
or on behalf of the Trust Fund in such a manner or pursuant to any terms that
would (i) cause such REO Property to fail to qualify as "foreclosure property"
within the meaning of Section 860G(a)(8) of the Code or (ii) subject the Trust
Fund to the imposition of any federal income taxes on the income earned from
such REO Property, including any taxes imposed by reason of Section 860G(c) of
the Code, unless the Master Servicer has agreed to indemnify and hold harmless
the Trust Fund with respect to the imposition of any such taxes.
(d) The proceeds of any Cash Liquidation, REO Disposition or purchase or
repurchase of any Mortgage Loan pursuant to the terms of this Agreement, as well
as any recovery resulting from a collection of Liquidation Proceeds, Insurance
Proceeds or REO Proceeds, will be applied in the following order of priority:
first, to reimburse the Master Servicer or the related Subservicer in accordance
with Section 3.10(a)(ii); second, to the Certificateholders to the extent of
accrued and unpaid interest on the Mortgage Loan, and any related REO Imputed
Interest, at the Net Mortgage Rate (or the Modified Net Mortgage Rate in the
case of a Modified Mortgage Loan) to the Due Date prior to the Distribution Date
on which such amounts are to be distributed; third, to the Certificateholders as
a recovery of principal on the Mortgage Loan (or REO Property)(provided that if
any such Class of Certificates to which such Realized Loss was allocated is no
longer outstanding, such subsequent recovery shall be distributed to the persons
who were the Holders of such Class of Certificates when it was retired); fourth,
to all Servicing Fees and Subservicing Fees payable therefrom (and the Master
Servicer and the Subservicer shall have no claims for any deficiencies with
respect to such fees which result from the foregoing allocation); and fifth, to
Foreclosure Profits.
(e) In the event of a default on a Mortgage Loan one or more of whose
obligors is not a United States Person, in connection with any foreclosure or
acquisition of a deed in lieu of foreclosure (together, "foreclosure") in
respect of such Mortgage Loan, the Master Servicer will cause compliance with
the provisions of Treasury Regulation Section 1.1445-2(d)(3) (or any successor
thereto) necessary to assure that no withholding tax obligation arises with
respect to the proceeds of such foreclosure except to the extent, if any, that
proceeds of such foreclosure are required to be remitted to the obligors on such
Mortgage Loan.
Section 3.15. Trustee to Cooperate; Release of Mortgage Files.
(a) Upon becoming aware of the payment in full of any Mortgage Loan, or
upon the receipt by the Master Servicer of a notification that payment in full
will be escrowed in a manner customary for such purposes, the Master Servicer
will immediately notify the Trustee (if it holds the related Mortgage File) or
the Custodian by a certification of a Servicing Officer (which certification
shall include a statement to the effect that all amounts received or to be
received in connection with such payment which are required to be deposited in
the Custodial Account pursuant to Section 3.07 have been or will be so
deposited), substantially in one of the forms attached hereto as Exhibit H, or,
in the case of the Custodian, an electronic request in a form acceptable to the
Custodian, requesting delivery to it of the Mortgage File. Upon receipt of such
certification and request, the Trustee shall promptly release, or cause the
Custodian to release, the related Mortgage File to the Master Servicer. The
Master Servicer is authorized to execute and deliver to the Mortgagor the
request for reconveyance, deed of reconveyance or release or satisfaction of
mortgage or such instrument releasing the lien of the Mortgage, together with
the Mortgage Note with, as appropriate, written evidence of cancellation
thereon. No expenses incurred in connection with any instrument of satisfaction
or deed of reconveyance shall be chargeable to the Custodial Account or the
Certificate Account.
(b) From time to time as is appropriate for the servicing or foreclosure of
any Mortgage Loan, the Master Servicer shall deliver to the Custodian, with a
copy to the Trustee, a certificate of a Servicing Officer substantially in one
of the forms attached as Exhibit H hereto, or, in the case of the Custodian, an
electronic request in a form acceptable to the Custodian, requesting that
possession of all, or any document constituting part of, the Mortgage File be
released to the Master Servicer and certifying as to the reason for such release
and that such release will not invalidate any insurance coverage provided in
respect of the Mortgage Loan under any Required Insurance Policy. Upon receipt
of the foregoing, the Trustee shall deliver, or cause the Custodian to deliver,
the Mortgage File or any document therein to the Master Servicer. The Master
Servicer shall cause each Mortgage File or any document therein so released to
be returned to the Trustee, or the Custodian as agent for the Trustee when the
need therefor by the Master Servicer no longer exists, unless (i) the Mortgage
Loan has been liquidated and the Liquidation Proceeds relating to the Mortgage
Loan have been deposited in the Custodial Account or (ii) the Mortgage File or
such document has been delivered directly or through a Subservicer to an
attorney, or to a public trustee or other public official as required by law,
for purposes of initiating or pursuing legal action or other proceedings for the
foreclosure of the Mortgaged Property either judicially or non-judicially, and
the Master Servicer has delivered directly or through a Subservicer to the
Trustee a certificate of a Servicing Officer certifying as to the name and
address of the Person to which such Mortgage File or such document was delivered
and the purpose or purposes of such delivery. In the event of the liquidation of
a Mortgage Loan, the Trustee shall deliver the Request for Release with respect
thereto to the Master Servicer upon deposit of the related Liquidation Proceeds
in the Custodial Account.
(c) The Trustee or the Master Servicer on the Trustee's behalf shall
execute and deliver to the Master Servicer, if necessary, any court pleadings,
requests for trustee's sale or other documents necessary to the foreclosure or
trustee's sale in respect of a Mortgaged Property or to any legal action brought
to obtain judgment against any Mortgagor on the Mortgage Note or Mortgage or to
obtain a deficiency judgment, or to enforce any other remedies or rights
provided by the Mortgage Note or Mortgage or otherwise available at law or in
equity. Together with such documents or pleadings (if signed by the Trustee),
the Master Servicer shall deliver to the Trustee a certificate of a Servicing
Officer requesting that such pleadings or documents be executed by the Trustee
and certifying as to the reason such documents or pleadings are required and
that the execution and delivery thereof by the Trustee will not invalidate any
insurance coverage under any Required Insurance Policy or invalidate or
otherwise affect the lien of the Mortgage, except for the termination of such a
lien upon completion of the foreclosure or trustee's sale.
Section 3.16. Servicing and Other Compensation; Compensating Interest.
(a) The Master Servicer, as compensation for its activities hereunder,
shall be entitled to receive on each Distribution Date the amounts provided for
by clauses (iii), (iv), (v) and (vi) of Section 3.10(a), subject to clause (e)
below. The amount of servicing compensation provided for in such clauses shall
be accounted for on a Mortgage Loan-by-Mortgage Loan basis. In the event that
Liquidation Proceeds, Insurance Proceeds and REO Proceeds (net of amounts
reimbursable therefrom pursuant to Section 3.10(a)(ii)) in respect of a Cash
Liquidation or REO Disposition exceed the unpaid principal balance of such
Mortgage Loan plus unpaid interest accrued thereon (including REO Imputed
Interest) at a per annum rate equal to the related Net Mortgage Rate (or the
Modified Net Mortgage Rate in the case of a Modified Mortgage Loan), the Master
Servicer shall be entitled to retain therefrom and to pay to itself and/or the
related Subservicer, any Foreclosure Profits and any Servicing Fee or
Subservicing Fee considered to be accrued but unpaid.
(b) Additional servicing compensation in the form of prepayment charges,
assumption fees, late payment charges, investment income on amounts in the
Custodial Account or the Certificate Account or otherwise shall be retained by
the Master Servicer or the Subservicer to the extent provided herein, subject to
clause (e) below.
(c) The Master Servicer shall be required to pay, or cause to be paid, all
expenses incurred by it in connection with its servicing activities hereunder
(including payment of premiums for the Primary Insurance Policies, if any, to
the extent such premiums are not required to be paid by the related Mortgagors,
and the fees and expenses of the Trustee and any Custodian) and shall not be
entitled to reimbursement therefor except as specifically provided in Sections
3.10 and 3.14.
(d) The Master Servicer's right to receive servicing compensation may not
be transferred in whole or in part except in connection with the transfer of all
of its responsibilities and obligations of the Master Servicer under this
Agreement.
(e) Notwithstanding any other provision herein, the amount of servicing
compensation that the Master Servicer shall be entitled to receive for its
activities hereunder for the period ending on each Distribution Date shall be
reduced (but not below zero) by an amount equal to Compensating Interest (if
any) for such Distribution Date. Such reduction shall be applied during such
period as follows: first, to any Servicing Fee or Subservicing Fee to which the
Master Servicer is entitled pursuant to Section 3.10(a)(iii); second, to any
income or gain realized from any investment of funds held in the Custodial
Account or the Certificate Account to which the Master Servicer is entitled
pursuant to Sections 3.07(c) or 4.01(b), respectively; and third, to any amounts
of servicing compensation to which the Master Servicer is entitled pursuant to
Section 3.10(a)(v) or (vi). In making such reduction, the Master Servicer (i)
will not withdraw from the Custodial Account any such amount representing all or
a portion of the Servicing Fee to which it is entitled pursuant to Section
3.10(a)(iii); (ii) will not withdraw from the Custodial Account or Certificate
Account any such amount to which it is entitled pursuant to Section 3.07(c) or
4.01(b) and (iii) will not withdraw from the Custodial Account any such amount
of servicing compensation to which it is entitled pursuant to Section 3.10(a)(v)
or (vi).
Section 3.17. Reports to the Trustee and the Company.
Not later than fifteen days after each Distribution Date, the Master
Servicer shall forward to the Trustee and the Company a statement, certified by
a Servicing Officer, setting forth the status of the Custodial Account as of the
close of business on such Distribution Date as it relates to the Mortgage Loans
and showing, for the period covered by such statement, the aggregate of deposits
in or withdrawals from the Custodial Account in respect of the Mortgage Loans
for each category of deposit specified in Section 3.07 and each category of
withdrawal specified in Section 3.10.
Section 3.18. Annual Statement as to Compliance.
The Master Servicer will deliver to the Company and the Trustee on or
before March 31 of each year, beginning with the first March 31 that occurs at
least six months after the Cut-off Date, an Officers' Certificate stating, as to
each signer thereof, that (i) a review of the activities of the Master Servicer
during the preceding calendar year related to its servicing of mortgage loans
and its performance under pooling and servicing agreements, including this
Agreement, has been made under such officers' supervision, (ii) to the best of
such officers' knowledge, based on such review, the Master Servicer has complied
in all material respects with the minimum servicing standards set forth in the
Uniform Single Attestation Program for Mortgage Bankers and has fulfilled all of
its material obligations relating to this Agreement in all material respects
throughout such year, or, if there has been material noncompliance with such
servicing standards or a default in the fulfillment in all material respects of
any such obligation relating to this Agreement, such statement shall include a
description of such noncompliance or specify each such default, as the case may
be, known to such officer and the nature and status thereof and (iii) to the
best of such officers' knowledge, each Subservicer has complied in all material
respects with the minimum servicing standards set forth in the Uniform Single
Attestation Program for Mortgage Bankers and has fulfilled all of its material
obligations under its Subservicing Agreement in all material respects throughout
such year, or, if there has been material noncompliance with such servicing
standards or a material default in the fulfillment of such obligations relating
to this Agreement, such statement shall include a description of such
noncompliance or specify each such default, as the case may be, known to such
officer and the nature and status thereof.
Section 3.19. Annual Independent Public Accountants' Servicing Report.
On or before March 31 of each year, beginning with the first March 31 that
occurs at least six months after the Cut-off Date, the Master Servicer at its
expense shall cause a firm of independent public accountants, which shall be
members of the American Institute of Certified Public Accountants, to furnish a
report to the Company and the Trustee stating its opinion that, on the basis of
an examination conducted by such firm substantially in accordance with standards
established by the American Institute of Certified Public Accountants, the
assertions made pursuant to Section 3.18 regarding compliance with the minimum
servicing standards set forth in the Uniform Single Attestation Program for
Mortgage Bankers during the preceding calendar year are fairly stated in all
material respects, subject to such exceptions and other qualifications that, in
the opinion of such firm, such accounting standards require it to report. In
rendering such statement, such firm may rely, as to matters relating to the
direct servicing of mortgage loans by Subservicers, upon comparable statements
for examinations conducted by independent public accountants substantially in
accordance with standards established by the American Institute of Certified
Public Accountants (rendered within one year of such statement) with respect to
such Subservicers.
Section 3.20. Rights of the Company in Respect of the Master Servicer.
The Master Servicer shall afford the Company, upon reasonable notice,
during normal business hours access to all records maintained by the Master
Servicer in respect of its rights and obligations hereunder and access to
officers of the Master Servicer responsible for such obligations. Upon request,
the Master Servicer shall furnish the Company with its most recent financial
statements and such other information as the Master Servicer possesses regarding
its business, affairs, property and condition, financial or otherwise. The
Master Servicer shall also cooperate with all reasonable requests for
information including, but not limited to, notices, tapes and copies of files,
regarding itself, the Mortgage Loans or the Certificates from any Person or
Persons identified by the Company or Residential Funding. The Company may, but
is not obligated to, enforce the obligations of the Master Servicer hereunder
and may, but is not obligated to, perform, or cause a designee to perform, any
defaulted obligation of the Master Servicer hereunder or exercise the rights of
the Master Servicer hereunder; provided that the Master Servicer shall not be
relieved of any of its obligations hereunder by virtue of such performance by
the Company or its designee. The Company shall not have any responsibility or
liability for any action or failure to act by the Master Servicer and is not
obligated to supervise the performance of the Master Servicer under this
Agreement or otherwise.
Section 3.21. Administration of Buydown Funds.
(a) With respect to any Buydown Mortgage Loan, the Subservicer has
deposited Buydown Funds in an account that satisfies the requirements for a
Subservicing Account (the "Buydown Account"). The Master Servicer shall cause
the Subservicing Agreement to require that upon receipt from the Mortgagor of
the amount due on a Due Date for each Buydown Mortgage Loan, the Subservicer
will withdraw from the Buydown Account the predetermined amount that, when added
to the amount due on such date from the Mortgagor, equals the full Monthly
Payment and transmit that amount in accordance with the terms of the
Subservicing Agreement to the Master Servicer together with the related payment
made by the Mortgagor or advanced by the Subservicer.
(b) If the Mortgagor on a Buydown Mortgage Loan prepays such loan in its
entirety during the period (the "Buydown Period") when Buydown Funds are
required to be applied to such Buydown Mortgage Loan, the Subservicer shall be
required to withdraw from the Buydown Account and remit any Buydown Funds
remaining in the Buydown Account in accordance with the related buydown
agreement. The amount of Buydown Funds which may be remitted in accordance with
the related buydown agreement may reduce the amount required to be paid by the
Mortgagor to fully prepay the related Mortgage Loan. If the Mortgagor on a
Buydown Mortgage Loan defaults on such Mortgage Loan during the Buydown Period
and the property securing such Buydown Mortgage Loan is sold in the liquidation
thereof (either by the Master Servicer or the insurer under any related Primary
Insurance Policy), the Subservicer shall be required to withdraw from the
Buydown Account the Buydown Funds for such Buydown Mortgage Loan still held in
the Buydown Account and remit the same to the Master Servicer in accordance with
the terms of the Subservicing Agreement for deposit in the Custodial Account or,
if instructed by the Master Servicer, pay to the insurer under any related
Primary Insurance Policy if the Mortgaged Property is transferred to such
insurer and such insurer pays all of the loss incurred in respect of such
default. Any amount so remitted pursuant to the preceding sentence will be
deemed to reduce the amount owed on the Mortgage Loan
6
ARTICLE IV
PAYMENTS TO CERTIFICATEHOLDERS
Section 4.01. Certificate Account.
(a) The Master Servicer on behalf of the Trustee shall establish and
maintain a Certificate Account in which the Master Servicer shall cause to be
deposited on behalf of the Trustee on or before 2:00 P.M. New York time on each
Certificate Account Deposit Date by wire transfer of immediately available funds
an amount equal to the sum of (i) any Advance for the immediately succeeding
Distribution Date, (ii) any amount required to be deposited in the Certificate
Account pursuant to Section 3.12(a), (iii) any amount required to be deposited
in the Certificate Account pursuant to Section 3.16(e) or Section 4.07, (iv) any
amount required to be paid pursuant to Section 9.01 and (v) all other amounts
constituting the Available Distribution Amount for the immediately succeeding
Distribution Date.
(b) The Trustee shall, upon written request from the Master Servicer,
invest or cause the institution maintaining the Certificate Account to invest
the funds in the Certificate Account in Permitted Investments designated in the
name of the Trustee for the benefit of the Certificateholders, which shall
mature not later than the Business Day next preceding the Distribution Date next
following the date of such investment (except that (i) any investment in the
institution with which the Certificate Account is maintained may mature on such
Distribution Date and (ii) any other investment may mature on such Distribution
Date if the Trustee shall advance funds on such Distribution Date to the
Certificate Account in the amount payable on such investment on such
Distribution Date, pending receipt thereof to the extent necessary to make
distributions on the Certificates) and shall not be sold or disposed of prior to
maturity. Subject to Section 3.16(e), all income and gain realized from any such
investment shall be for the benefit of the Master Servicer and shall be subject
to its withdrawal or order from time to time. The amount of any losses incurred
in respect of any such investments shall be deposited in the Certificate Account
by the Master Servicer out of its own funds immediately as realized without any
right of reimbursement.
Section 4.02. Distributions.
(a) On each Distribution Date (x) the Master Servicer on behalf of the
Trustee or (y) the Paying Agent appointed by the Trustee, shall distribute to
the Master Servicer, in the case of a distribution pursuant to Section
4.02(a)(iii), the amount required to be distributed to the Master Servicer or a
Subservicer pursuant to Section 4.02(a)(iii), and to each Certificateholder of
record on the next preceding Record Date (other than as provided in Section 9.01
respecting the final distribution) either in immediately available funds (by
wire transfer or otherwise) to the account of such Certificateholder at a bank
or other entity having appropriate facilities therefor, if such
Certificateholder has so notified the Master Servicer or the Paying Agent, as
the case may be, or, if such Certificateholder has not so notified the Master
Servicer or the Paying Agent by the Record Date, by check mailed to such
Certificateholder at the address of such Holder appearing in the Certificate
Register such Certificateholder's share (which share (A) with respect to each
Class of Certificates (other than any Subclass of the Class A-11 Certificates),
shall be based on the aggregate of the Percentage Interests represented by
Certificates of the applicable Class held by such Holder or (B) with respect to
any Subclass of the Class A-11 Certificates, shall be equal to the amount (if
any) distributed pursuant to Section 4.02(a)(i) below to each Holder of a
Subclass thereof) of the following amounts, in the following order of priority
(subject to the provisions of Section 4.02(b)), in each case to the extent of
the Available Distribution Amount:
(i) to the Class A Certificateholders (other than the Class A-10
Certificateholders) and Class R Certificateholders, on a pro rata basis
based on Accrued Certificate Interest payable on such Certificates with
respect to such Distribution Date, Accrued Certificate Interest on such
Classes of Certificates (or Subclass, if any, with respect to the Class
A-11 Certificates) for such Distribution Date, plus any Accrued
Certificate Interest thereon remaining unpaid from any previous
Distribution Date except as provided in the last paragraph of this Section
4.02(a); and
(ii) (X) to the Class A-10 Certificateholders, the Class A-10
Principal Distribution Amount; and
(Y) to the Class A Certificateholders (other than the Class A-10
Certificateholders) and Class R Certificateholders, in the priorities and
amounts set forth in Section 4.02(b)(ii) through (iv) and Section 4.02(c),
the sum of the following (applied to reduce the Certificate Principal
Balances of such Class A Certificates or Class R Certificates, as
applicable):
(A) the Senior Percentage for such Distribution Date times the
sum of the following:
(1) the principal portion of each Monthly Payment due
during the related Due Period on each Outstanding Mortgage
Loan (other than the related Discount Fraction of the
principal portion of such payment with respect to a Discount
Mortgage Loan), whether or not received on or prior to the
related Determination Date, minus the principal portion of any
Debt Service Reduction (other than the related Discount
Fraction of the principal portion of such Debt Service
Reductions with respect to each Discount Mortgage Loan) which
together with other Bankruptcy Losses exceeds the Bankruptcy
Amount;
(2) the Stated Principal Balance of any Mortgage Loan
repurchased during the related Prepayment Period (or deemed to
have been so repurchased in accordance with Section 3.07(b))
pursuant to Section 2.02, 2.03, 2.04 or 4.07 and the amount of
any shortfall deposited in the Custodial Account in connection
with the substitution of a Deleted Mortgage Loan pursuant to
Section 2.03 or 2.04 during the related Prepayment Period
(other than the related Discount Fraction of such Stated
Principal Balance or shortfall with respect to each Discount
Mortgage Loan); and
(3) the principal portion of all other unscheduled
collections (other than Principal Prepayments in Full and
Curtailments and amounts received in connection with a Cash
Liquidation or REO Disposition of a Mortgage Loan described in
Section 4.02(a)(ii)(Y)(B), including without limitation
Insurance Proceeds, Liquidation Proceeds and REO Proceeds)
received during the related Prepayment Period (or deemed to
have been so received in accordance with Section 3.07(b)) to
the extent applied by the Master Servicer as recoveries of
principal of the related Mortgage Loan pursuant to Section
3.14 (other than the related Discount Fraction of the
principal portion of such unscheduled collections, with
respect to each Discount Mortgage Loan);
(B) with respect to each Mortgage Loan for which a Cash
Liquidation or a REO Disposition occurred during the related
Prepayment Period (or was deemed to have occurred during such period
in accordance with Section 3.07(b)) and did not result in any Excess
Special Hazard Losses, Excess Fraud Losses, Excess Bankruptcy Losses
or Extraordinary Losses, an amount equal to the lesser of (a) the
Senior Percentage for such Distribution Date times the Stated
Principal Balance of such Mortgage Loan (other than the related
Discount Fraction of such Stated Principal Balance, with respect to
each Discount Mortgage Loan) and (b) the Senior Accelerated
Distribution Percentage for such Distribution Date times the related
unscheduled collections (including without limitation Insurance
Proceeds, Liquidation Proceeds and REO Proceeds) to the extent
applied by the Master Servicer as recoveries of principal of the
related Mortgage Loan pursuant to Section 3.14 (in each case other
than the portion of such unscheduled collections, with respect to a
Discount Mortgage Loan, included in Section 4.02(b)(i)(C));
(C) the Senior Accelerated Distribution Percentage for such
Distribution Date times the aggregate of all Principal Prepayments in
Full and Curtailments received in the related Prepayment Period (other
than the related Discount Fraction of such Principal Prepayments in
Full and Curtailments, with respect to each Discount Mortgage Loan);
(D) any Excess Subordinate Principal Amount for such Distribution
Date; and
(E) any amounts described in subsection (ii)(Y), clauses (A), (B)
and (C) of this Section 4.02(a), as determined for any previous
Distribution Date, which remain unpaid after application of amounts
previously distributed pursuant to this clause (E) to the extent that
such amounts are not attributable to Realized Losses which have been
allocated to the Class M Certificates or Class B Certificates;
(iii) if the Certificate Principal Balances of the Class M
Certificates and Class B Certificates have not been reduced to zero, to
the Master Servicer or a Subservicer, by remitting for deposit to the
Custodial Account, to the extent of and in reimbursement for any Advances
or Subservicer Advances previously made with respect to any Mortgage Loan
or REO Property which remain unreimbursed in whole or in part following
the Cash Liquidation or REO Disposition of such Mortgage Loan or REO
Property, minus any such Advances that were made with respect to
delinquencies that ultimately constituted Excess Special Hazard Losses,
Excess Fraud Losses, Excess Bankruptcy Losses or Extraordinary Losses;
(iv) to the Holders of the Class M-1 Certificates, the Accrued
Certificate Interest thereon for such Distribution Date, plus any
Accrued Certificate Interest thereon remaining unpaid from any
previous Distribution Date, except as provided below;
(v) to the Holders of the Class M-1 Certificates, an amount equal to
(x) the Subordinate Principal Distribution Amount for such Class of
Certificates for such Distribution Date, minus (y) the amount of any Class
A-10 Collection Shortfalls for such Distribution Date or remaining unpaid
for all previous Distribution Dates, to the extent the amounts available
pursuant to clause (x) of Sections 4.02(a)(vii), (ix), (xi), (xiii), (xiv)
and (xv) are insufficient therefor, applied in reduction of the
Certificate Principal Balance of the Class M-1 Certificates;
(vi) to the Holders of the Class M-2 Certificates, the Accrued
Certificate Interest thereon for such Distribution Date, plus any Accrued
Certificate Interest thereon remaining unpaid from any previous
Distribution Date, except as provided below;
(vii) to the Holders of the Class M-2 Certificates, an amount equal
to (x) the Subordinate Principal Distribution Amount for such Class of
Certificates for such Distribution Date, minus (y) the amount of any Class
A-10 Collection Shortfalls for such Distribution Date or remaining unpaid
for all previous Distribution Dates, to the extent the amounts available
pursuant to clause (x) of Sections 4.02(a)(ix), (xi), (xiii), (xiv) and
(xv) are insufficient therefor, applied in reduction of the Certificate
Principal Balance of the Class M-2 Certificates;
(viii) to the Holders of the Class M-3 Certificates, the Accrued
Certificate Interest thereon for such Distribution Date, plus any Accrued
Certificate Interest thereon remaining unpaid from any previous
Distribution Date, except as provided below;
(ix) to the Holders of the Class M-3 Certificates, an amount equal to
(x) the Subordinate Principal Distribution Amount for such Class of
Certificates for such Distribution Date minus (y) the amount of any Class
A-10 Collection Shortfalls for such Distribution Date or remaining unpaid
for all previous Distribution Dates, to the extent the amounts available
pursuant to clause (x) of Sections 4.02(a)(xi), (xiii), (xiv) and (xv) are
insufficient therefor, applied in reduction of the Certificate Principal
Balance of the Class M-3 Certificates;
(x) to the Holders of the Class B-1 Certificates, the Accrued
Certificate Interest thereon for such Distribution Date, plus any Accrued
Certificate Interest thereon remaining unpaid from any previous
Distribution Date, except as provided below;
(xi) to the Holders of the Class B-1 Certificates, an amount equal to
(x) the Subordinate Principal Distribution Amount for such Class of
Certificates for such Distribution Date minus (y) the amount of any Class
A-10 Collection Shortfalls for such Distribution Date or remaining unpaid
for all previous Distribution Dates, to the extent the amounts available
pursuant to clause (x) of Sections 4.02(a)(xiii), (xiv) and (xv) are
insufficient therefor, applied in reduction of the Certificate Principal
Balance of the Class B-1 Certificates;
(xii) to the Holders of the Class B-2 Certificates, the Accrued
Certificate Interest thereon for such Distribution Date, plus any Accrued
Certificate Interest thereon remaining unpaid from any previous
Distribution Date, except as provided below;
(xiii) to the Holders of the Class B-2 Certificates, an amount equal
to (x) the Subordinate Principal Distribution Amount for such Class of
Certificates for such Distribution Date minus (y) the amount of any Class
A-10 Collection Shortfalls for such Distribution Date or remaining unpaid
for all previous Distribution Dates, to the extent the amounts available
pursuant to clause (x) of Sections 4.02(a)(xiv) and (xv) are insufficient
therefor, applied in reduction of the Certificate Principal Balance of the
Class B-2 Certificates;
(xiv) to the Holders of the Class B-3 Certificates, an amount equal
to (x) the Accrued Certificate Interest thereon for such Distribution
Date, plus any Accrued Certificate Interest thereon remaining unpaid from
any previous Distribution Date, except as provided below, minus (y) the
amount of any Class A-10 Collection Shortfalls for such Distribution Date
or remaining unpaid for all previous Distribution Dates, to the extent the
amounts available pursuant to clause (x) of Section 4.02(a) (xv) are
insufficient therefor;
(xv) to the Holders of the Class B-3 Certificates, an amount equal to
(x) the Subordinate Principal Distribution Amount for such Class of
Certificates for such Distribution Date minus (y) the amount of any Class
A-10 Collection Shortfalls for such Distribution Date or remaining unpaid
for all previous Distribution Dates applied in reduction of the Certificate
Principal Balance of the Class B-3 Certificates;
(xvi) to the Class A Certificateholders and Class R
Certificateholders, in the priority set forth in Section 4.02(b), the
portion, if any, of the Available Distribution Amount remaining after the
foregoing distributions, applied to reduce the Certificate Principal
Balances of such Class A Certificates and Class R Certificates, but in no
event more than the aggregate of the outstanding Certificate Principal
Balances of each such Class of Class A Certificates and Class R
Certificates, and thereafter, to each Class of Class M Certificates then
outstanding beginning with such Class with the lowest numerical
designation, any portion of the Available Distribution Amount remaining
after the Class A Certificates and Class R Certificates have been retired,
applied to reduce the Certificate Principal Balance of each such Class of
Class M Certificates, but in no event more than the outstanding
Certificate Principal Balance of each such Class of Class M Certificates;
and thereafter to each such Class of Class B Certificates then outstanding
beginning with such Class with the lowest numerical designation, any
portion of the Available Distribution Amount remaining after the Class M
Certificates have been retired, applied to reduce the Certificate
Principal Balance of each such Class of Class B Certificates, but in no
event more than the outstanding Certificate Principal Balance of each such
Class of Class B Certificates; and
(xvii) to the Class R Certificateholders, the balance, if any, of the
Available Distribution Amount.
Notwithstanding the foregoing, on any Distribution Date, with respect to
the Class of Class B Certificates outstanding on such Distribution Date with the
highest numerical designation, or in the event the Class B Certificates are no
longer outstanding, the Class of Class M Certificates then outstanding with the
highest numerical designation, or in the event the Class B Certificates and
Class M Certificates are no longer outstanding, the Class A and Class R
Certificates, Accrued Certificate Interest thereon remaining unpaid from any
previous Distribution Date will be distributable only to the extent that such
unpaid Accrued Certificate Interest was attributable to interest shortfalls
relating to Nonrecoverable Advances as determined by the Master Servicer with
respect to the related Mortgage Loan where such Mortgage Loan has not yet been
the subject of a Cash Liquidation or REO Disposition.
(b) Distributions of principal on the Class A Certificates and Class R
Certificates on each Distribution Date occurring prior to the occurrence of the
Credit Support Depletion Date will be made as follows:
(i) first, to the Class A-10 Certificates, until the Certificate
Principal Balance thereof is reduced to zero, an amount (the "Class A-10
Principal Distribution Amount") equal to the aggregate of:
(A) the related Discount Fraction of the principal portion of
each Monthly Payment on each Discount Mortgage Loan due during the
related Due Period, whether or not received on or prior to the related
Determination Date, minus the Discount Fraction of the principal
portion of any related Debt Service Reduction which together with
other Bankruptcy Losses exceeds the Bankruptcy Amount;
(B) the related Discount Fraction of the principal portion of
all unscheduled collections on each Discount Mortgage Loan received
during the preceding calendar month (other than amounts received in
connection with a Cash Liquidation or REO Disposition of a Discount
Mortgage Loan described in clause (C) below), including Principal
Prepayments in Full, Curtailments and repurchases (including deemed
repurchases under Section 3.07(b)) of Discount Mortgage Loans (or,
in the case of a substitution of a Deleted Mortgage Loan, the
Discount Fraction of the amount of any shortfall deposited in the
Custodial Account in connection with such substitution);
(C) in connection with the Cash Liquidation or REO Disposition of
a Discount Mortgage Loan that did not result in any Excess Special
Hazard Losses, Excess Fraud Losses, Excess Bankruptcy Losses or
Extraordinary Losses, an amount equal to the lesser of (1) the
applicable Discount Fraction of the Stated Principal Balance of such
Discount Mortgage Loan immediately prior to such Distribution Date and
(2) the aggregate amount of the collections on such Mortgage Loan to
the extent applied as recoveries of principal;
(D) any amounts allocable to principal for any previous
Distribution Date (calculated pursuant to clauses (A) through (C)
above) that remain undistributed; and
(E) the amount of any Class A-10 Collection Shortfalls for such
Distribution Date and the amount of any Class A-10 Collection
Shortfalls remaining unpaid for all previous Distribution Dates, but
only to the extent of the Eligible Funds for such Distribution Date;
(ii) the Senior Principal Distribution Amount shall be
distributed to the Class R Certificates until the Certificate
Principal Balance thereof has been reduced to zero;
(iii) from the balance of the Senior Principal Distribution
Amount remaining after the distribution, if any, in clause
4.02(b)(ii) above, there shall be distributed to the Class A-9
Certificates until the Certificate Principal Balance thereof has
been reduced to zero, an amount equal to the Lockout Percentage
of the Class A-9 Certificates' pro rata share (based on the
aggregate Certificate Principal Balance thereof relative to the
aggregate Certificate Principal Balance of the Senior
Certificates (other than the Class A-10 Certificates)), of the
Senior Principal Distribution Amount;provided that, on any
Distribution Date on or after the Distribution Date in January
2011 on which the Certificate Principal Balance of the Class A-9
Certificates is greater than zero, 100% of the balance of the
Senior Principal Distribution Amount remaining after the
distribution, if any, described in clause 4.02(b)(ii) above shall
be distributed to the Class A-9 Certificates until the
Certificate Principal Balance thereof is reduced to zero; and
(iv) the balance of the Senior Principal Distribution Amount
remaining after the distributions, if any, described in clauses
(ii) and (iii) above shall be distributed as follows:
first, to the Class A-1 Certificates, until the Certificate
Principal Balance thereof has been reduced to zero;
second, to the Class A-2 Certificates, until the Certificate
Principal Balance thereof has been reduced to zero;
third, to the Class A-3 Certificates, until the Certificate
Principal Balance thereof has been reduced to zero;
fourth, to the Class A-4 Certificates, until the Certificate
Principal Balance thereof has been reduced to zero;
fifth, to the Class A-5 Certificates, until the Certificate
Principal Balance thereof has been reduced to zero;
sixth, to the Class A-6 Certificates, until the Certificate
Principal Balance thereof has been reduced to zero;
seventh, to the Class A-7 Certificates and Class A-8
Certificates on a pro rata basis in accordance with the
respective Certificate Principal Balances thereof, until such
Certificate Principal Balances have been reduced to zero; and
(H) eighth, to the Class A-9 Certificates until the Certificate
Principal Balance thereof has been reduced to zero.
(c) On or after the occurrence of the Credit Support Depletion Date, all
priorities relating to distributions as described in Section 4.02(b) above in
respect of principal among the various classes of Class A Certificates (other
than the Class A-10 Certificates) and Class R Certificates will be disregarded
and an amount equal to the Discount Fraction of the principal portion of
scheduled or unscheduled payments received or advanced in respect of Discount
Mortgage Loans will be distributed to the Class A-10 Certificates and the Senior
Principal Distribution Amount will be distributed among all classes of Class A
Certificates (other than the Class A-10 Certificates) and Class R Certificates
pro rata in accordance with their respective outstanding Certificate Principal
Balances and the amount set forth in Section 4.02(a)(i) will be distributed as
set forth therein.
(d) After reduction of the Certificate Principal Balances of the Class A
Certificates (other than the Class A-10 Certificates) and Class R Certificates
to zero but prior to the occurrence of the Credit Support Depletion Date, the
Class A Certificates (other than the Class A-10 Certificates) and Class R
Certificates will be entitled to no further distributions of principal thereon
and the Available Distribution Amount will be paid solely to the holders of the
Class A-10, Class A-11, Class M and Class B Certificates, in each case as
described herein.
(e) In addition to the foregoing distributions, with respect to any
Mortgage Loan that was previously the subject of a Cash Liquidation or an REO
Disposition that resulted in a Realized Loss, in the event that within two years
of the date on which such Realized Loss was determined to have occurred the
Master Servicer receives amounts, which the Master Servicer reasonably believes
to represent subsequent recoveries (net of any related liquidation expenses), or
determines that it holds surplus amounts previously reserved to cover estimated
expenses, specifically related to such Mortgage Loan (including, but not limited
to, recoveries in respect of the representations and warranties made by the
related Seller pursuant to the applicable Seller's Agreement), the Master
Servicer shall distribute such amounts to the applicable Certificateholders of
the Class or Classes to which such Realized Loss was allocated, if applicable,
(with the amounts to be distributed allocated among such Classes in the same
proportions as such Realized Loss was allocated) and within each such Class to
the Certificateholders of record as of the Record Date immediately preceding the
date of such distribution (or if such Class of Certificates is no longer
outstanding, to the Certificateholders of record at the time that such Realized
Loss was allocated); provided that no such distribution to any Class of
Certificates of subsequent recoveries related to a Mortgage Loan shall exceed,
either individually or in the aggregate and together with any other amounts paid
in reimbursement therefor, the amount of the related Realized Loss that was
allocated to such Class of Certificates. Notwithstanding the foregoing, no such
distribution shall be made with respect to the Certificates of any Class to the
extent that either (i) such Class was protected against the related Realized
Loss pursuant to any instrument or fund established under Section 11.01(e) or
(ii) such Class of Certificates has been deposited into a separate trust fund or
other structuring vehicle and separate certificates or other instruments
representing interests therein have been issued in one or more classes, and any
of such separate certificates or other instruments was protected against the
related Realized Loss pursuant to any limited guaranty, payment obligation,
irrevocable letter of credit, surety bond, insurance policy or similar
instrument or a reserve fund, or a combination thereof. Any amount to be so
distributed with respect to the Certificates of any Class shall be distributed
by the Master Servicer to the Certificateholders of record as of the Record Date
immediately preceding the date of such distribution (i) with respect to the
Certificates of any Class (other than the Class A-11 Certificates), on a pro
rata basis based on the Percentage Interest represented by each Certificate of
such Class as of such Record Date and (ii) with respect to the Class A-11
Certificates, to the Class A-11 Certificates or any Subclass thereof in the same
proportion as the related Realized Loss was allocated. Any amounts to be so
distributed shall not be remitted to or distributed from the Trust Fund, and
shall constitute subsequent recoveries with respect to Mortgage Loans that are
no longer assets of the Trust Fund.
(f) Each distribution with respect to a Book-Entry Certificate shall be
paid to the Depository, as Holder thereof, and the Depository shall be
responsible for crediting the amount of such distribution to the accounts of its
Depository Participants in accordance with its normal procedures. Each
Depository Participant shall be responsible for disbursing such distribution to
the Certificate Owners that it represents and to each indirect participating
brokerage firm (a "brokerage firm" or " indirect participating firm") for which
it acts as agent. Each brokerage firm shall be responsible for disbursing funds
to the Certificate Owners that it represents. None of the Trustee, the
Certificate Registrar, the Company or the Master Servicer shall have any
responsibility therefor except as otherwise provided by this Agreement or
applicable law.
(g) Except as otherwise provided in Section 9.01, if the Master Servicer
anticipates that a final distribution with respect to any Class of Certificates
will be made on the next Distribution Date, the Master Servicer shall, no later
than the Determination Date in the month of such final distribution, notify the
Trustee and the Trustee shall, no later than two (2) Business Days after such
Determination Date, mail on such date to each Holder of such Class of
Certificates a notice to the effect that: (i) the Trustee anticipates that the
final distribution with respect to such Class of Certificates will be made on
such Distribution Date but only upon presentation and surrender of such
Certificates at the office of the Trustee or as otherwise specified therein, and
(ii) no interest shall accrue on such Certificates from and after the end of the
prior calendar month. In the event that Certificateholders required to surrender
their Certificates pursuant to Section 9.01(c) do not surrender their
Certificates for final cancellation, the Trustee shall cause funds distributable
with respect to such Certificates to be withdrawn from the Certificate Account
and credited to a separate escrow account for the benefit of such
Certificateholders as provided in Section 9.01(d).
Section 4.03. Statements to Certificateholders.
(a) Concurrently with each distribution charged to the Certificate Account
and with respect to each Distribution Date the Master Servicer shall forward to
the Trustee and the Trustee shall forward by mail to each Holder and the Company
a statement setting forth the following information as to each Class of
Certificates to the extent applicable:
(i) (a) the amount of such distribution to the Certificateholders of
such Class applied to reduce the Certificate Principal Balance thereof, and
(b) the aggregate amount included therein representing Principal
Prepayments;
(ii) the amount of such distribution to Holders of such Class of
Certificates allocable to interest;
(iii) if the distribution to the Holders of such Class of Certificates
is less than the full amount that would be distributable to such Holders if
there were sufficient funds available therefor, the amount of the
shortfall;
(iv) the amount of any Advance by the Master Servicer pursuant to
Section 4.04;
(v) the number and Pool Stated Principal Balance of the Mortgage Loans
after giving effect to the distribution of principal on such Distribution
Date;
(vi) the aggregate Certificate Principal Balance of each Class of
Certificates, and each of the Senior, Class M and Class B Percentages,
after giving effect to the amounts distributed on such Distribution Date,
separately identifying any reduction thereof due to Realized Losses other
than pursuant to an actual distribution of principal;
(vii) the related Subordinate Principal Distribution Amount and
Prepayment Distribution Percentage, if applicable;
(viii) on the basis of the most recent reports furnished to it by
Subservicers, the number and aggregate principal balances of Mortgage Loans
that are delinquent (A) one month, (B) two months and (C) three months and
the number and aggregate principal balance of Mortgage Loans that are in
foreclosure;
(ix) the number, aggregate principal balance and book value of any REO
Properties;
(x) the aggregate Accrued Certificate Interest remaining unpaid, if
any, for each Class of Certificates, after giving effect to the
distribution made on such Distribution Date;
(xi) the Special Hazard Amount, Fraud Loss Amount and Bankruptcy
Amount as of the close of business on such Distribution Date and a
description of any change in the calculation of such amounts;
(xii) the Pass-Through Rates on the Class A-7 Certificates and Class
A-8 Certificates for such Distribution Date, separately identifying LIBOR
for such Distribution Date;
(xiii) the weighted average Pool Strip Rate for such Distribution Date
and the Pass-Through Rate with respect to the Class A-11 Certificates and
each Subclass, if any, thereof;
(xiv) the Class A-11 Notional Amount and each Subclass Notional
Amount;
(xv) the occurrence of the Credit Support Depletion Date;
(xvi) the Senior Accelerated Distribution Percentage applicable to
such distribution;
(xvii) the Senior Percentage for such Distribution Date;
(xviii) the aggregate amount of Realized Losses for such Distribution
Date;
(xix) the aggregate amount of any recoveries on previously foreclosed
loans from Sellers due to a breach of representation or warranty;
(xx) the weighted average remaining term to maturity of the Mortgage
Loans after giving effect to the amounts distributed on such Distribution Date;
and
(xxi) the weighted average Mortgage Rates of the Mortgage Loans after
giving effect to the amounts distributed on such Distribution Date.
In the case of information furnished pursuant to clauses (i) and (ii)
above, the amounts shall be expressed as a dollar amount per Certificate with a
$1,000 denomination. In addition to the statement provided to the Trustee as set
forth in this Section 4.03(a), the Master Servicer shall provide to any manager
of a trust fund consisting of some or all of the Certificates, upon reasonable
request, such additional information as is reasonably obtainable by the Master
Servicer at no additional expense to the
Master Servicer.
(b) Within a reasonable period of time after the end of each calendar
year, the Master Servicer shall prepare, or cause to be prepared, and shall
forward, or cause to be forwarded, to each Person who at any time during the
calendar year was the Holder of a Certificate, other than a Class R Certificate,
a statement containing the information set forth in clauses (i) and (ii) of
subsection (a) above aggregated for such calendar year or applicable portion
thereof during which such Person was a Certificateholder. Such obligation of the
Master Servicer shall be deemed to have been satisfied to the extent that
substantially comparable information shall be provided by the Master Servicer
pursuant to any requirements of the Code.
(c) Within a reasonable period of time after the end of each calendar
year, the Master Servicer shall prepare, or cause to be prepared, and shall
forward, or cause to be forwarded, to each Person who at any time during the
calendar year was the Holder of a Class R Certificate, a statement containing
the applicable distribution information provided pursuant to this Section 4.03
aggregated for such calendar year or applicable portion thereof during which
such Person was the Holder of a Class R Certificate. Such obligation of the
Master Servicer shall be deemed to have been satisfied to the extent that
substantially comparable information shall be provided by the Master Servicer
pursuant to any requirements of the Code.
(d) Upon the written request of any Certificateholder, the Master Servicer,
as soon as reasonably practicable, shall provide the requesting
Certificateholder with such information as is necessary and appropriate, in the
Master Servicer's sole discretion, for purposes of satisfying applicable
reporting requirements under Rule 144A.
Section 4.04. Distribution of Reports to the Trustee and the Company;
Advances by the Master Servicer.
(a) Prior to the close of business on the Business Day next succeeding each
Determination Date, the Master Servicer shall furnish a written statement to the
Trustee, any Paying Agent and the Company (the information in such statement to
be made available to Certificateholders by the Master Servicer on request)
setting forth (i) the Available Distribution Amount; and (ii) the amounts
required to be withdrawn from the Custodial Account and deposited into the
Certificate Account on the immediately succeeding Certificate Account Deposit
Date pursuant to clause (iii) of Section 4.01(a). The determination by the
Master Servicer of such amounts shall, in the absence of obvious error, be
presumptively deemed to be correct for all purposes hereunder and the Trustee
shall be protected in relying upon the same without any independent check or
verification.
(b) On or before 2:00 P.M. New York time on each Certificate Account
Deposit Date, the Master Servicer shall either (i) deposit in the Certificate
Account from its own funds, or funds received therefor from the Subservicers, an
amount equal to the Advances to be made by the Master Servicer in respect of the
related Distribution Date, which shall be in an aggregate amount equal to the
aggregate amount of Monthly Payments (with each interest portion thereof
adjusted to the Net Mortgage Rate), less the amount of any related Servicing
Modifications, Debt Service Reductions or reductions in the amount of interest
collectable from the Mortgagor pursuant to the Soldiers' and Sailors' Civil
Relief Act of 1940, as amended, or similar legislation or regulations then in
effect, on the Outstanding Mortgage Loans as of the related Due Date, which
Monthly Payments were delinquent as of the close of business as of the related
Determination Date; provided that no Advance shall be made if it would be a
Nonrecoverable Advance, (ii) withdraw from amounts on deposit in the Custodial
Account and deposit in the Certificate Account all or a portion of the Amount
Held for Future Distribution in discharge of any such Advance, or (iii) make
advances in the form of any combination of (i) and (ii) aggregating the amount
of such Advance. Any portion of the Amount Held for Future Distribution so used
shall be replaced by the Master Servicer by deposit in the Certificate Account
on or before 11:00 A.M. New York time on any future Certificate Account Deposit
Date to the extent that funds attributable to the Mortgage Loans that are
available in the Custodial Account for deposit in the Certificate Account on
such Certificate Account Deposit Date shall be less than payments to
Certificateholders required to be made on the following Distribution Date. The
Master Servicer shall be entitled to use any Advance made by a Subservicer as
described in Section 3.07(b) that has been deposited in the Custodial Account on
or before such Distribution Date as part of the Advance made by the Master
Servicer pursuant to this Section 4.04. The amount of any reimbursement pursuant
to Section 4.02(a)(iii) in respect of outstanding Advances on any Distribution
Date shall be allocated to specific Monthly Payments due but delinquent for
previous Due Periods, which allocation shall be made, to the extent practicable,
to Monthly Payments which have been delinquent for the longest period of time.
Such allocations shall be conclusive for purposes of reimbursement to the Master
Servicer from recoveries on related Mortgage Loans pursuant to Section 3.10.
The determination by the Master Servicer that it has made a Nonrecoverable
Advance or that any proposed Advance, if made, would constitute a Nonrecoverable
Advance, shall be evidenced by a certificate of a Servicing Officer delivered to
the Seller and the Trustee.
In the event that the Master Servicer determines as of the Business Day
preceding any Certificate Account Deposit Date that it will be unable to deposit
in the Certificate Account an amount equal to the Advance required to be made
for the immediately succeeding Distribution Date, it shall give notice to the
Trustee of its inability to advance (such notice may be given by telecopy), not
later than 3:00 P.M., New York time, on such Business Day, specifying the
portion of such amount that it will be unable to deposit. Not later than 3:00
P.M., New York time, on the Certificate Account Deposit Date the Trustee shall,
unless by 12:00 Noon, New York time, on such day the Trustee shall have been
notified in writing (by telecopy) that the Master Servicer shall have directly
or indirectly deposited in the Certificate Account such portion of the amount of
the Advance as to which the Master Servicer shall have given notice pursuant to
the preceding sentence, pursuant to Section 7.01, (a) terminate all of the
rights and obligations of the Master Servicer under this Agreement in accordance
with Section 7.01 and (b) assume the rights and obligations of the Master
Servicer hereunder, including the obligation to deposit in the Certificate
Account an amount equal to the Advance for the immediately succeeding
Distribution Date.
The Trustee shall deposit all funds it receives pursuant to this Section
4.04 into the Certificate Account.
Section 4.05. Allocation of Realized Losses.
Prior to each Distribution Date, the Master Servicer shall determine the
total amount of Realized Losses, if any, that resulted from any Cash
Liquidation, Servicing Modification, Debt Service Reduction, Deficient Valuation
or REO Disposition that occurred during the related Prepayment Period or, in the
case of a Servicing Modification that constitutes a reduction of the interest
rate on a Mortgage Loan, the amount of the reduction in the interest portion of
the Monthly Payment due in the month in which such Distribution Date occurs. The
amount of each Realized Loss shall be evidenced by an Officers' Certificate. All
Realized Losses, other than Excess Special Hazard Losses, Extraordinary Losses,
Excess Bankruptcy Losses or Excess Fraud Losses, shall be allocated as follows:
first, to the Class B-3 Certificates until the Certificate Principal Balance
thereof has been reduced to zero; second, to the Class B-2 Certificates until
the Certificate Principal Balance thereof has been reduced to zero; third, to
the Class B-1 Certificates until the Certificate Principal Balance thereof has
been reduced to zero; fourth, to the Class M-3 Certificates until the
Certificate Principal Balance thereof has been reduced to zero; fifth, to the
Class M-2 Certificates until the Certificate Principal Balance thereof has been
reduced to zero; sixth, to the Class M-1 Certificates until the Certificate
Principal Balance thereof has been reduced to zero; and, thereafter, if any such
Realized Loss is on a Discount Mortgage Loan, to the Class A-10 Certificates, in
an amount equal to the Discount Fraction of the principal portion thereof, and
the remainder of such Realized Losses on the Discount Mortgage Loans and the
entire amount of such Realized Losses on Non-Discount Mortgage Loans will be
allocated among all the Class A Certificates (other than the Class A-10
Certificates) and Class R Certificates, on a pro rata basis, as described below.
Any Excess Special Hazard Losses, Excess Bankruptcy Losses, Excess Fraud Losses
and Extraordinary Losses on the Mortgage Loans will be allocated to the Class
A-10 Certificates in an amount equal to the Discount Fraction thereof in the
case of a Discount Mortgage Loan and the remainder of such losses on Discount
Mortgage Loans and the entire amount of such losses on Non-Discount Mortgage
Loans will be allocated among the Class A Certificates (other than the Class
A-10 Certificates), Class M and Class B Certificates, on a pro rata basis, as
described below.
As used herein, an allocation of a Realized Loss on a "pro rata basis"
among two or more specified Classes of Certificates means an allocation on a pro
rata basis, among the various Classes so specified, to each such Class of
Certificates on the basis of their then outstanding Certificate Principal
Balances prior to giving effect to distributions to be made on such Distribution
Date in the case of the principal portion of a Realized Loss or based on the
Accrued Certificate Interest thereon payable on such Distribution Date (without
regard to any Compensating Interest for such Distribution Date) in the case of
an interest portion of a Realized Loss. Except as provided in the following
sentence, any allocation of the principal portion of Realized Losses (other than
Debt Service Reductions) to a Class of Certificates shall be made by reducing
the Certificate Principal Balance thereof by the amount so allocated, which
allocation shall be deemed to have occurred on such Distribution Date. Any
allocation of the principal portion of Realized Losses (other than Debt Service
Reductions) to the Class B Certificates or, after the Certificate Principal
Balances of the Class B Certificates have been reduced to zero, to the Class of
Class M Certificates then outstanding with the highest numerical designation
shall be made by operation of the definition of "Certificate Principal Balance"
and by operation of the provisions of Section 4.02(a). Allocations of the
interest portions of Realized Losses shall be made in proportion to the amount
of Accrued Certificate Interest and by operation of the definition of "Accrued
Certificate Interest" and by operation of the provisions of Section 4.02(a).
Allocations of the principal portion of Debt Service Reductions shall be made by
operation of the provisions of Section 4.02(a). All Realized Losses and all
other losses allocated to a Class of Certificates hereunder will be allocated
among the Certificates of such Class in proportion to the Percentage Interests
evidenced thereby; provided that if any Subclasses of the Class A-11
Certificates have been issued pursuant to Section 5.01(c), all Realized Losses
and other losses allocated to the Class A-11 Certificates shall be allocated
among such Subclasses in proportion to the respective amounts of Accrued
Certificate Interest payable on such Distribution Date that would have resulted
absent such reductions.
Section 4.06. Reports of Foreclosures and Abandonment of Mortgaged
Property.
The Master Servicer or the Subservicers shall file information returns
with respect to the receipt of mortgage interests received in a trade or
business, the reports of foreclosures and abandonments of any Mortgaged Property
and the information returns relating to cancellation of indebtedness income with
respect to any Mortgaged Property required by Sections 6050H, 6050J and 6050P,
respectively, of the Code, and deliver to the Trustee an Officers' Certificate
on or before March 31 of each year stating that such reports have been filed.
Such reports shall be in form and substance sufficient to meet the reporting
requirements imposed by Sections 6050H, 6050J and 6050P of the Code.
Section 4.07. Optional Purchase of Defaulted Mortgage Loans.
As to any Mortgage Loan which is delinquent in payment by 90 days or more,
the Master Servicer may, at its option, purchase such Mortgage Loan from the
Trustee at the Purchase Price therefor. If at any time the Master Servicer makes
a payment to the Certificate Account covering the amount of the Purchase Price
for such a Mortgage Loan, and the Master Servicer provides to the Trustee a
certification signed by a Servicing Officer stating that the amount of such
payment has been deposited in the Certificate Account, then the Trustee shall
execute the assignment of such Mortgage Loan at the request of the Master
Servicer without recourse to the Master Servicer which shall succeed to all the
Trustee's right, title and interest in and to such Mortgage Loan, and all
security and documents relative thereto. Such assignment shall be an assignment
outright and not for security. The Master Servicer will thereupon own such
Mortgage, and all such security and documents, free of any further obligation to
the Trustee or the Certificateholders with respect thereto. Notwithstanding
anything to the contrary in this Section 4.07, the Master Servicer shall
continue to service any such Mortgage Loan after the date of such purchase in
accordance with the terms of this Agreement and, if any Realized Loss with
respect to such Mortgage Loan occurs, allocate such Realized Loss to the Class
or Classes of Certificates that would have borne such Realized Loss in
accordance with the terms hereof as if such Mortgage Loan had not been so
purchased. For purposes of this Agreement, a payment of the Purchase Price by
the Master Servicer pursuant to this Section 4.07 will be viewed as an advance,
and the amount of any Realized Loss shall be recoverable pursuant to the
provisions for the recovery of unreimbursed Advances under Section 4.02(a) or,
to the extent not recoverable under such provisions, as a Nonrecoverable Advance
as set forth herein.
Section 4.08. Surety Bond. (a) If a Required Surety Payment is payable
pursuant to the Surety Bond with respect to any Additional Collateral Loan, the
Master Servicer shall so notify the Trustee as soon as reasonably practicable
and the Trustee shall promptly complete the notice in the form of Attachment 1
to the Surety Bond and shall promptly submit such notice to the Surety as a
claim for a Required Surety. The Master Servicer shall upon request assist the
Trustee in completing such notice and shall provide any information requested by
the Trustee in connection therewith.
(b) Upon receipt of a Required Surety Payment from the Surety on behalf of
the Holders of Certificates, the Trustee shall deposit such Required Surety
Payment in the Certificate Account and shall distribute such Required Surety
Payment, or the proceeds thereof, in accordance with the provisions of Section
4.02.
(c) The Trustee shall (i) receive as attorney-in-fact of each Holder of a
Certificate any Required Surety Payment from the Surety and (ii) disburse the
same to the Holders of such Certificates as set forth in Section 4.02.
7
ARTICLE V
THE CERTIFICATES
Section 5.01. The Certificates.
(a) The Class A, Class M, Class B and Class R Certificates, respectively,
shall be substantially in the forms set forth in Exhibits A, B, C and D and
shall, on original issue, be executed and delivered by the Trustee to the
Certificate Registrar for authentication and delivery to or upon the order of
the Company upon receipt by the Trustee or one or more Custodians of the
documents specified in Section 2.01. The Certificates, other than the Class R
Certificates and Class A-11 Certificates, shall be issuable in minimum dollar
denominations of $25,000 (or $250,000 in the case of the Class M-2, Class M-3,
Class B-1, Class B-2 and Class B-3 Certificates) and integral multiples of $1
(in the case of the Class A Certificates, other than the Class A-10
Certificates) and $1,000 (in the case of the Class A-10, Class M and Class B
Certificates) in excess thereof, except that one Certificate of each of the
Class A-10, Class M-2, Class M-3 and Class B-3 Certificates may be issued in a
denomination equal to the denomination set forth as follows for such Class or
the sum of such denomination and an integral multiple of $1,000:
Class A-10 $ 25,872.89
Class M-1 $ 25,800
Class M-3 $ 250,500
Class B-1 $ 250,600
Class B-2 $ 250,500
Class B-3 $ 250,815.88
The Class R Certificates and Class A-11 Certificates shall be issuable in
minimum denominations of not less than a 20% Percentage Interest; provided,
however, that one Class R Certificate will be issuable to Residential Funding as
"tax matters person" pursuant to Section 10.01(c) and (e) in a minimum
denomination representing a Percentage Interest of not less than 0.01%. Each
Subclass of Class A-11 Certificates shall be issuable as a single certificate as
provided in Section 5.01(c).
The Certificates shall be executed by manual or facsimile signature on
behalf of an authorized officer of the Trustee. Certificates bearing the manual
or facsimile signatures of individuals who were at any time the proper officers
of the Trustee shall bind the Trustee, notwithstanding that such individuals or
any of them have ceased to hold such offices prior to the authentication and
delivery of such Certificate or did not hold such offices at the date of such
Certificates. No Certificate shall be entitled to any benefit under this
Agreement, or be valid for any purpose, unless there appears on such Certificate
a certificate of authentication substantially in the form provided for herein
executed by the Certificate Registrar by manual signature, and such certificate
upon any Certificate shall be conclusive evidence, and the only evidence, that
such Certificate has been duly authenticated and delivered hereunder. All
Certificates shall be dated the date of their authentication.
(b) The Class A Certificates, other than the Class A-10 Certificates and
Class A-11 Certificates, shall initially be issued as one or more Certificates
registered in the name of the Depository or its nominee and, except as provided
below, registration of such Certificates may not be transferred by the Trustee
except to another Depository that agrees to hold such Certificates for the
respective Certificate Owners with Ownership Interests therein. The Class A
Certificateholders shall hold their respective Ownership Interests in and to
each of the Class A Certificates, other than the Class A-10 Certificates and
Class A-11 Certificates, through the book-entry facilities of the Depository
and, except as provided below, shall not be entitled to Definitive Certificates
in respect of such Ownership Interests. All transfers by Certificate Owners of
their respective Ownership Interests in the Book-Entry Certificates shall be
made in accordance with the procedures established by the Depository Participant
or brokerage firm representing such Certificate Owner. Each Depository
Participant shall transfer the Ownership Interests only in the Book-Entry
Certificates of Certificate Owners it represents or of brokerage firms for which
it acts as agent in accordance with the Depository's normal procedures.
The Trustee, the Master Servicer and the Company may for all purposes
(including the making of payments due on the respective Classes of Book-Entry
Certificates) deal with the Depository as the authorized representative of the
Certificate Owners with respect to the respective Classes of Book-Entry
Certificates for the purposes of exercising the rights of Certificateholders
hereunder. The rights of Certificate Owners with respect to the respective
Classes of Book-Entry Certificates shall be limited to those established by law
and agreements between such Certificate Owners and the Depository Participants
and brokerage firms representing such Certificate Owners. Multiple requests and
directions from, and votes of, the Depository as Holder of any Class of
Book-Entry Certificates with respect to any particular matter shall not be
deemed inconsistent if they are made with respect to different Certificate
Owners. The Trustee may establish a reasonable record date in connection with
solicitations of consents from or voting by Certificateholders and shall give
notice to the Depository of such record date.
If (i)(A) the Company advises the Trustee in writing that the Depository
is no longer willing or able to properly discharge its responsibilities as
Depository and (B) the Company is unable to locate a qualified successor or (ii)
the Company at its option advises the Trustee in writing that it elects to
terminate the book-entry system through the Depository, the Trustee shall notify
all Certificate Owners, through the Depository, of the occurrence of any such
event and of the availability of Definitive Certificates to Certificate Owners
requesting the same. Upon surrender to the Trustee of the Book-Entry
Certificates by the Depository, accompanied by registration instructions from
the Depository for registration of transfer, the Trustee shall issue the
Definitive Certificates. Neither the Company, the Master Servicer nor the
Trustee shall be liable for any actions taken by the Depository or its nominee,
including, without limitation, any delay in delivery of such instructions and
may conclusively rely on, and shall be protected in relying on, such
instructions. Upon the issuance of Definitive Certificates all references herein
to obligations imposed upon or to be performed by the Company in connection with
the issuance of the Definitive Certificates pursuant to this Section 5.01 shall
be deemed to be imposed upon and performed by the Trustee, and the Trustee and
the Master Servicer shall recognize the Holders of the Definitive Certificates
as Certificateholders hereunder.
(c) From time to time Residential Funding, as the initial Holder of the
Class A-11 Certificates, may exchange such Holder's Class A-11 Certificates for
Subclasses of Class A-11 Certificates to be issued under this Agreement by
delivering a "Request for Exchange" substantially in the form attached hereto as
Exhibit Q executed by an authorized officer, which Subclasses, in the aggregate,
will represent the Uncertificated REMIC Regular Interests corresponding to the
Class A-11 Certificates so surrendered for exchange. Any Subclass so issued
shall bear a numerical designation commencing with Class A-11-1 and continuing
sequentially thereafter, and will evidence ownership of the Uncertificated REMIC
Regular Interest or Interests specified in writing by such initial Holder to the
Trustee. The Trustee may conclusively, without any independent verification,
rely on, and shall be protected in relying on, Residential Funding's
determinations of the Uncertificated REMIC Regular Interests corresponding to
any Subclass, the initial Subclass Notional Amount and the initial Pass-Through
Rate on a Subclass as set forth in such Request for Exchange and the Trustee
shall have no duty to determine if any Uncertificated REMIC Regular Interest
designated on a Request for Exchange corresponds to a Subclass which has
previously been issued. Each Subclass so issued shall be substantially in the
form set forth in Exhibit A and shall, on original issue, be executed and
delivered by the Trustee to the Certificate Registrar for authentication and
delivery in accordance with Section 5.01(a). Every Certificate presented or
surrendered for exchange by the initial Holder shall (if so required by the
Trustee or the Certificate Registrar) be duly endorsed by, or be accompanied by
a written instrument of transfer attached to such Certificate and shall be
completed to the satisfaction of the Trustee and the Certificate Registrar duly
executed by, the initial Holder thereof or his attorney duly authorized in
writing. The Certificates of any Subclass of Class A-11 Certificates may be
transferred in whole, but not in part, in accordance with the provisions of
Section 5.02.
Section 5.02. Registration of Transfer and Exchange of Certificates.
(a) The Trustee shall cause to be kept at one of the offices or agencies to
be appointed by the Trustee in accordance with the provisions of Section 8.12 a
Certificate Register in which, subject to such reasonable regulations as it may
prescribe, the Trustee shall provide for the registration of Certificates and of
transfers and exchanges of Certificates as herein provided. The Trustee is
initially appointed Certificate Registrar for the purpose of registering
Certificates and transfers and exchanges of Certificates as herein provided. The
Certificate Registrar, or the Trustee, shall provide the Master Servicer with a
certified list of Certificateholders as of each Record Date prior to the related
Determination Date.
(b) Upon surrender for registration of transfer of any Certificate at any
office or agency of the Trustee maintained for such purpose pursuant to Section
8.12 and, in the case of any Class M, Class B or Class R Certificate, upon
satisfaction of the conditions set forth below, the Trustee shall execute and
the Certificate Registrar shall authenticate and deliver, in the name of the
designated transferee or transferees, one or more new Certificates of a like
Class (or Subclass) and aggregate Percentage Interest.
(c) At the option of the Certificateholders, Certificates may be exchanged
for other Certificates of authorized denominations of a like Class (or Subclass)
and aggregate Percentage Interest, upon surrender of the Certificates to be
exchanged at any such office or agency. Whenever any Certificates are so
surrendered for exchange the Trustee shall execute and the Certificate Registrar
shall authenticate and deliver the Certificates of such Class which the
Certificateholder making the exchange is entitled to receive. Every Certificate
presented or surrendered for transfer or exchange shall (if so required by the
Trustee or the Certificate Registrar) be duly endorsed by, or be accompanied by
a written instrument of transfer in form satisfactory to the Trustee and the
Certificate Registrar duly executed by, the Holder thereof or his attorney duly
authorized in writing.
(d) No transfer, sale, pledge or other disposition of a Class B Certificate
shall be made unless such transfer, sale, pledge or other disposition is exempt
from the registration requirements of the Securities Act of 1933, as amended,
and any applicable state securities laws or is made in accordance with said Act
and laws. In the event that a transfer of a Class B Certificate is to be made
either (i)(A) the Trustee shall require a written Opinion of Counsel acceptable
to and in form and substance satisfactory to the Trustee and the Company that
such transfer may be made pursuant to an exemption, describing the applicable
exemption and the basis therefor, from said Act and laws or is being made
pursuant to said Act and laws, which Opinion of Counsel shall not be an expense
of the Trustee, the Company or the Master Servicer and (B) the Trustee shall
require the transferee to execute a representation letter, substantially in the
form of Exhibit J-1 hereto, and the Trustee shall require the transferor to
execute a representation letter, substantially in the form of Exhibit K hereto,
each acceptable to and in form and substance satisfactory to the Company and the
Trustee certifying to the Company and the Trustee the facts surrounding such
transfer, which representation letters shall not be an expense of the Trustee,
the Company or the Master Servicer or (ii) the prospective transferee of such a
Certificate shall be required to provide the Trustee, the Company and the Master
Servicer with an investment letter substantially in the form of Exhibit L
attached hereto (or such other form as the Company in its sole discretion deems
acceptable), which investment letter shall not be an expense of the Trustee, the
Company or the Master Servicer, and which investment letter states that, among
other things, such transferee (A) is a "qualified institutional buyer" as
defined under Rule 144A, acting for its own account or the accounts of other
"qualified institutional buyers" as defined under Rule 144A, and (B) is aware
that the proposed transferor intends to rely on the exemption from registration
requirements under the Securities Act of 1933, as amended, provided by Rule
144A. The Holder of any such Certificate desiring to effect any such transfer,
sale, pledge or other disposition shall, and does hereby agree to, indemnify the
Trustee, the Company, the Master Servicer and the Certificate Registrar against
any liability that may result if the transfer, sale, pledge or other disposition
is not so exempt or is not made in accordance with such federal and state laws.
(e) In the case of any Class M, Class B or Class R Certificate presented
for registration in the name of any Person, either (i) the Trustee shall require
an Opinion of Counsel acceptable to and in form and substance satisfactory to
the Trustee, the Company and the Master Servicer to the effect that the purchase
or holding of such Class M, Class B or Class R Certificate is permissible under
applicable law, will not constitute or result in any non-exempt prohibited
transaction under Section 406 of the Employee Retirement Income Security Act of
1974, as amended ("ERISA"), or Section 4975 of the Code (or comparable
provisions of any subsequent enactments), and will not subject the Trustee, the
Company or the Master Servicer to any obligation or liability (including
obligations or liabilities under ERISA or Section 4975 of the Code) in addition
to those undertaken in this Agreement, which Opinion of Counsel shall not be an
expense of the Trustee, the Company or the Master Servicer or (ii) the
prospective transferee shall be required to provide the Trustee, the Company and
the Master Servicer with a certification to the effect set forth in paragraph
six of Exhibit J-1 (with respect to any Class B Certificate), Exhibit J-2 (with
respect to any Class M Certificate) or paragraph fourteen of Exhibit I-1 (with
respect to any Class R Certificate), which the Trustee may rely upon without
further inquiry or investigation, or such other certifications as the Trustee
may deem desirable or necessary in order to establish that such transferee or
the Person in whose name such registration is requested is not an employee
benefit plan or other plan subject to the prohibited transaction provisions of
ERISA or Section 4975 of the Code, or any Person (including an investment
manager, a named fiduciary or a trustee of any such plan) who is using "plan
assets" of any such plan to effect such acquisition.
(f) (i) Each Person who has or who acquires any Ownership Interest in a
Class R Certificate shall be deemed by the acceptance or acquisition of such
Ownership Interest to have agreed to be bound by the following provisions and to
have irrevocably authorized the Trustee or its designee under clause (iii)(A)
below to deliver payments to a Person other than such Person and to negotiate
the terms of any mandatory sale under clause (iii)(B) below and to execute all
instruments of transfer and to do all other things necessary in connection with
any such sale. The rights of each Person acquiring any Ownership Interest in a
Class R Certificate are expressly subject to the following provisions:
(A) Each Person holding or acquiring any Ownership Interest in a
Class R Certificate shall be a Permitted Transferee and shall promptly
notify the Trustee of any change or impending change in its status as
a Permitted Transferee.
(B) In connection with any proposed Transfer of any Ownership
Interest in a Class R Certificate, the Trustee shall require
delivery to it, and shall not register the Transfer of any Class R
Certificate until its receipt of, (I) an affidavit and agreement (a
"Transfer Affidavit and Agreement," in the form attached hereto as
Exhibit I-1) from the proposed Transferee, in form and substance
satisfactory to the Master Servicer, representing and warranting,
among other things, that it is a Permitted Transferee, that it is
not acquiring its Ownership Interest in the Class R Certificate that
is the subject of the proposed Transfer as a nominee, trustee or
agent for any Person who is not a Permitted Transferee, that for so
long as it retains its Ownership Interest in a Class R Certificate,
it will endeavor to remain a Permitted Transferee, and that it has
reviewed the provisions of this Section 5.02(f) and agrees to be
bound by them, and (II) a certificate, in the form attached hereto
as Exhibit I-2, from the Holder wishing to transfer the Class R
Certificate, in form and substance satisfactory to the Master
Servicer, representing and warranting, among other things, that no
purpose of the proposed Transfer is to impede the assessment or
collection of tax.
(C) Notwithstanding the delivery of a Transfer Affidavit and
Agreement by a proposed Transferee under clause (B) above, if a
Responsible Officer of the Trustee who is assigned to this Agreement
has actual knowledge that the proposed Transferee is not a Permitted
Transferee, no Transfer of an Ownership Interest in a Class R
Certificate to such proposed Transferee shall be effected.
(D) Each Person holding or acquiring any Ownership Interest in a
Class R Certificate shall agree (x) to require a Transfer Affidavit
and Agreement from any other Person to whom such Person attempts to
transfer its Ownership Interest in a Class R Certificate and (y) not
to transfer its Ownership Interest unless it provides a certificate to
the Trustee in the form attached hereto as Exhibit I-2.
(E) Each Person holding or acquiring an Ownership Interest in a
Class R Certificate, by purchasing an Ownership Interest in such
Certificate, agrees to give the Trustee written notice that it is a
"pass-through interest holder" within the meaning of Temporary
Treasury Regulations Section 1.67-3T(a)(2)(i)(A) immediately upon
acquiring an Ownership Interest in a Class R Certificate, if it is,
or is holding an Ownership Interest in a Class R Certificate on
behalf of, a "pass-through interest holder."
(ii) The Trustee will register the Transfer of any Class R
Certificate only if it shall have received the Transfer Affidavit and
Agreement, a certificate of the Holder requesting such transfer in the
form attached hereto as Exhibit I-2 and all of such other documents as
shall have been reasonably required by the Trustee as a condition to such
registration. Transfers of the Class R Certificates to Non-United States
Persons and Disqualified Organizations (as defined in Section 860E(e)(5)
of the Code) are prohibited.
(iii) (A) If any Disqualified Organization shall become a holder of a
Class R Certificate, then the last preceding Permitted Transferee shall be
restored, to the extent permitted by law, to all rights and obligations as
Holder thereof retroactive to the date of registration of such Transfer of
such Class R Certificate. If a Non-United States Person shall become a
holder of a Class R Certificate, then the last preceding United States
Person shall be restored, to the extent permitted by law, to all rights
and obligations as Holder thereof retroactive to the date of registration
of such Transfer of such Class R Certificate. If a transfer of a Class R
Certificate is disregarded pursuant to the provisions of Treasury
Regulations Section 1.860E-1 or Section 1.860G-3, then the last preceding
Permitted Transferee shall be restored, to the extent permitted by law, to
all rights and obligations as Holder thereof retroactive to the date of
registration of such Transfer of such Class R Certificate. The Trustee
shall be under no liability to any Person for any registration of Transfer
of a Class R Certificate that is in fact not permitted by this Section
5.02(f) or for making any payments due on such Certificate to the holder
thereof or for taking any other action with respect to such holder under
the provisions of this Agreement.
(B) If any purported Transferee shall become a Holder of a
Class R Certificate in violation of the restrictions in this Section
5.02(f) and to the extent that the retroactive restoration of the
rights of the Holder of such Class R Certificate as described in
clause (iii)(A) above shall be invalid, illegal or unenforceable,
then the Master Servicer shall have the right, without notice to the
holder or any prior holder of such Class R Certificate, to sell such
Class R Certificate to a purchaser selected by the Master Servicer
on such terms as the Master Servicer may choose. Such purported
Transferee shall promptly endorse and deliver each Class R
Certificate in accordance with the instructions of the Master
Servicer. Such purchaser may be the Master Servicer itself or any
Affiliate of the Master Servicer. The proceeds of such sale, net of
the commissions (which may include commissions payable to the Master
Servicer or its Affiliates), expenses and taxes due, if any, will be
remitted by the Master Servicer to such purported Transferee. The
terms and conditions of any sale under this clause (iii)(B) shall be
determined in the sole discretion of the Master Servicer, and the
Master Servicer shall not be liable to any Person having an
Ownership Interest in a Class R Certificate as a result of its
exercise of such discretion.
(iv) The Master Servicer, on behalf of the Trustee, shall make
available, upon written request from the Trustee, all information
necessary to compute any tax imposed (A) as a result of the Transfer of an
Ownership Interest in a Class R Certificate to any Person who is a
Disqualified Organization, including the information regarding "excess
inclusions" of such Class R Certificates required to be provided to the
Internal Revenue Service and certain Persons as described in Treasury
Regulations Sections 1.860D-1(b)(5) and 1.860E-2(a)(5), and (B) as a
result of any regulated investment company, real estate investment trust,
common trust fund, partnership, trust, estate or organization described in
Section 1381 of the Code that holds an Ownership Interest in a Class R
Certificate having as among its record holders at any time any Person who
is a Disqualified Organization. Reasonable compensation for providing such
information may be required by the Master Servicer from such Person.
(v) The provisions of this Section 5.02(f) set forth prior to this
clause (v) may be modified, added to or eliminated, provided that there
shall have been delivered to the Trustee the following:
(A) written notification from each Rating Agency to the effect
that the modification, addition to or elimination of such provisions
will not cause such Rating Agency to downgrade its then-current
ratings, if any, of any Class of the Class A, Class M, Class B or
Class R Certificates below the lower of the then-current rating or the
rating assigned to such Certificates as of the Closing Date by such
Rating Agency; and
(B) subject to Section 10.01(f), a certificate of the Master
Servicer stating that the Master Servicer has received an Opinion of
Counsel, in form and substance satisfactory to the Master Servicer,
to the effect that such modification, addition to or absence of such
provisions will not cause the Trust Fund to cease to qualify as a
REMIC and will not cause (x) the Trust Fund to be subject to an
entity-level tax caused by the Transfer of any Class R Certificate
to a Person that is a Disqualified Organization or (y) a
Certificateholder or another Person to be subject to a REMIC-related
tax caused by the Transfer of a Class R Certificate to a Person that
is not a Permitted Transferee.
(g) No service charge shall be made for any transfer or exchange of
Certificates of any Class, but the Trustee may require payment of a sum
sufficient to cover any tax or governmental charge that may be imposed in
connection with any transfer or exchange of Certificates.
(h) All Certificates surrendered for transfer and exchange shall be
destroyed by the Certificate Registrar.
Section 5.03. Mutilated, Destroyed, Lost or Stolen Certificates.
If (i) any mutilated Certificate is surrendered to the Certificate
Registrar, or the Trustee and the Certificate Registrar receive evidence to
their satisfaction of the destruction, loss or theft of any Certificate, and
(ii) there is delivered to the Trustee and the Certificate Registrar such
security or indemnity as may be required by them to save each of them harmless,
then, in the absence of notice to the Trustee or the Certificate Registrar that
such Certificate has been acquired by a bona fide purchaser, the Trustee shall
execute and the Certificate Registrar shall authenticate and deliver, in
exchange for or in lieu of any such mutilated, destroyed, lost or stolen
Certificate, a new Certificate of like tenor, Class and Percentage Interest but
bearing a number not contemporaneously outstanding. Upon the issuance of any new
Certificate under this Section, the Trustee may require the payment of a sum
sufficient to cover any tax or other governmental charge that may be imposed in
relation thereto and any other expenses (including the fees and expenses of the
Trustee and the Certificate Registrar) connected therewith. Any duplicate
Certificate issued pursuant to this Section shall constitute complete and
indefeasible evidence of ownership in the Trust Fund, as if originally issued,
whether or not the lost, stolen or destroyed Certificate shall be found at any
time.
Section 5.04. Persons Deemed Owners.
Prior to due presentation of a Certificate for registration of transfer,
the Company, the Master Servicer, the Trustee, the Certificate Registrar and any
agent of the Company, the Master Servicer, the Trustee or the Certificate
Registrar may treat the Person in whose name any Certificate is registered as
the owner of such Certificate for the purpose of receiving distributions
pursuant to Section 4.02 and for all other purposes whatsoever, except as and to
the extent provided in the definition of " Certificateholder," and neither the
Company, the Master Servicer, the Trustee, the Certificate Registrar nor any
agent of the Company, the Master Servicer, the Trustee or the Certificate
Registrar shall be affected by notice to the contrary except as provided in
Section 5.02(f).
Section 5.05. Appointment of Paying Agent.
The Trustee may appoint a Paying Agent for the purpose of making
distributions to the Certificateholders pursuant to Section 4.02. In the event
of any such appointment, on or prior to each Distribution Date the Master
Servicer on behalf of the Trustee shall deposit or cause to be deposited with
the Paying Agent a sum sufficient to make the payments to the Certificateholders
in the amounts and in the manner provided for in Section 4.02, such sum to be
held in trust for the benefit of the Certificateholders.
The Trustee shall cause each Paying Agent to execute and deliver to the
Trustee an instrument in which such Paying Agent shall agree with the Trustee
that such Paying Agent will hold all sums held by it for the payment to the
Certificateholders in trust for the benefit of the Certificateholders entitled
thereto until such sums shall be paid to such Certificateholders. Any sums so
held by such Paying Agent shall be held only in Eligible Accounts to the extent
such sums are not distributed to the Certificateholders on the date of receipt
by such Paying Agent.
Section 5.06. Optional Purchase of Certificates.
(a) On any Distribution Date on which the Pool Stated Principal Balance is
less than ten percent of the Cut-off Date Principal Balance of the Mortgage
Loans, either the Master Servicer or the Company shall have the right, at its
option, to purchase the Certificates in whole, but not in part, at a price equal
to the outstanding Certificate Principal Balance of the Certificates plus the
sum of Accrued Certificate Interest thereon for the related Interest Accrual
Period and any previously unpaid Accrued Certificate Interest.
(b) The Master Servicer or the Company, as applicable, shall give the
Trustee not less than 60 days' prior notice of the Distribution Date on which
the Master Servicer or the Company, as applicable, anticipates that it will
purchase the Certificates pursuant to Section 5.06(a). Notice of any such
purchase, specifying the Distribution Date upon which the Holders may surrender
their Certificates to the Trustee for payment in accordance with this Section
5.06, shall be given promptly by the Master Servicer or the Company, as
applicable, by letter to Certificateholders (with a copy to the Certificate
Registrar and each Rating Agency) mailed not earlier than the 15th day and not
later than the 25th day of the month next preceding the month of such final
distribution, specifying:
(i) the Distribution Date upon which purchase of the Certificates is
anticipated to be made upon presentation and surrender of such Certificates
at the office or agency of the Trustee therein designated,
(ii) the purchase price therefor, if known, and
(iii) that the Record Date otherwise applicable to such Distribution
Date is not applicable, payments being made only upon presentation and
surrender of the Certificates at the office or agency of the Trustee
therein specified.
If either the Master Servicer or the Company gives the notice specified above,
the Master Servicer or the Company, as applicable, shall deposit in the
Certificate Account before the Distribution Date on which the purchase pursuant
to Section 5.06(a) is to be made, in immediately available funds, an amount
equal to the purchase price for the Certificates computed as provided above.
(c) Upon presentation and surrender of the Certificates to be purchased
pursuant to Section 5.06(a) by the Holders thereof, the Trustee shall distribute
to such Holders an amount equal to the outstanding Certificate Principal Balance
thereof plus the sum of Accrued Certificate Interest thereon for the related
Interest Accrual Period and any previously unpaid Accrued Certificate Interest
with respect thereto.
(d) In the event that any Certificateholders do not surrender their
Certificates on or before the Distribution Date on which a purchase pursuant to
this Section 5.06 is to be made, the Trustee shall on such date cause all funds
in the Certificate Account deposited therein by the Master Servicer or the
Company, as applicable, pursuant to Section 5.06(b) to be withdrawn therefrom
and deposited in a separate escrow account for the benefit of such
Certificateholders, and the Master Servicer or the Company, as applicable, shall
give a second written notice to such Certificateholders to surrender their
Certificates for payment of the purchase price therefor. If within six months
after the second notice any Certificate shall not have been surrendered for
cancellation, the Trustee shall take appropriate steps as directed by the Master
Servicer or the Company, as applicable, to contact the Holders of such
Certificates concerning surrender of their Certificates. The costs and expenses
of maintaining the escrow account and of contacting Certificateholders shall be
paid out of the assets which remain in the escrow account. If within nine months
after the second notice any Certificates shall not have been surrendered for
cancellation in accordance with this Section 5.06, the Trustee shall pay to the
Master Servicer or the Company, as applicable, all amounts distributable to the
Holders thereof and the Master Servicer or the Company, as applicable, shall
thereafter hold such amounts until distributed to such Holders. No interest
shall accrue or be payable to any Certificateholder on any amount held in the
escrow account or by the Master Servicer or the Company, as applicable, as a
result of such Certificateholder's failure to surrender its Certificate(s) for
payment in accordance with this Section 5.06. Any Certificate that is not
surrendered on the Distribution Date on which a purchase pursuant to this
Section 5.06 occurs as provided above will be deemed to have been purchased and
the Holder as of such date will have no rights with respect thereto except to
receive the purchase price therefor minus any costs and expenses associated with
such escrow account and notices allocated thereto. Any Certificates so purchased
or deemed to have been purchased on such Distribution Date shall remain
outstanding hereunder. The Master Servicer or the Company, as applicable, shall
be for all purposes the Holder thereof as of such date.
8
ARTICLE VI
THE COMPANY AND THE MASTER SERVICER
Section 6.01. Respective Liabilities of the Company and the Master
Servicer.
The Company and the Master Servicer shall each be liable in accordance
herewith only to the extent of the obligations specifically and respectively
imposed upon and undertaken by the Company and the Master Servicer herein. By
way of illustration and not limitation, the Company is not liable for the
servicing and administration of the Mortgage Loans, nor is it obligated by
Section 7.01 or Section 10.01 to assume any obligations of the Master Servicer
or to appoint a designee to assume such obligations, nor is it liable for any
other obligation hereunder that it may, but is not obligated to, assume unless
it elects to assume such obligation in accordance herewith.
Section 6.02. Merger or Consolidation of the Company or the Master
Servicer; Assignment of Rights and Delegation of Duties by Master Servicer.
(a) The Company and the Master Servicer will each keep in full effect its
existence, rights and franchises as a corporation under the laws of the state of
its incorporation, and will each obtain and preserve its qualification to do
business as a foreign corporation in each jurisdiction in which such
qualification is or shall be necessary to protect the validity and
enforceability of this Agreement, the Certificates or any of the Mortgage Loans
and to perform its respective duties under this Agreement.
(b) Any Person into which the Company or the Master Servicer may be merged
or consolidated, or any corporation resulting from any merger or consolidation
to which the Company or the Master Servicer shall be a party, or any Person
succeeding to the business of the Company or the Master Servicer, shall be the
successor of the Company or the Master Servicer, as the case may be, hereunder,
without the execution or filing of any paper or any further act on the part of
any of the parties hereto, anything herein to the contrary notwithstanding;
provided, however, that the successor or surviving Person to the Master Servicer
shall be qualified to service mortgage loans on behalf of FNMA or FHLMC; and
provided further that each Rating Agency's ratings, if any, of the Class A,
Class M, Class B or Class R Certificates in effect immediately prior to such
merger or consolidation will not be qualified, reduced or withdrawn as a result
thereof (as evidenced by a letter to such effect from each Rating Agency).
(c) Notwithstanding anything else in this Section 6.02 and Section 6.04 to
the contrary, the Master Servicer may assign its rights and delegate its duties
and obligations under this Agreement; provided that the Person accepting such
assignment or delegation shall be a Person which is qualified to service
mortgage loans on behalf of FNMA or FHLMC, is reasonably satisfactory to the
Trustee and the Company, is willing to service the Mortgage Loans and executes
and delivers to the Company and the Trustee an agreement, in form and substance
reasonably satisfactory to the Company and the Trustee, which contains an
assumption by such Person of the due and punctual performance and observance of
each covenant and condition to be performed or observed by the Master Servicer
under this Agreement; provided further that each Rating Agency's rating of the
Classes of Certificates that have been rated in effect immediately prior to such
assignment and delegation will not be qualified, reduced or withdrawn as a
result of such assignment and delegation (as evidenced by a letter to such
effect from each Rating Agency). In the case of any such assignment and
delegation, the Master Servicer shall be released from its obligations under
this Agreement, except that the Master Servicer shall remain liable for all
liabilities and obligations incurred by it as Master Servicer hereunder prior to
the satisfaction of the conditions to such assignment and delegation set forth
in the next preceding sentence.
Section 6.03. Limitation on Liability of the Company, the Master Servicer
and Others.
Neither the Company, the Master Servicer nor any of the directors,
officers, employees or agents of the Company or the Master Servicer shall be
under any liability to the Trust Fund or the Certificateholders for any action
taken or for refraining from the taking of any action in good faith pursuant to
this Agreement, or for errors in judgment; provided, however, that this
provision shall not protect the Company, the Master Servicer or any such Person
against any breach of warranties or representations made herein or any liability
which would otherwise be imposed by reason of willful misfeasance, bad faith or
gross negligence in the performance of duties or by reason of reckless disregard
of obligations and duties hereunder. The Company, the Master Servicer and any
director, officer, employee or agent of the Company or the Master Servicer may
rely in good faith on any document of any kind prima facie properly executed and
submitted by any Person respecting any matters arising hereunder. The Company,
the Master Servicer and any director, officer, employee or agent of the Company
or the Master Servicer shall be indemnified by the Trust Fund and held harmless
against any loss, liability or expense incurred in connection with any legal
action relating to this Agreement or the Certificates, other than any loss,
liability or expense related to any specific Mortgage Loan or Mortgage Loans
(except as any such loss, liability or expense shall be otherwise reimbursable
pursuant to this Agreement) and any loss, liability or expense incurred by
reason of willful misfeasance, bad faith or gross negligence in the performance
of duties hereunder or by reason of reckless disregard of obligations and duties
hereunder.
Neither the Company nor the Master Servicer shall be under any obligation
to appear in, prosecute or defend any legal or administrative action,
proceeding, hearing or examination that is not incidental to its respective
duties under this Agreement and which in its opinion may involve it in any
expense or liability; provided, however, that the Company or the Master Servicer
may in its discretion undertake any such action, proceeding, hearing or
examination that it may deem necessary or desirable in respect to this Agreement
and the rights and duties of the parties hereto and the interests of the
Certificateholders hereunder. In such event, the legal expenses and costs of
such action, proceeding, hearing or examination and any liability resulting
therefrom shall be expenses, costs and liabilities of the Trust Fund, and the
Company and the Master Servicer shall be entitled to be reimbursed therefor out
of amounts attributable to the Mortgage Loans on deposit in the Custodial
Account as provided by Section 3.10 and, on the Distribution Date(s) following
such reimbursement, the aggregate of such expenses and costs shall be allocated
in reduction of the Accrued Certificate Interest on each Class entitled thereto
in the same manner as if such expenses and costs constituted a Prepayment
Interest Shortfall.
Section 6.04. Company and Master Servicer Not to Resign.
Subject to the provisions of Section 6.02, neither the Company nor the
Master Servicer shall resign from its respective obligations and duties hereby
imposed on it except upon determination that its duties hereunder are no longer
permissible under applicable law. Any such determination permitting the
resignation of the Company or the Master Servicer shall be evidenced by an
Opinion of Counsel to such effect delivered to the Trustee. No such resignation
by the Master Servicer shall become effective until the Trustee or a successor
servicer shall have assumed the Master Servicer's responsibilities and
obligations in accordance with Section 7.02.
9
ARTICLE VII
DEFAULT
Section 7.01. Events of Default.
Event of Default, wherever used herein, means any one of the following
events (whatever reason for such Event of Default and whether it shall be
voluntary or involuntary or be effected by operation of law or pursuant to any
judgment, decree or order of any court or any order, rule or regulation of any
administrative or governmental body):
(i) the Master Servicer shall fail to distribute or cause to be
distributed to the Holders of Certificates of any Class any distribution
required to be made under the terms of the Certificates of such Class and
this Agreement and, in either case, such failure shall continue unremedied
for a period of 5 days after the date upon which written notice of such
failure, requiring such failure to be remedied, shall have been given to
the Master Servicer by the Trustee or the Company or to the Master
Servicer, the Company and the Trustee by the Holders of Certificates of
such Class evidencing Percentage Interests aggregating not less than 25%;
or
(ii) the Master Servicer shall fail to observe or perform in any
material respect any other of the covenants or agreements on the part of
the Master Servicer contained in the Certificates of any Class or in this
Agreement and such failure shall continue unremedied for a period of 30
days (except that such number of days shall be 15 in the case of a failure
to pay the premium for any Required Insurance Policy) after the date on
which written notice of such failure, requiring the same to be remedied,
shall have been given to the Master Servicer by the Trustee or the
Company, or to the Master Servicer, the Company and the Trustee by the
Holders of Certificates of any Class evidencing, in the case of any such
Class, Percentage Interests aggregating not less than 25%; or
(iii) a decree or order of a court or agency or supervisory authority
having jurisdiction in the premises in an involuntary case under any
present or future federal or state bankruptcy, insolvency or similar law
or appointing a conservator or receiver or liquidator in any insolvency,
readjustment of debt, marshalling of assets and liabilities or similar
proceedings, or for the winding-up or liquidation of its affairs, shall
have been entered against the Master Servicer and such decree or order
shall have remained in force undischarged or unstayed for a period of 60
days; or
(iv) the Master Servicer shall consent to the appointment of a
conservator or receiver or liquidator in any insolvency, readjustment of
debt, marshalling of assets and liabilities, or similar proceedings of, or
relating to, the Master Servicer or of, or relating to, all or
substantially all of the property of the Master Servicer; or
(v) the Master Servicer shall admit in writing its inability to pay
its debts generally as they become due, file a petition to take advantage
of, or commence a voluntary case under, any applicable insolvency or
reorganization statute, make an assignment for the benefit of its
creditors, or voluntarily suspend payment of its obligations; or
(vi) the Master Servicer shall notify the Trustee pursuant to Section
4.04(b) that it is unable to deposit in the Certificate Account an amount
equal to the Advance.
If an Event of Default described in clauses (i)-(v) of this Section shall
occur, then, and in each and every such case, so long as such Event of Default
shall not have been remedied, either the Company or the Trustee may, and at the
direction of Holders of Certificates entitled to at least 51% of the Voting
Rights, the Trustee shall, by notice in writing to the Master Servicer (and to
the Company if given by the Trustee or to the Trustee if given by the Company),
terminate all of the rights and obligations of the Master Servicer under this
Agreement and in and to the Mortgage Loans and the proceeds thereof, other than
its rights as a Certificateholder hereunder. If an Event of Default described in
clause (vi) hereof shall occur, the Trustee shall, by notice to the Master
Servicer and the Company, immediately terminate all of the rights and
obligations of the Master Servicer under this Agreement and in and to the
Mortgage Loans and the proceeds thereof, other than its rights as a
Certificateholder hereunder as provided in Section 4.04(b). On or after the
receipt by the Master Servicer of such written notice, all authority and power
of the Master Servicer under this Agreement, whether with respect to the
Certificates (other than as a Holder thereof) or the Mortgage Loans or
otherwise, shall subject to Section 7.02 pass to and be vested in the Trustee or
the Trustee's designee appointed pursuant to Section 7.02; and, without
limitation, the Trustee is hereby authorized and empowered to execute and
deliver, on behalf of the Master Servicer, as attorney-in-fact or otherwise, any
and all documents and other instruments, and to do or accomplish all other acts
or things necessary or appropriate to effect the purposes of such notice of
termination, whether to complete the transfer and endorsement or assignment of
the Mortgage Loans and related documents, or otherwise. The Master Servicer
agrees to cooperate with the Trustee in effecting the termination of the Master
Servicer's responsibilities and rights hereunder, including, without limitation,
the transfer to the Trustee or its designee for administration by it of all cash
amounts which shall at the time be credited to the Custodial Account or the
Certificate Account or thereafter be received with respect to the Mortgage
Loans. No such termination shall release the Master Servicer for any liability
that it would otherwise have hereunder for any act or omission prior to the
effective time of such termination.
Notwithstanding any termination of the activities of Residential Funding
in its capacity as Master Servicer hereunder, Residential Funding shall be
entitled to receive, out of any late collection of a Monthly Payment on a
Mortgage Loan which was due prior to the notice terminating Residential
Funding's rights and obligations as Master Servicer hereunder and received after
such notice, that portion to which Residential Funding would have been entitled
pursuant to Sections 3.10(a)(ii), (vi) and (vii) as well as its Servicing Fee in
respect thereof, and any other amounts payable to Residential Funding hereunder
the entitlement to which arose prior to the termination of its activities
hereunder. Upon the termination of Residential Funding as Master Servicer
hereunder the Company shall deliver to the Trustee a copy of the Program Guide.
Section 7.02. Trustee or Company to Act; Appointment of Successor.
On and after the time the Master Servicer receives a notice of termination
pursuant to Section 7.01 or resigns in accordance with Section 6.04, the Trustee
or, upon notice to the Company and with the Company's consent (which shall not
be unreasonably withheld) a designee (which meets the standards set forth below)
of the Trustee, shall be the successor in all respects to the Master Servicer in
its capacity as servicer under this Agreement and the transactions set forth or
provided for herein and shall be subject to all the responsibilities, duties and
liabilities relating thereto placed on the Master Servicer (except for the
responsibilities, duties and liabilities contained in Sections 2.02 and 2.03(a),
excluding the duty to notify related Subservicers or Sellers as set forth in
such Sections, and its obligations to deposit amounts in respect of losses
incurred prior to such notice or termination on the investment of funds in the
Custodial Account or the Certificate Account pursuant to Sections 3.07(c) and
4.01(b) by the terms and provisions hereof); provided, however, that any failure
to perform such duties or responsibilities caused by the preceding Master
Servicer's failure to provide information required by Section 4.04 shall not be
considered a default by the Trustee hereunder. As compensation therefor, the
Trustee shall be entitled to all funds relating to the Mortgage Loans which the
Master Servicer would have been entitled to charge to the Custodial Account or
the Certificate Account if the Master Servicer had continued to act hereunder
and, in addition, shall be entitled to the income from any Permitted Investments
made with amounts attributable to the Mortgage Loans held in the Custodial
Account or the Certificate Account. If the Trustee has become the successor to
the Master Servicer in accordance with Section 6.04 or Section 7.01, then
notwithstanding the above, the Trustee may, if it shall be unwilling to so act,
or shall, if it is unable to so act, appoint, or petition a court of competent
jurisdiction to appoint, any established housing and home finance institution,
which is also a FNMA- or FHLMC-approved mortgage servicing institution, having a
net worth of not less than $10,000,000 as the successor to the Master Servicer
hereunder in the assumption of all or any part of the responsibilities, duties
or liabilities of the Master Servicer hereunder. Pending appointment of a
successor to the Master Servicer hereunder, the Trustee shall become successor
to the Master Servicer and shall act in such capacity as hereinabove provided.
In connection with such appointment and assumption, the Trustee may make such
arrangements for the compensation of such successor out of payments on Mortgage
Loans as it and such successor shall agree; provided, however, that no such
compensation shall be in excess of that permitted the initial Master Servicer
hereunder. The Company, the Trustee, the Custodian and such successor shall take
such action, consistent with this Agreement, as shall be necessary to effectuate
any such succession. The Servicing Fee for any successor Master Servicer
appointed pursuant to this Section 7.02 will be lowered with respect to those
Mortgage Loans, if any, where the Subservicing Fee accrues at a rate of less
than 0.20% per annum in the event that the successor Master Servicer is not
servicing such Mortgage Loans directly and it is necessary to raise the related
Subservicing Fee to a rate of 0.20% per annum in order to hire a Subservicer
with respect to such Mortgage Loans.
Section 7.03. Notification to Certificateholders.
(a) Upon any such termination or appointment of a successor to the
Master Servicer, the Trustee shall give prompt written notice thereof to
the Certificateholders at their respective addresses appearing in the
Certificate Register.
(b) Within 60 days after the occurrence of any Event of Default, the
Trustee shall transmit by mail to all Holders of Certificates notice of
each such Event of Default hereunder known to the Trustee, unless such
Event of Default shall have been cured or waived.
Section 7.04. Waiver of Events of Default.
The Holders representing at least 66% of the Voting Rights affected by a
default or Event of Default hereunder may waive such default or Event of
Default; provided, however, that (a) a default or Event of Default under clause
(i) of Section 7.01 may be waived only by all of the Holders of Certificates
affected by such default or Event of Default and (b) no waiver pursuant to this
Section 7.04 shall affect the Holders of Certificates in the manner set forth in
Section 11.01(b)(i) or (ii). Upon any -------- ------- such waiver of a default
or Event of Default by the Holders representing the requisite percentage of
Voting Rights affected by such default or Event of Default, such default or
Event of Default shall cease to exist and shall be deemed to have been remedied
for every purpose hereunder. No such waiver shall extend to any subsequent or
other default or Event of Default or impair any right consequent thereon except
to the extent expressly so waived.
10
ARTICLE VIII
CONCERNING THE TRUSTEE
Section 8.01. Duties of Trustee.
(a) The Trustee, prior to the occurrence of an Event of Default and after
the curing of all Events of Default which may have occurred, undertakes to
perform such duties and only such duties as are specifically set forth in this
Agreement. In case an Event of Default has occurred (which has not been cured or
waived), the Trustee shall exercise such of the rights and powers vested in it
by this Agreement, and use the same degree of care and skill in their exercise
as a prudent investor would exercise or use under the circumstances in the
conduct of such investor's own affairs.
(b) The Trustee, upon receipt of all resolutions, certificates, statements,
opinions, reports, documents, orders or other instruments furnished to the
Trustee which are specifically required to be furnished pursuant to any
provision of this Agreement, shall examine them to determine whether they
conform to the requirements of this Agreement. The Trustee shall notify the
Certificateholders of any such documents which do not materially conform to the
requirements of this Agreement in the event that the Trustee, after so
requesting, does not receive satisfactorily corrected documents.
The Trustee shall forward or cause to be forwarded in a timely fashion the
notices, reports and statements required to be forwarded by the Trustee pursuant
to Sections 4.03, 4.06, 7.03 and 10.01. The Trustee shall furnish in a timely
fashion to the Master Servicer such information as the Master Servicer may
reasonably request from time to time for the Master Servicer to fulfill its
duties as set forth in this Agreement. The Trustee covenants and agrees that it
shall perform its obligations hereunder in a manner so as to maintain the status
of the Trust Fund as a REMIC under the REMIC Provisions and (subject to Section
10.01(f)) to prevent the imposition of any federal, state or local income,
prohibited transaction, contribution or other tax on the Trust Fund to the
extent that maintaining such status and avoiding such taxes are reasonably
within the control of the Trustee and are reasonably within the scope of its
duties under this Agreement.
(c) No provision of this Agreement shall be construed to relieve the
Trustee from liability for its own negligent action, its own negligent failure
to act or its own willful misconduct; provided, however, that: -------- -------
(i) Prior to the occurrence of an Event of Default, and after the
curing or waiver of all such Events of Default which may have occurred,
the duties and obligations of the Trustee shall be determined solely by
the express provisions of this Agreement, the Trustee shall not be liable
except for the performance of such duties and obligations as are
specifically set forth in this Agreement, no implied covenants or
obligations shall be read into this Agreement against the Trustee and, in
the absence of bad faith on the part of the Trustee, the Trustee may
conclusively rely, as to the truth of the statements and the correctness
of the opinions expressed therein, upon any certificates or opinions
furnished to the Trustee by the Company or the Master Servicer and which
on their face, do not contradict the requirements of this Agreement;
(ii) The Trustee shall not be personally liable for an error of
judgment made in good faith by a Responsible Officer or Responsible
Officers of the Trustee, unless it shall be proved that the Trustee was
negligent in ascertaining the pertinent facts;
(iii) The Trustee shall not be personally liable with respect to any
action taken, suffered or omitted to be taken by it in good faith in
accordance with the direction of Certificateholders of any Class holding
Certificates which evidence, as to such Class, Percentage Interests
aggregating not less than 25% as to the time, method and place of
conducting any proceeding for any remedy available to the Trustee, or
exercising any trust or power conferred upon the Trustee, under this
Agreement;
(iv) The Trustee shall not be charged with knowledge of any default
(other than a default in payment to the Trustee) specified in clauses (i)
and (ii) of Section 7.01 or an Event of Default under clauses (iii), (iv)
and (v) of Section 7.01 unless a Responsible Officer of the Trustee
assigned to and working in the Corporate Trust Office obtains actual
knowledge of such failure or event or the Trustee receives written notice
of such failure or event at its Corporate Trust Office from the Master
Servicer, the Company or any Certificateholder; and
(v) Except to the extent provided in Section 7.02, no provision in
this Agreement shall require the Trustee to expend or risk its own funds
(including, without limitation, the making of any Advance) or otherwise
incur any personal financial liability in the performance of any of its
duties as Trustee hereunder, or in the exercise of any of its rights or
powers, if the Trustee shall have reasonable grounds for believing that
repayment of funds or adequate indemnity against such risk or liability is
not reasonably assured to it.
(d) The Trustee shall timely pay, from its own funds, the amount of any and
all federal, state and local taxes imposed on the Trust Fund or its assets or
transactions including, without limitation, (A) "prohibited transaction" penalty
taxes as defined in Section 860F of the Code, if, when and as the same shall be
due and payable, (B) any tax on contributions to a REMIC after the Closing Date
imposed by Section 860G(d) of the Code and (C) any tax on "net income from
foreclosure property" as defined in Section 860G(c) of the Code, but only if
such taxes arise out of a breach by the Trustee of its obligations hereunder,
which breach constitutes negligence or willful misconduct of the Trustee.
Section 8.02. Certain Matters Affecting the Trustee.
(a) Except as otherwise provided in Section 8.01:
(i) The Trustee may rely and shall be protected in acting or
refraining from acting upon any resolution, Officers' Certificate,
certificate of auditors or any other certificate, statement, instrument,
opinion, report, notice, request, consent, order, appraisal, bond or other
paper or document believed by it to be genuine and to have been signed or
presented by the proper party or parties;
(ii) The Trustee may consult with counsel and any Opinion of Counsel
shall be full and complete authorization and protection in respect of any
action taken or suffered or omitted by it hereunder in good faith and in
accordance with such Opinion of Counsel;
(iii) The Trustee shall be under no obligation to exercise any of the
trusts or powers vested in it by this Agreement or to institute, conduct
or defend any litigation hereunder or in relation hereto at the request,
order or direction of any of the Certificateholders, pursuant to the
provisions of this Agreement, unless such Certificateholders shall have
offered to the Trustee reasonable security or indemnity against the costs,
expenses and liabilities which may be incurred therein or thereby; nothing
contained herein shall, however, relieve the Trustee of the obligation,
upon the occurrence of an Event of Default (which has not been cured), to
exercise such of the rights and powers vested in it by this Agreement, and
to use the same degree of care and skill in their exercise as a prudent
investor would exercise or use under the circumstances in the conduct of
such investor's own affairs;
(iv) The Trustee shall not be personally liable for any action taken,
suffered or omitted by it in good faith and believed by it to be authorized
or within the discretion or rights or powers conferred upon it by this
Agreement;
(v) Prior to the occurrence of an Event of Default hereunder and
after the curing of all Events of Default which may have occurred, the
Trustee shall not be bound to make any investigation into the facts or
matters stated in any resolution, certificate, statement, instrument,
opinion, report, notice, request, consent, order, approval, bond or other
paper or document, unless requested in writing so to do by Holders of
Certificates of any Class evidencing, as to such Class, Percentage
Interests, aggregating not less than 50%; provided, however, that if the
payment within a reasonable time to the Trustee of the costs, expenses or
liabilities likely to be incurred by it in the making of such
investigation is, in the opinion of the Trustee, not reasonably assured to
the Trustee by the security afforded to it by the terms of this Agreement,
the Trustee may require reasonable indemnity against such expense or
liability as a condition to so proceeding. The reasonable expense of every
such examination shall be paid by the Master Servicer, if an Event of
Default shall have occurred and is continuing, and otherwise by the
Certificateholder requesting the investigation;
(vi) The Trustee may execute any of the trusts or powers hereunder or
perform any duties hereunder either directly or by or through agents or
attorneys; and
(vii) To the extent authorized under the Code and the regulations
promulgated thereunder, each Holder of a Class R Certificate hereby
irrevocably appoints and authorizes the Trustee to be its attorney-in-fact
for purposes of signing any Tax Returns required to be filed on behalf of
the Trust Fund. The Trustee shall sign on behalf of the Trust Fund and
deliver to the Master Servicer in a timely manner any Tax Returns prepared
by or on behalf of the Master Servicer that the Trustee is required to sign
as determined by the Master Servicer pursuant to applicable federal, state
or local tax laws, provided that the Master Servicer shall indemnify the
Trustee for signing any such Tax Returns that contain errors or omissions.
(b) Following the issuance of the Certificates, the Trustee shall not
accept any contribution of assets to the Trust Fund unless (subject to Section
10.01(f)) it shall have obtained or been furnished with an Opinion of Counsel to
the effect that such contribution will not (i) cause the Trust Fund to fail to
qualify as a REMIC at any time that any Certificates are outstanding or (ii)
cause the Trust Fund to be subject to any federal tax as a result of such
contribution (including the imposition of any federal tax on "prohibited
transactions" imposed under Section 860F(a) of the Code).
Section 8.03. Trustee Not Liable for Certificates or Mortgage Loans.
The recitals contained herein and in the Certificates (other than the
execution of the Certificates and relating to the acceptance and receipt of the
Mortgage Loans) shall be taken as the statements of the Company or the Master
Servicer as the case may be, and the Trustee assumes no responsibility for their
correctness. The Trustee makes no representations as to the validity or
sufficiency of this Agreement or of the Certificates (except that the
Certificates shall be duly and validly executed and authenticated by it as
Certificate Registrar) or of any Mortgage Loan or related document. Except as
otherwise provided herein, the Trustee shall not be accountable for the use or
application by the Company or the Master Servicer of any of the Certificates or
of the proceeds of such Certificates, or for the use or application of any funds
paid to the Company or the Master Servicer in respect of the Mortgage Loans or
deposited in or withdrawn from the Custodial Account or the Certificate Account
by the Company or the Master Servicer.
Section 8.04. Trustee May Own Certificates.
The Trustee in its individual or any other capacity may become the owner
or pledgee of Certificates with the same rights it would have if it were not
Trustee.
Section 8.05. Master Servicer to Pay Trustee's Fees and Expenses;
Indemnification.
(a) The Master Servicer covenants and agrees to pay to the Trustee and any
co-trustee from time to time, and the Trustee and any co-trustee shall be
entitled to, reasonable compensation (which shall not be limited by any
provision of law in regard to the compensation of a trustee of an express trust)
for all services rendered by each of them in the execution of the trusts hereby
created and in the exercise and performance of any of the powers and duties
hereunder of the Trustee and any co-trustee, and the Master Servicer will pay or
reimburse the Trustee and any co-trustee upon request for all reasonable
expenses, disbursements and advances incurred or made by the Trustee or any
co-trustee in accordance with any of the provisions of this Agreement (including
the reasonable compensation and the expenses and disbursements of its counsel
and of all persons not regularly in its employ, and the expenses incurred by the
Trustee or any co-trustee in connection with the appointment of an office or
agency pursuant to Section 8.12) except any such expense, disbursement or
advance as may arise from its negligence or bad faith.
(b) The Master Servicer agrees to indemnify the Trustee for, and to hold
the Trustee harmless against, any loss, liability or expense incurred without
negligence or willful misconduct on the Trustee's part, arising out of, or in
connection with, the acceptance and administration of the Trust Fund, including
the costs and expenses (including reasonable legal fees and expenses) of
defending itself against any claim in connection with the exercise or
performance of any of its powers or duties under this Agreement and the
Custodial Agreement, provided that:
(i) with respect to any such claim, the Trustee shall have given the Master
Servicer written notice thereof promptly after the Trustee shall have actual
knowledge thereof;
(ii) while maintaining control over its own defense, the Trustee
shall cooperate and consult fully with the Master Servicer in preparing such
defense; and
(iii) notwithstanding anything in this Agreement to the contrary, the
Master Servicer shall not be liable for settlement of any claim by the Trustee
entered into without the prior consent of the Master Servicer which consent
shall not be unreasonably withheld.
No termination of this Agreement shall affect the obligations created by this
Section 8.05(b) of the Master Servicer to indemnify the Trustee under the
conditions and to the extent set forth herein.
Notwithstanding the foregoing, the indemnification provided by the Master
Servicer in this Section 8.05(b) shall not pertain to any loss, liability or
expense of the Trustee, including the costs and expenses of defending itself
against any claim, incurred in connection with any actions taken by the Trustee
at the direction of the Certificateholders pursuant to the terms of this
Agreement.
Section 8.06. Eligibility Requirements for Trustee.
The Trustee hereunder shall at all times be a corporation or a national
banking association having its principal office in a state and city acceptable
to the Company and organized and doing business under the laws of such state or
the United States of America, authorized under such laws to exercise corporate
trust powers, having a combined capital and surplus of at least $50,000,000 and
subject to supervision or examination by federal or state authority. If such
corporation or national banking association publishes reports of condition at
least annually, pursuant to law or to the requirements of the aforesaid
supervising or examining authority, then for the purposes of this Section the
combined capital and surplus of such corporation shall be deemed to be its
combined capital and surplus as set forth in its most recent report of condition
so published. In case at any time the Trustee shall cease to be eligible in
accordance with the provisions of this Section, the Trustee shall resign
immediately in the manner and with the effect specified in Section 8.07.
Section 8.07. Resignation and Removal of the Trustee.
(a) The Trustee may at any time resign and be discharged from the trusts
hereby created by giving written notice thereof to the Company. Upon receiving
such notice of resignation, the Company shall promptly appoint a successor
trustee by written instrument, in duplicate, one copy of which instrument shall
be delivered to the resigning Trustee and one copy to the successor trustee. If
no successor trustee shall have been so appointed and have accepted appointment
within 30 days after the giving of such notice of resignation, the resigning
Trustee may petition any court of competent jurisdiction for the appointment of
a successor trustee.
(b) If at any time the Trustee shall cease to be eligible in accordance
with the provisions of Section 8.06 and shall fail to resign after written
request therefor by the Company, or if at any time the Trustee shall become
incapable of acting, or shall be adjudged bankrupt or insolvent, or a receiver
of the Trustee or of its property shall be appointed, or any public officer
shall take charge or control of the Trustee or of its property or affairs for
the purpose of rehabilitation, conservation or liquidation, then the Company may
remove the Trustee and appoint a successor trustee by written instrument, in
duplicate, one copy of which instrument shall be delivered to the Trustee so
removed and one copy to the successor trustee. In addition, in the event that
the Company determines that the Trustee has failed (i) to distribute or cause to
be distributed to the Certificateholders any amount required to be distributed
hereunder, if such amount is held by the Trustee or its Paying Agent (other than
the Master Servicer or the Company) for distribution or (ii) to otherwise
observe or perform in any material respect any of its covenants, agreements or
obligations hereunder, and such failure shall continue unremedied for a period
of 5 days (in respect of clause (i) above) or 30 days (in respect of clause (ii)
above) after the date on which written notice of such failure, requiring that
the same be remedied, shall have been given to the Trustee by the Company, then
the Company may remove the Trustee and appoint a successor trustee by written
instrument delivered as provided in the preceding sentence. In connection with
the appointment of a successor trustee pursuant to the preceding sentence, the
Company shall, on or before the date on which any such appointment becomes
effective, obtain from each Rating Agency written confirmation that the
appointment of any such successor trustee will not result in the reduction of
the ratings on any class of the Certificates below the lesser of the then
current or original ratings on such Certificates.
(c) The Holders of Certificates entitled to at least 51% of the Voting
Rights may at any time remove the Trustee and appoint a successor trustee by
written instrument or instruments, in triplicate, signed by such Holders or
their attorneys-in-fact duly authorized, one complete set of which instruments
shall be delivered to the Company, one complete set to the Trustee so removed
and one complete set to the successor so appointed.
(d) Any resignation or removal of the Trustee and appointment of a
successor trustee pursuant to any of the provisions of this Section shall become
effective upon acceptance of appointment by the successor trustee as provided in
Section 8.08.
Section 8.08. Successor Trustee.
(a) Any successor trustee appointed as provided in Section 8.07 shall
execute, acknowledge and deliver to the Company and to its predecessor trustee
an instrument accepting such appointment hereunder, and thereupon the
resignation or removal of the predecessor trustee shall become effective and
such successor trustee shall become effective and such successor trustee,
without any further act, deed or conveyance, shall become fully vested with all
the rights, powers, duties and obligations of its predecessor hereunder, with
the like effect as if originally named as trustee herein. The predecessor
trustee shall deliver to the successor trustee all Mortgage Files and related
documents and statements held by it hereunder (other than any Mortgage Files at
the time held by a Custodian, which shall become the agent of any successor
trustee hereunder), and the Company, the Master Servicer and the predecessor
trustee shall execute and deliver such instruments and do such other things as
may reasonably be required for more fully and certainly vesting and confirming
in the successor trustee all such rights, powers, duties and obligations.
(b) No successor trustee shall accept appointment as provided in this
Section unless at the time of such acceptance such successor trustee shall be
eligible under the provisions of Section 8.06.
(c) Upon acceptance of appointment by a successor trustee as provided in
this Section, the Company shall mail notice of the succession of such trustee
hereunder to all Holders of Certificates at their addresses as shown in the
Certificate Register. If the Company fails to mail such notice within 10 days
after acceptance of appointment by the successor trustee, the successor trustee
shall cause such notice to be mailed at the expense of the Company.
Section 8.09. Merger or Consolidation of Trustee.
Any corporation or national banking association into which the Trustee may
be merged or converted or with which it may be consolidated or any corporation
or national banking association resulting from any merger, conversion or
consolidation to which the Trustee shall be a party, or any corporation or
national banking association succeeding to the business of the Trustee, shall be
the successor of the Trustee hereunder, provided such corporation or national
banking association shall be eligible under the provisions of Section 8.06,
without the execution or filing of any paper or any further act on the part of
any of the parties hereto, anything herein to the contrary notwithstanding. The
Trustee shall mail notice of any such merger or consolidation to the
Certificateholders at their address as shown in the Certificate Register.
Section 8.10. Appointment of Co-Trustee or Separate Trustee.
(a) Notwithstanding any other provisions hereof, at any time, for the
purpose of meeting any legal requirements of any jurisdiction in which any part
of the Trust Fund or property securing the same may at the time be located, the
Master Servicer and the Trustee acting jointly shall have the power and shall
execute and deliver all instruments to appoint one or more Persons approved by
the Trustee to act as co-trustee or co-trustees, jointly with the Trustee, or
separate trustee or separate trustees, of all or any part of the Trust Fund, and
to vest in such Person or Persons, in such capacity, such title to the Trust
Fund, or any part thereof, and, subject to the other provisions of this Section
8.10, such powers, duties, obligations, rights and trusts as the Master Servicer
and the Trustee may consider necessary or desirable. If the Master Servicer
shall not have joined in such appointment within 15 days after the receipt by it
of a request so to do, or in case an Event of Default shall have occurred and be
continuing, the Trustee alone shall have the power to make such appointment. No
co-trustee or separate trustee hereunder shall be required to meet the terms of
eligibility as a successor trustee under Section 8.06 hereunder and no notice to
Holders of Certificates of the appointment of co-trustee(s) or separate
trustee(s) shall be required under Section 8.08 hereof.
(b) In the case of any appointment of a co-trustee or separate trustee
pursuant to this Section 8.10 all rights, powers, duties and obligations
conferred or imposed upon the Trustee shall be conferred or imposed upon and
exercised or performed by the Trustee, and such separate trustee or co-trustee
jointly, except to the extent that under any law of any jurisdiction in which
any particular act or acts are to be performed (whether as Trustee hereunder or
as successor to the Master Servicer hereunder), the Trustee shall be incompetent
or unqualified to perform such act or acts, in which event such rights, powers,
duties and obligations (including the holding of title to the Trust Fund or any
portion thereof in any such jurisdiction) shall be exercised and performed by
such separate trustee or co-trustee at the direction of the Trustee.
(c) Any notice, request or other writing given to the Trustee shall be
deemed to have been given to each of the then separate trustees and co-trustees,
as effectively as if given to each of them. Every instrument appointing any
separate trustee or co-trustee shall refer to this Agreement and the conditions
of this Article VIII. Each separate trustee and co-trustee, upon its acceptance
of the trusts conferred, shall be vested with the estates or property specified
in its instrument of appointment, either jointly with the Trustee or separately,
as may be provided therein, subject to all the provisions of this Agreement,
specifically including every provision of this Agreement relating to the conduct
of, affecting the liability of, or affording protection to, the Trustee. Every
such instrument shall be filed with the Trustee.
(d) Any separate trustee or co-trustee may, at any time, constitute the
Trustee, its agent or attorney-in-fact, with full power and authority, to the
extent not prohibited by law, to do any lawful act under or in respect of this
Agreement on its behalf and in its name. If any separate trustee or co-trustee
shall die, become incapable of acting, resign or be removed, all of its estates,
properties, rights, remedies and trusts shall vest in and be exercised by the
Trustee, to the extent permitted by law, without the appointment of a new or
successor trustee.
Section 8.11. Appointment of Custodians.
The Trustee may, with the consent of the Master Servicer and the Company,
appoint one or more Custodians who are not Affiliates of the Company, the Master
Servicer or any Seller to hold all or a portion of the Mortgage Files as agent
for the Trustee, by entering into a Custodial Agreement. Subject to Article
VIII, the Trustee agrees to comply with the terms of each Custodial Agreement
and to enforce the terms and provisions thereof against the Custodian for the
benefit of the Certificateholders. Each Custodian shall be a depository
institution subject to supervision by federal or state authority, shall have a
combined capital and surplus of at least $15,000,000 and shall be qualified to
do business in the jurisdiction in which it holds any Mortgage File. Each
Custodial Agreement may be amended only as provided in Section 11.01. The
Trustee shall notify the Certificateholders of the appointment of any Custodian
(other than the Custodian appointed as of the Closing Date) pursuant to this
Section 8.11.
Section 8.12. Appointment of Office or Agency.
The Trustee will maintain an office or agency in the City of New York where
Certificates may be surrendered for registration of transfer or exchange. The
Trustee initially designates its offices located at Four Xxxxxx Xxxxxx, Xxx
Xxxx, Xxx Xxxx, 00000, for the purpose of keeping the Certificate Register. The
Trustee will maintain an office at the address stated in Section 11.05(c) hereof
where notices and demands to or upon the Trustee in respect of this Agreement
may be served.
11
ARTICLE IX
TERMINATION
Section 9.01. Termination Upon Purchase by the Master Servicer or the
Company or Liquidation of All Mortgage Loans.
(a) Subject to Section 9.02, the respective obligations and
responsibilities of the Company, the Master Servicer and the Trustee created
hereby in respect of the Certificates (other than the obligation of the Trustee
to make certain payments after the Final Distribution Date to Certificateholders
and the obligation of the Company to send certain notices as hereinafter set
forth) shall terminate upon the last action required to be taken by the Trustee
on the Final Distribution Date pursuant to this Article IX following the earlier
of:
(i) the later of the final payment or other liquidation (or any
Advance with respect thereto) of the last Mortgage Loan remaining in the
Trust Fund or the disposition of all property acquired upon foreclosure or
deed in lieu of foreclosure of any Mortgage Loan, or
(ii) the purchase by the Master Servicer or the Company of all
Mortgage Loans and all property acquired in respect of any Mortgage Loan
remaining in the Trust Fund at a price equal to 100% of the unpaid
principal balance of each Mortgage Loan or, if less than such unpaid
principal balance, the fair market value of the related underlying property
of such Mortgage Loan with respect to Mortgage Loans as to which title has
been acquired if such fair market value is less than such unpaid principal
balance (net of any unreimbursed Advances attributable to principal) on the
day of repurchase plus accrued interest thereon at the Net Mortgage Rate
(or Modified Net Mortgage Rate in the case of any Modified Mortgage Loan)
to, but not including, the first day of the month in which such repurchase
price is distributed, provided, however, that in no event shall the trust
created hereby continue beyond the expiration of 21 years from the death of
the last survivor of the descendants of Xxxxxx X. Xxxxxxx, the late
ambassador of the United States to the Court of St. Xxxxx, living on the
date hereof and provided further that the purchase price set forth above
shall be increased as is necessary, as determined by the Master Servicer,
to avoid disqualification of the Trust Fund as a REMIC.
The right of the Master Servicer or the Company to purchase all the assets
of the Trust Fund pursuant to clause (ii) above is conditioned upon the Pool
Stated Principal Balance as of the Final Distribution Date being less than ten
percent of the Cut-off Date Principal Balance of the Mortgage Loans. If such
right is exercised by the Master Servicer, the Master Servicer shall be deemed
to have been reimbursed for the full amount of any unreimbursed Advances
theretofore made by it with respect to the Mortgage Loans. In addition, the
Master Servicer or the Company, as applicable, shall provide to the Trustee the
certification required by Section 3.15 and the Trustee and any Custodian shall,
promptly following payment of the purchase price, release to the Master Servicer
or the Company, as applicable, the Mortgage Files pertaining to the Mortgage
Loans being purchased.
(b) The Master Servicer or, in the case of a final distribution as a result
of the exercise by the Company of its right to purchase the assets of the Trust
Fund, the Company shall give the Trustee not less than 60 days' prior notice of
the Distribution Date on which the Master Servicer or the Company, as
applicable, anticipates that the final distribution will be made to
Certificateholders (whether as a result of the exercise by the Master Servicer
or the Company of its right to purchase the assets of the Trust Fund or
otherwise). Notice of any termination, specifying the anticipated Final
Distribution Date (which shall be a date that would otherwise be a Distribution
Date) upon which the Certificateholders may surrender their Certificates to the
Trustee (if so required by the terms hereof) for payment of the final
distribution and cancellation, shall be given promptly by the Master Servicer or
the Company, as applicable (if it is exercising its right to purchase the assets
of the Trust Fund), or by the Trustee (in any other case) by letter to the
Certificateholders mailed not earlier than the 15th day and not later than the
25th day of the month next preceding the month of such final distribution
specifying:
(i) the anticipated Final Distribution Date upon which final payment
of the Certificates is anticipated to be made upon presentation and
surrender of Certificates at the office or agency of the Trustee therein
designated,
(ii) the amount of any such final payment, if known, and
(iii) that the Record Date otherwise applicable to such Distribution
Date is not applicable, and in the case of the Class A, Class M and Class R
Certificates, that payment will be made only upon presentation and
surrender of the Certificates at the office or agency of the Trustee
therein specified.
If the Master Servicer or the Company, as applicable, is obligated to give
notice to Certificateholders as aforesaid, it shall give such notice to the
Certificate Registrar at the time such notice is given to Certificateholders. In
the event such notice is given by the Master Servicer or the Company, the Master
Servicer or the Company, as applicable, shall deposit in the Certificate Account
before the Final Distribution Date in immediately available funds an amount
equal to the purchase price for the assets of the Trust Fund computed as above
provided.
(c) In the case of the Class A, Class M, Class B and the Class R
Certificates, upon presentation and surrender of the Certificates by the
Certificateholders thereof, the Trustee shall distribute to the
Certificateholders (i) the amount otherwise distributable on such Distribution
Date, if not in connection with the Master Servicer's or the Company's election
to repurchase, or (ii) if the Master Servicer or the Company elected to so
repurchase, an amount determined as follows: (A) with respect to each
Certificate the outstanding Certificate Principal Balance thereof, plus Accrued
Certificate Interest for the related Interest Accrual Period thereon and any
previously unpaid Accrued Certificate Interest, subject to the priority set
forth in Section 4.02(a), and (B) with respect to the Class R Certificates, any
excess of the amounts available for distribution (including the repurchase price
specified in clause (ii) of subsection (a) of this Section) over the total
amount distributed under the immediately preceding clause (A).
(d) In the event that any Certificateholders shall not surrender their
Certificates for final payment and cancellation on or before the Final
Distribution Date (if so required by the terms hereof), the Trustee shall on
such date cause all funds in the Certificate Account not distributed in final
distribution to Certificateholders to be withdrawn therefrom and credited to the
remaining Certificateholders by depositing such funds in a separate escrow
account for the benefit of such Certificateholders, and the Master Servicer or
the Company, as applicable (if it exercised its right to purchase the assets of
the Trust Fund), or the Trustee (in any other case) shall give a second written
notice to the remaining Certificateholders to surrender their Certificates for
cancellation and receive the final distribution with respect thereto. If within
six months after the second notice any Certificate shall not have been
surrendered for cancellation, the Trustee shall take appropriate steps as
directed by the Master Servicer or the Company, as applicable, to contact the
remaining Certificateholders concerning surrender of their Certificates. The
costs and expenses of maintaining the escrow account and of contacting
Certificateholders shall be paid out of the assets which remain in the escrow
account. If within nine months after the second notice any Certificates shall
not have been surrendered for cancellation, the Trustee shall pay to the Master
Servicer or the Company, as applicable, all amounts distributable to the holders
thereof and the Master Servicer or the Company, as applicable, shall thereafter
hold such amounts until distributed to such holders. No interest shall accrue or
be payable to any Certificateholder on any amount held in the escrow account or
by the Master Servicer or the Company, as applicable, as a result of such
Certificateholder's failure to surrender its Certificate(s) for final payment
thereof in accordance with this Section 9.01.
Section 9.02. Additional Termination Requirements.
(a) The Trust Fund shall be terminated in accordance with the following
additional requirements, unless (subject to Section 10.01(f)) the Trustee and
the Master Servicer have received an Opinion of Counsel (which Opinion of
Counsel shall not be an expense of the Trustee) to the effect that the failure
of the Trust Fund to comply with the requirements of this Section 9.02 will not
(i) result in the imposition on the Trust of taxes on "prohibited transactions,"
as described in Section 860F of the Code, or (ii) cause the Trust Fund to fail
to qualify as a REMIC at any time that any Certificate is outstanding:
(i) The Master Servicer shall establish a 90-day liquidation period
for the Trust Fund, as the case may be, and specify the first day of such
period in a statement attached to the Trust Fund's final Tax Return
pursuant to Treasury regulations Section 1.860F-1. The Master Servicer also
shall satisfy all of the requirements of a qualified liquidation for the
Trust Fund, as the case may be, under Section 860F of the Code and
regulations thereunder;
(ii) The Master Servicer shall notify the Trustee at the commencement
of such 90-day liquidation period and, at or prior to the time of making of
the final payment on the Certificates, the Trustee shall sell or otherwise
dispose of all of the remaining assets of the Trust Fund in accordance with
the terms hereof; and
(iii) If the Master Servicer or the Company is exercising its right
to purchase the assets of the Trust Fund, the Master Servicer shall,
during the 90-day liquidation period and at or prior to the Final
Distribution Date, purchase all of the assets of the Trust Fund for cash;
provided, however, that in the event that a calendar quarter ends after
the commencement of the 90-day liquidation period but prior to the Final
Distribution Date, the Master Servicer or the Company shall not purchase
any of the assets of the Trust Fund prior to the close of that calendar
quarter.
(b) Each Holder of a Certificate and the Trustee hereby irrevocably
approves and appoints the Master Servicer as its attorney-in-fact to adopt a
plan of complete liquidation for the Trust Fund at the expense of the Trust Fund
in accordance with the terms and conditions of this Agreement.
12
ARTICLE X
REMIC PROVISIONS
Section 10.01. REMIC Administration.
(a) The REMIC Administrator shall make an election to treat the Trust Fund
as a REMIC under the Code and, if necessary, under applicable state law. Such
election will be made on Form 1066 or other appropriate federal tax or
information return (including Form 8811) or any appropriate state return for the
taxable year ending on the last day of the calendar year in which the
Certificates are issued. For the purposes of the REMIC election in respect of
the Trust Fund, each of the Class A (other than the Class A-11 Certificates),
Class M and Class B Certificates and the Uncertificated REMIC Regular Interests
shall be designated as the "regular interests" and the Class R Certificates
shall be designated as the sole class of "residual interests" in the REMIC. The
REMIC Administrator and the Trustee shall not permit the creation of any
"interests" (within the meaning of Section 860G of the Code) in the REMIC other
than the Certificates and the Uncertificated REMIC Regular Interests.
(b) The Closing Date is hereby designated as the "startup day" of the Trust
Fund within the meaning of Section 860G(a)(9) of the Code.
(c) The REMIC Administrator shall hold a Class R Certificate representing a
0.01% Percentage Interest of all Class R Certificates and shall be designated as
"the tax matters person" with respect to the REMIC in the manner provided under
Treasury regulations section 1.860F-4(d) and temporary Treasury regulations
section 301.6231(a)(7)-1T. Residential Funding, as tax matters person, shall (i)
act on behalf of the REMIC in relation to any tax matter or controversy
involving the Trust Fund and (ii) represent the Trust Fund in any administrative
or judicial proceeding relating to an examination or audit by any governmental
taxing authority with respect thereto. The legal expenses, including without
limitation attorneys' or accountants' fees, and costs of any such proceeding and
any liability resulting therefrom shall be expenses of the Trust Fund and the
REMIC Administrator shall be entitled to reimbursement therefor out of amounts
attributable to the Mortgage Loans on deposit in the Custodial Account as
provided by Section 3.10 unless such legal expenses and costs are incurred by
reason of the REMIC Administrator's willful misfeasance, bad faith or gross
negligence. If the REMIC Administrator is no longer the Master Servicer
hereunder, at its option the REMIC Administrator may continue its duties as
REMIC Administrator and shall be paid reasonable compensation not to exceed
$3,000 per year by any successor Master Servicer hereunder for so acting as the
REMIC Administrator.
(d) The REMIC Administrator shall prepare or cause to be prepared all of
the Tax Returns that it determines are required with respect to the REMIC
created hereunder and deliver such Tax Returns in a timely manner to the Trustee
and the Trustee shall sign and file such Tax Returns in a timely manner. The
expenses of preparing such returns shall be borne by the REMIC Administrator
without any right of reimbursement therefor. The REMIC Administrator agrees to
indemnify and hold harmless the Trustee with respect to any tax or liability
arising from the Trustee's signing of Tax Returns that contain errors or
omissions. The Trustee and Master Servicer shall promptly provide the REMIC
Administrator with such information as the REMIC Administrator may from time to
time request for the purpose of enabling the REMIC Administrator to prepare Tax
Returns.
(e) The REMIC Administrator shall provide (i) to any Transferor of a Class
R Certificate such information as is necessary for the application of any tax
relating to the transfer of a Class R Certificate to any Person who is not a
Permitted Transferee, (ii) to the Trustee and the Trustee shall forward to the
Certificateholders such information or reports as are required by the Code or
the REMIC Provisions including reports relating to interest, original issue
discount and market discount or premium (using the Prepayment Assumption) and
(iii) to the Internal Revenue Service the name, title, address and telephone
number of the person who will serve as the representative of each of the REMIC.
(f) The Master Servicer and the REMIC Administrator shall take such actions
and shall cause the REMIC created hereunder to take such actions as are
reasonably within the Master Servicer's or the REMIC Administrator's control and
the scope of its duties more specifically set forth herein as shall be necessary
or desirable to maintain the status thereof as a REMIC under the REMIC
Provisions (and the Trustee shall assist the Master Servicer and the REMIC
Administrator, to the extent reasonably requested by the Master Servicer and the
REMIC Administrator to do so). The Master Servicer and the REMIC Administrator
shall not knowingly or intentionally take any action, cause the Trust Fund to
take any action or fail to take (or fail to cause to be taken) any action
reasonably within their respective control that, under the REMIC Provisions, if
taken or not taken, as the case may be, could (i) endanger the status of the
REMIC as a REMIC or (ii) result in the imposition of a tax upon the REMIC
(including but not limited to the tax on prohibited transactions as defined in
Section 860F(a)(2) of the Code and the tax on contributions to a REMIC set forth
in Section 860G(d) of the Code) (either such event, in the absence of an Opinion
of Counsel or the indemnification referred to in this sentence, an "Adverse
REMIC Event") unless the Master Servicer or the REMIC Administrator, as
applicable, has received an Opinion of Counsel (at the expense of the party
seeking to take such action or, if such party fails to pay such expense, and the
Master Servicer or the REMIC Administrator, as applicable, determines that
taking such action is in the best interest of the Trust Fund and the
Certificateholders, at the expense of the Trust Fund, but in no event at the
expense of the Master Servicer, the REMIC Administrator or the Trustee) to the
effect that the contemplated action will not, with respect to the REMIC created
hereunder, endanger such status or, unless the Master Servicer, the REMIC
Administrator or both, as applicable, determine in its or their sole discretion
to indemnify the Trust Fund against the imposition of such a tax, result in the
imposition of such a tax. Wherever in this Agreement a contemplated action may
not be taken because the timing of such action might result in the imposition of
a tax on the Trust Fund, or may only be taken pursuant to an Opinion of Counsel
that such action would not impose a tax on the Trust Fund, such action may
nonetheless be taken provided that the indemnity given in the preceding sentence
with respect to any taxes that might be imposed on the Trust Fund has been given
and that all other preconditions to the taking of such action have been
satisfied. The Trustee shall not take or fail to take any action (whether or not
authorized hereunder) as to which the Master Servicer or the REMIC
Administrator, as applicable, has advised it in writing that it has received an
Opinion of Counsel to the effect that an Adverse REMIC Event could occur with
respect to such action. In addition, prior to taking any action with respect to
the REMIC or its assets, or causing the REMIC to take any action, which is not
expressly permitted under the terms of this Agreement, the Trustee will consult
with the Master Servicer or the REMIC Administrator, as applicable, or its
designee, in writing, with respect to whether such action could cause an Adverse
REMIC Event to occur with respect to the REMIC, and the Trustee shall not take
any such action or cause the REMIC to take any such action as to which the
Master Servicer or the REMIC Administrator, as applicable, has advised it in
writing that an Adverse REMIC Event could occur. The Master Servicer or the
REMIC Administrator, as applicable, may consult with counsel to make such
written advice, and the cost of same shall be borne by the party seeking to take
the action not expressly permitted by this Agreement, but in no event at the
expense of the Master Servicer or the REMIC Administrator. At all times as may
be required by the Code, the Master Servicer will to the extent within its
control and the scope of its duties more specifically set forth herein, maintain
substantially all of the assets of the REMIC as "qualified mortgages" as defined
in Section 860G(a)(3) of the Code and "permitted investments" as defined in
Section 860G(a)(5) of the Code.
(g) In the event that any tax is imposed on "prohibited transactions" of
the REMIC created hereunder as defined in Section 860F(a)(2) of the Code, on
"net income from foreclosure property" of the REMIC as defined in Section
860G(c) of the Code, on any contributions to the REMIC after the Startup Day
therefor pursuant to Section 860G(d) of the Code, or any other tax is imposed by
the Code or any applicable provisions of state or local tax laws, such tax shall
be charged (i) to the Master Servicer, if such tax arises out of or results from
a breach by the Master Servicer of any of its obligations under this Agreement
or the Master Servicer has in its sole discretion determined to indemnify the
Trust Fund against such tax, (ii) to the Trustee, if such tax arises out of or
results from a breach by the Trustee of any of its obligations under this
Article X, or (iii) otherwise against amounts on deposit in the Custodial
Account as provided by Section 3.10 and on the Distribution Date(s) following
such reimbursement the aggregate of such taxes shall be allocated in reduction
of the Accrued Certificate Interest on each Class entitled thereto in the same
manner as if such taxes constituted a Prepayment Interest Shortfall.
(h) The Trustee and the Master Servicer shall, for federal income tax
purposes, maintain books and records with respect to the REMIC on a calendar
year and on an accrual basis or as otherwise may be required by the REMIC
Provisions.
(i) Following the Startup Day, neither the Master Servicer nor the Trustee
shall accept any contributions of assets to the REMIC unless (subject to Section
10.01(f)) the Master Servicer and the Trustee shall have received an Opinion of
Counsel (at the expense of the party seeking to make such contribution) to the
effect that the inclusion of such assets in the REMIC will not cause the REMIC
to fail to qualify as a REMIC at any time that any Certificates are outstanding
or subject the REMIC to any tax under the REMIC Provisions or other applicable
provisions of federal, state and local law or ordinances.
(j) Neither the Master Servicer nor the Trustee shall (subject to Section
10.01(f)) enter into any arrangement by which the REMIC will receive a fee or
other compensation for services nor permit the REMIC to receive any income from
assets other than "qualified mortgages" as defined in Section 860G(a)(3) of the
Code or "permitted investments" as defined in Section 860G(a)(5) of the Code.
(k) Solely for the purposes of Section 1.860G-1(a)(4)(iii) of the Treasury
Regulations, the "latest possible maturity date" by which the Certificate
Principal Balance of each Class of Certificates (other than the Class A-11
Certificates) representing a regular interest in the REMIC would be reduced to
zero is August 25, 2028, which is the Distribution Date immediately following
the latest scheduled maturity of any Mortgage Loan. The latest possible Maturity
Date for each Uncertificated REMIC Regular Interest is August 25, 2028, which is
the Distribution Date immediately following the latest scheduled maturity date
of any Mortgage Loan.
(l) Within 30 days after the Closing Date, the REMIC Administrator shall
prepare and file with the Internal Revenue Service Form 8811, "Information
Return for Real Estate Mortgage Investment Conduits (REMIC) and Issuers of
Collateralized Debt Obligations" for the REMIC.
(m) Neither the Trustee nor the Master Servicer shall sell, dispose of or
substitute for any of the Mortgage Loans (except in connection with (i) the
default, imminent default or foreclosure of a Mortgage Loan, including but not
limited to, the acquisition or sale of a Mortgaged Property acquired by deed in
lieu of foreclosure, (ii) the bankruptcy of the REMIC, (iii) the termination of
the REMIC pursuant to Article IX of this Agreement or (iv) a purchase of
Mortgage Loans pursuant to Article II or III of this Agreement) nor acquire any
assets for the REMIC, nor sell or dispose of any investments in the Custodial
Account or the Certificate Account for gain nor accept any contributions to the
REMIC after the Closing Date unless it has received an Opinion of Counsel that
such sale, disposition, substitution or acquisition will not (a) affect
adversely the status of the REMIC as a REMIC or (b) unless the Master Servicer
has determined in its sole discretion to indemnify the Trust Fund against such
tax, cause the REMIC to be subject to a tax on "prohibited transactions" or
"contributions" pursuant to the REMIC Provisions.
Section 10.02. Master Servicer, REMIC Administrator and Trustee
Indemnification.
(a) The Trustee agrees to indemnify the Trust Fund, the Company, the REMIC
Administrator and the Master Servicer for any taxes and costs including, without
limitation, any reasonable attorneys fees imposed on or incurred by the Trust
Fund, the Company or the Master Servicer, as a result of a breach of the
Trustee's covenants set forth in Article VIII or this Article X.
(b) The REMIC Administrator agrees to indemnify the Trust Fund, the
Company, the Master Servicer and the Trustee for any taxes and costs (including,
without limitation, any reasonable attorneys' fees) imposed on or incurred by
the Trust Fund, the Company, the Master Servicer or the Trustee, as a result of
a breach of the REMIC Administrator's covenants set forth in this Article X and
with respect to compliance with the REMIC Provisions, including without
limitation, any penalties arising from the Trustee's execution of Tax Returns
prepared by the REMIC Administrator that contain errors or omissions; provided,
however, that such liability will not be imposed to the extent such breach is a
result of an error or omission in information provided to the REMIC
Administrator by the Master Servicer in which case Section 10.02(c) will apply.
(c) The Master Servicer agrees to indemnify the Trust Fund, the Company,
the REMIC Administrator and the Trustee for any taxes and costs (including,
without limitation, any reasonable attorneys' fees) imposed on or incurred by
the Trust Fund, the Company, the REMIC Administrator or the Trustee, as a result
of a breach of the Master Servicer's covenants set forth in this Article X or in
Article III with respect to compliance with the REMIC Provisions, including
without limitation, any penalties arising from the Trustee's execution of Tax
Returns prepared by the Master Servicer that contain errors or omissions.
13
ARTICLE XI
MISCELLANEOUS PROVISIONS
Section 11.01. Amendment.
(a) This Agreement or any Custodial Agreement may be amended from time to
time by the Company, the Master Servicer and the Trustee, without the consent of
any of the Certificateholders:
(i) to cure any ambiguity,
(ii) to correct or supplement any provisions herein or therein, which
may be inconsistent with any other provisions herein or therein or to
correct any error,
(iii) to modify, eliminate or add to any of its provisions to such
extent as shall be necessary or desirable to maintain the qualification of
the Trust Fund as a REMIC at all times that any Certificate is outstanding
or to avoid or minimize the risk of the imposition of any tax on the Trust
Fund pursuant to the Code that would be a claim against the Trust Fund,
provided that the Trustee has received an Opinion of Counsel to the effect
that (A) such action is necessary or desirable to maintain such
qualification or to avoid or minimize the risk of the imposition of any
such tax and (B) such action will not adversely affect in any material
respect the interests of any Certificateholder,
(iv) to change the timing and/or nature of deposits into the
Custodial Account or the Certificate Account or to change the name in
which the Custodial Account is maintained, provided that (A) the
Certificate Account Deposit Date shall in no event be later than the
related Distribution Date, (B) such change shall not, as evidenced by an
Opinion of Counsel, adversely affect in any material respect the interests
of any Certificateholder and (C) such change shall not result in a
reduction of the rating assigned to any Class of Certificates below the
lower of the then-current rating or the rating assigned to such
Certificates as of the Closing Date, as evidenced by a letter from each
Rating Agency to such effect,
(v) to modify, eliminate or add to the provisions of Section 5.02(f)
or any other provision hereof restricting transfer of the Class R
Certificates, by virtue of their being the "residual interests" in the
REMIC, respectively, provided that (A) such change shall not result in
reduction of the rating assigned to any such Class of Certificates below
the lower of the then-current rating or the rating assigned to such
Certificates as of the Closing Date, as evidenced by a letter from each
Rating Agency to such effect, and (B) such change shall not (subject to
Section 10.01(f)), as evidenced by an Opinion of Counsel (at the expense
of the party seeking so to modify, eliminate or add such provisions),
cause the Trust Fund or any of the Certificateholders (other than the
transferor) to be subject to a federal tax caused by a transfer to a
Person that is not a Permitted Transferee, or
(vi) to make any other provisions with respect to matters or questions
arising under this Agreement or such Custodial Agreement which shall not be
materially inconsistent with the provisions of this Agreement, provided
that such action shall not, as evidenced by an Opinion of Counsel,
adversely affect in any material respect the interests of any
Certificateholder.
(b) This Agreement or any Custodial Agreement may also be amended from time
to time by the Company, the Master Servicer and the Trustee with the consent of
the Holders of Certificates evidencing in the aggregate not less than 66% of the
Percentage Interests of each Class of Certificates affected thereby for the
purpose of adding any provisions to or changing in any manner or eliminating any
of the provisions of this Agreement or such Custodial Agreement or of modifying
in any manner the rights of the Holders of Certificates of such Class; provided,
however, that no such amendment shall:
(i) reduce in any manner the amount of, or delay the timing of,
payments which are required to be distributed on any Certificate without
the consent of the Holder of such Certificate,
(ii) reduce the aforesaid percentage of Certificates of any Class the
Holders of which are required to consent to any such amendment, in any such
case without the consent of the Holders of all Certificates of such Class
then outstanding.
(c) Notwithstanding any contrary provision of this Agreement, the Trustee
shall not consent to any amendment to this Agreement unless it shall have first
received an Opinion of Counsel (subject to Section 10.01(f) and at the expense
of the party seeking such amendment) to the effect that such amendment or the
exercise of any power granted to the Master Servicer, the Company or the Trustee
in accordance with such amendment will not result in the imposition of a federal
tax on the Trust Fund or cause the Trust Fund to fail to qualify as a REMIC at
any time that any Certificate is outstanding.
(d) Promptly after the execution of any such amendment the Trustee shall
furnish written notification of the substance of such amendment to each
Certificateholder. It shall not be necessary for the consent of
Certificateholders under this Section 11.01 to approve the particular form of
any proposed amendment, but it shall be sufficient if such consent shall approve
the substance thereof. The manner of obtaining such consents and of evidencing
the authorization of the execution thereof by Certificateholders shall be
subject to such reasonable regulations as the Trustee may prescribe.
(e) The Company shall have the option, in its sole discretion, to obtain
and deliver to the Trustee any corporate guaranty, payment obligation,
irrevocable letter of credit, surety bond, insurance policy or similar
instrument or a reserve fund, or any combination of the foregoing, for the
purpose of protecting the Holders of the Class B Certificates against any or all
Realized Losses or other shortfalls. Any such instrument or fund shall be held
by the Trustee for the benefit of the Class B Certificateholders, but shall not
be and shall not be deemed to be under any circumstances included in the Trust
Fund. To the extent that any such instrument or fund constitutes a reserve fund
for federal income tax purposes, (i) any reserve fund so established shall be an
outside reserve fund and not an asset of the Trust Fund, (ii) any such reserve
fund shall be owned by the Company, and (iii) amounts transferred by the Trust
Fund to any such reserve fund shall be treated as amounts distributed by the
Trust Fund to the Company or any successor, all within the meaning of Treasury
Regulations Section 1.860G-2(h) as it reads as of the Cut-off Date. In
connection with the provision of any such instrument or fund, this Agreement and
any provision hereof may be modified, added to, deleted or otherwise amended in
any manner that is related or incidental to such instrument or fund or the
establishment or administration thereof, such amendment to be made by written
instrument executed or consented to by the Company but without the consent of
any Certificateholder and without the consent of the Master Servicer or the
Trustee being required unless any such amendment would impose any additional
obligation on, or otherwise adversely affect the interests of the Class A
Certificateholders, the Class R Certificateholders, the Class M
Certificateholders, the Master Servicer or the Trustee, as applicable; provided
that the Company obtains (subject to Section 10.01(f)) an Opinion of Counsel
(which need not be an opinion of Independent counsel) to the effect that any
such amendment will not cause (a) any federal tax to be imposed on the Trust
Fund, including without limitation, any federal tax imposed on "prohibited
transactions" under Section 860F(a)(1) of the Code or on "contributions after
the startup date" under Section 860G(d)(1) of the Code and (b) the Trust Fund to
fail to qualify as a REMIC at any time that any Certificate is outstanding. In
the event that the Company elects to provide such coverage in the form of a
limited guaranty provided by General Motors Acceptance Corporation, the Company
may elect that the text of such amendment to this Agreement shall be
substantially in the form attached hereto as Exhibit M (in which case
Residential Funding's Subordinate Certificate Loss Obligation as described in
such exhibit shall be established by Residential Funding's consent to such
amendment) and that the limited guaranty shall be executed in the form attached
hereto as Exhibit N, with such changes as the Company shall deem to be
appropriate; it being understood that the Trustee has reviewed and approved the
content of such forms and that the Trustee's consent or approval to the use
thereof is not required.
Section 11.02. Recordation of Agreement; Counterparts.
(a) To the extent permitted by applicable law, this Agreement is subject to
recordation in all appropriate public offices for real property records in all
the counties or other comparable jurisdictions in which any or all of the
properties subject to the Mortgages are situated, and in any other appropriate
public recording office or elsewhere, such recordation to be effected by the
Master Servicer and at its expense on direction by the Trustee (pursuant to the
request of Holders of Certificates entitled to at least 25% of the Voting
Rights), but only upon direction accompanied by an Opinion of Counsel to the
effect that such recordation materially and beneficially affects the interests
of the Certificateholders.
(b) For the purpose of facilitating the recordation of this Agreement as
herein provided and for other purposes, this Agreement may be executed
simultaneously in any number of counterparts, each of which counterparts shall
be deemed to be an original, and such counterparts shall constitute but one and
the same instrument.
Section 11.03. Limitation on Rights of Certificateholders.
(a) The death or incapacity of any Certificateholder shall not operate to
terminate this Agreement or the Trust Fund, nor entitle such Certificateholder's
legal representatives or heirs to claim an accounting or to take any action or
proceeding in any court for a partition or winding up of the Trust Fund, nor
otherwise affect the rights, obligations and liabilities of any of the parties
hereto.
(b) No Certificateholder shall have any right to vote (except as expressly
provided herein) or in any manner otherwise control the operation and management
of the Trust Fund, or the obligations of the parties hereto, nor shall anything
herein set forth, or contained in the terms of the Certificates, be construed so
as to constitute the Certificateholders from time to time as partners or members
of an association; nor shall any Certificateholder be under any liability to any
third person by reason of any action taken by the parties to this Agreement
pursuant to any provision hereof.
(c) No Certificateholder shall have any right by virtue of any provision of
this Agreement to institute any suit, action or proceeding in equity or at law
upon or under or with respect to this Agreement, unless such Holder previously
shall have given to the Trustee a written notice of default and of the
continuance thereof, as hereinbefore provided, and unless also the Holders of
Certificates of any Class evidencing in the aggregate not less than 25% of the
related Percentage Interests of such Class, shall have made written request upon
the Trustee to institute such action, suit or proceeding in its own name as
Trustee hereunder and shall have offered to the Trustee such reasonable
indemnity as it may require against the costs, expenses and liabilities to be
incurred therein or thereby, and the Trustee, for 60 days after its receipt of
such notice, request and offer of indemnity, shall have neglected or refused to
institute any such action, suit or proceeding it being understood and intended,
and being expressly covenanted by each Certificateholder with every other
Certificateholder and the Trustee, that no one or more Holders of Certificates
of any Class shall have any right in any manner whatever by virtue of any
provision of this Agreement to affect, disturb or prejudice the rights of the
Holders of any other of such Certificates of such Class or any other Class, or
to obtain or seek to obtain priority over or preference to any other such
Holder, or to enforce any right under this Agreement, except in the manner
herein provided and for the common benefit of Certificateholders of such Class
or all Classes, as the case may be. For the protection and enforcement of the
provisions of this Section 11.03, each and every Certificateholder and the
Trustee shall be entitled to such relief as can be given either at law or in
equity.
Section 11.04. Governing Law.
This agreement and the Certificates shall be governed by and construed in
accordance with the laws of the State of New York and the obligations, rights
and remedies of the parties hereunder shall be determined in accordance with
such laws.
Section 11.05. Notices.
All demands and notices hereunder shall be in writing and shall be deemed
to have been duly given if personally delivered at or mailed by registered mail,
postage prepaid (except for notices to the Trustee which shall be deemed to have
been duly given only when received), to (a) in the case of the Company, 0000
Xxxxxxxxxx Xxxx Xxxxxxxxx, Xxxxx 000, Xxxxxxxxxxx, Xxxxxxxxx 00000, Attention:
President, or such other address as may hereafter be furnished to the Master
Servicer and the Trustee in writing by the Company, (b) in the case of the
Master Servicer, 00 Xxxxxxxxx Xxxx Xxxxx, Xxxxx 0000, Xxxxxxxxx Xxxx, Xxxxxxxxxx
00000, Attention: Xx. Xxxxxx or such other address as may be hereafter furnished
to the Company and the Trustee by the Master Servicer in writing, (c) in the
case of the Trustee, Corporate Trust Services Division, 0 Xxxx Xxxxx, Xxxxxx,
Xxxxxxxxxx 00000, Attention: Residential Accredit Loans, Inc. Series 1998-QS11
or such other address as may hereafter be furnished to the Company and the
Master Servicer in writing by the Trustee, (d) in the case of Fitch IBCA, Xxx
Xxxxx Xxxxxx Xxxxx, Xxx Xxxx, Xxx Xxxx 00000, or such other address as may
hereafter be furnished to the Company, the Trustee and the Master Servicer in
writing by Fitch IBCA and (e) in the case of Standard & Poor's, 00 Xxxxxxxx, Xxx
Xxxx, Xxx Xxxx 00000 or such other address as may be hereafter furnished to the
Company, Trustee and Master Servicer by Standard & Poor's. Any notice required
or permitted to be mailed to a Certificateholder shall be given by first class
mail, postage prepaid, at the address of such holder as shown in the Certificate
Register. Any notice so mailed within the time prescribed in this Agreement
shall be conclusively presumed to have been duly given, whether or not the
Certificateholder receives such notice.
Section 11.06. Notices to Rating Agency.
The Company, the Master Servicer or the Trustee, as applicable, shall
notify each Rating Agency and the Subservicer at such time as it is otherwise
required pursuant to this Agreement to give notice of the occurrence of, any of
the events described in clause (a), (b), (c), (d), (g), (h), (i) or (j) below or
provide a copy to each Rating Agency at such time as otherwise required to be
delivered pursuant to this Agreement of any of the statements described in
clauses (e) and (f) below:
(a) a material change or amendment to this Agreement,
(b) the occurrence of an Event of Default,
(c) the termination or appointment of a successor Master Servicer or
Trustee or a change in the majority ownership of the Trustee,
(d) the filing of any claim under the Master Servicer's blanket fidelity
bond and the errors and omissions insurance policy required by Section 3.12 or
the cancellation or modification of coverage under any such instrument,
(e) the statement required to be delivered to the Holders of each Class of
Certificates pursuant to Section 4.03,
(f) the statements required to be delivered pursuant to Sections 3.18 and
3.19,
(g) a change in the location of the Custodial Account or the Certificate
Account,
(h) the occurrence of any monthly cash flow shortfall to the Holders of any
Class of Certificates resulting from the failure by the Master Servicer to make
an Advance pursuant to Section 4.04,
(i) the occurrence of the Final Distribution Date, and
(j) the repurchase of or substitution for any Mortgage Loan;
provided, however, that with respect to notice of the occurrence of the events
described in clauses (d), (g) or (h) above, the Master Servicer shall provide
prompt written notice to each Rating Agency and the Subservicer of any such
event known to the Master Servicer.
Section 11.07. Severability of Provisions.
If any one or more of the covenants, agreements, provisions or terms of
this Agreement shall be for any reason whatsoever held invalid, then such
covenants, agreements, provisions or terms shall be deemed severable from the
remaining covenants, agreements, provisions or terms of this Agreement and shall
in no way affect the validity or enforceability of the other provisions of this
Agreement or of the Certificates or the rights of the Holders thereof.
Section 11.08. Supplemental Provisions for Resecuritization.
This Agreement may be supplemented by means of the addition of a separate
Article hereto (a "Supplemental Article") for the purpose of resecuritizing any
of the Certificates issued hereunder, under the following circumstances. With
respect to any Class or Classes of Certificates issued hereunder, or any portion
of any such Class, as to which the Company or any of its Affiliates (or any
designee thereof) is the registered Holder (the "Resecuritized Certificates"),
the Company may deposit such Resecuritized Certificates into a new REMIC,
grantor trust, FASIT or custodial arrangement (a "Restructuring Vehicle") to be
held by the Trustee pursuant to a Supplemental Article. The instrument adopting
such Supplemental Article shall be executed by the Company, the Master Servicer
and the Trustee; provided, that neither the Master Servicer nor the Trustee
shall withhold their consent thereto if their respective interests would not be
materially adversely affected thereby. To the extent that the terms of the
Supplemental Article do not in any way affect any provisions of this Agreement
as to any of the Certificates initially issued hereunder, the adoption of the
Supplemental Article shall not constitute an "amendment" of this Agreement.
Each Supplemental Article shall set forth all necessary provisions
relating to the holding of the Resecuritized Certificates by the Trustee, the
establishment of the Restructuring Vehicle, the issuing of various classes of
new certificates by the Restructuring Vehicle and the distributions to be made
thereon, and any other provisions necessary for the purposes thereof. In
connection with each Supplemental Article, the Company shall deliver to the
Trustee an Opinion of Counsel to the effect that (i) the Restructuring Vehicle
will qualify as a REMIC, grantor trust, FASIT or other entity not subject to
taxation for federal income tax purposes and (ii) the adoption of the
Supplemental Article will not endanger the status of the Trust Fund as a REMIC
or (subject to Section 10.01(f)) result in the imposition of a tax upon the
Trust Fund (including but not limited to the tax on prohibited transactions as
defined in Section 860F(a)(2) of the Code and the tax on contributions to a
REMIC as set forth in Section 860G(d) of the Code).
14
IN WITNESS WHEREOF, the Company, the Master Servicer and the Trustee have
caused their names to be signed hereto by their respective officers thereunto
duly authorized and their respective seals, duly attested, to be hereunto
affixed, all as of the day and year first above written.
RESIDENTIAL ACCREDIT LOANS, INC.
[Seal]
By:
Name:
Title:
Attest:
Name:
Title:
RESIDENTIAL FUNDING CORPORATION
[Seal]
By:
Name:
Title:
Attest:
Name:
Title:
BANKERS TRUST COMPANY,
as Trustee
[Seal]
By:
Name:
Title:
Attest:
Name:
Title:
STATE OF MINNESOTA )
) ss.:
COUNTY OF HENNEPIN )
On the 31st day of August, 1998 before me, a notary public in and for said
State, personally appeared , known to me to be a Vice President of Residential
Accredit Loans, Inc., one of the corporations that executed the within
instrument, and also known to me to be the person who executed it on behalf of
said corporation, and acknowledged to me that such corporation executed the
within instrument.
IN WITNESS WHEREOF, I have hereunto set my hand and affixed my
official seal the day and year in this certificate first above written.
Notary Public
[Notarial Seal]
STATE OF MINNESOTA )
) ss.:
COUNTY OF HENNEPIN )
On the 31st day of August, 1998 before me, a notary public in and for said
State, personally appeared _______________, known to me to be a Director of
Residential Funding Corporation, one of the corporations that executed the
within instrument, and also known to me to be the person who executed it on
behalf of said corporation, and acknowledged to me that such corporation
executed the within instrument.
IN WITNESS WHEREOF, I have hereunto set my hand and affixed my
official seal the day and year in this certificate first above written.
Notary Public
[Notarial Seal]
STATE OF CALIFORNIA )
) ss.:
COUNTY OF ORANGE )
On the 31st August, 1998 before me, a notary public in and for said State,
personally appeared , known to me to be a ___________ of Bankers Trust Company,
the New York banking corporation that executed the within instrument, and also
known to me to be the person who executed it on behalf of said banking
corporation and acknowledged to me that such banking corporation executed the
within instrument.
IN WITNESS WHEREOF, I have hereunto set my hand and affixed my
official seal the day and year in this certificate first above written.
Notary Public
[Notarial Seal]
EXHIBIT A
FORM OF CLASS A CERTIFICATE
SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A
"REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT," AS THOSE
TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL
REVENUE CODE OF 1986.
[THE FOLLOWING INFORMATION IS PROVIDED SOLELY FOR THE PURPOSES OF
APPLYING THE U.S. FEDERAL INCOME TAX ORIGINAL ISSUE DISCOUNT ("OID") RULES TO
THIS CERTIFICATE. THE ISSUE DATE OF THIS CERTIFICATE IS AUGUST 31ST, 1998.
ASSUMING THAT THE MORTGAGE LOANS PREPAY AT 100% OF THE PREPAYMENT ASSUMPTION (AS
DESCRIBED IN THE PROSPECTUS SUPPLEMENT), [AND ASSUMING A CONSTANT PASS-THROUGH
RATE EQUAL TO THE INITIAL PASS-THROUGH RATE,] THIS CERTIFICATE HAS BEEN ISSUED
WITH NO MORE THAN $ OF OID PER [$1,000] [$100,000] OF [INITIAL CERTIFICATE
PRINCIPAL BALANCE] [NOTIONAL AMOUNT], THE YIELD TO MATURITY IS % AND THE AMOUNT
OF OID ATTRIBUTABLE TO THE INITIAL ACCRUAL PERIOD IS NO MORE THAN $ PER [$1,000]
[$100,000] OF [INITIAL CERTIFICATE PRINCIPAL BALANCE] [NOTIONAL AMOUNT],
COMPUTED USING THE APPROXIMATE METHOD. NO REPRESENTATION IS MADE THAT THE
MORTGAGE LOANS WILL PREPAY AT A RATE BASED ON THE STANDARD PREPAYMENT ASSUMPTION
OR AT ANY OTHER RATE OR AS TO THE CONSTANCY OF THE PASS-THROUGH RATE.]
Certificate No.
6863-343 A-2
[ %][Variable] Pass-Through Rate [based on a Notional Amount]
Class A- Senior [Percentage Interest: %]
Date of Pooling and Servicing
Agreement and Cut-off Date:
August 1, 1998
Aggregate Initial [Certificate
Principal Balance] [Class A-11 Notional Amount] [Subclass Notional Amount] of
the Class A- Certificates:
First Distribution Date:
September 25, 1998
Master Servicer: [Initial] [Certificate Principal
Residential Funding Balance] [[Class A-11] [Subclass]
Corporation Notional Amount] of this
Certificate: $ ]
Assumed Final CUSIP 76110F-
Distribution Date:
[August 25, 2028]
MORTGAGE ASSET-BACKED PASS-THROUGH CERTIFICATE
SERIES 1998-QS11
evidencing a percentage interest in the distributions allocable to the
Class A- Certificates with respect to a Trust Fund consisting primarily of a
pool of conventional one- to four-family fixed interest rate first mortgage
loans formed and sold by RESIDENTIAL ACCREDIT LOANS, INC.
This Certificate is payable solely from the assets of the Trust Fund, and
does not represent an obligation of or interest in Residential Accredit Loans,
Inc., the Master Servicer, the Trustee referred to below or GMAC Mortgage Group,
Inc. or any of their affiliates. Neither this Certificate nor the underlying
Mortgage Loans are guaranteed or insured by any governmental agency or
instrumentality or by Residential Accredit Loans, Inc., the Master Servicer, the
Trustee or GMAC Mortgage Group, Inc. or any of their affiliates. None of the
Company, the Master Servicer, GMAC Mortgage Group, Inc. or any of their
affiliates will have any obligation with respect to any certificate or other
obligation secured by or payable from payments on the Certificates.
This certifies that is the registered owner of the Percentage
Interest evidenced by this Certificate [(obtained by dividing the [Initial
Certificate Principal Balance] [Initial Class A-11 Notional Amount] of this
Certificate by the aggregate [Initial Certificate Principal Balance of all Class
A- Certificates] [Initial Class A-11 Notional Amounts of all Class A-11
Certificates], both as specified above)] in certain distributions with respect
to the Trust Fund consisting primarily of an interest in a pool of conventional
one- to four-family fixed interest rate first mortgage loans (the "Mortgage
Loans"), formed and sold by Residential Accredit Loans, Inc. (hereinafter called
the "Company," which term includes any successor entity under the Agreement
referred to below). The Trust Fund was created pursuant to a Pooling and
Servicing Agreement dated as specified above (the "Agreement") among the
Company, the Master Servicer and Bankers Trust Company, as trustee (the
"Trustee"), a summary of certain of the pertinent provisions of which is set
forth hereafter. To the extent not defined herein, the capitalized terms used
herein have the meanings assigned in the Agreement. This Certificate is issued
under and is subject to the terms, provisions and conditions of the Agreement,
to which Agreement the Holder of this Certificate by virtue of the acceptance
hereof assents and by which such Holder is bound.
Pursuant to the terms of the Agreement, a distribution will be made
on the 25th day of each month or, if such 25th day is not a Business Day, the
Business Day immediately following (the "Distribution Date"), commencing as
described in the Agreement, to the Person in whose name this Certificate is
registered at the close of business on the last day (or if such last day is not
a Business Day, the Business Day immediately preceding such last day) of the
month immediately preceding the month of such distribution (the "Record Date"),
from the Available Distribution Amount in an amount equal to the product of the
Percentage Interest evidenced by this Certificate and the amount [(of interest
and principal, if any)] required to be distributed to Holders of Class A-
Certificates on such Distribution Date. [The Class A-11 Notional Amount of the
Class A-11 Certificates as of any date of determination is equal to the
aggregate Stated Principal Balance of the Mortgage Loans corresponding to the
Uncertificated REMIC Regular Interests represented by such Class A-11
Certificates.] [The Subclass Notional Amount of the Class A-11- Certificates as
of any date of determination is equal to the aggregate Stated Principal Balance
of the Mortgage Loans corresponding to the Uncertificated REMIC Regular
Interests represented by such Class A-11- Certificates immediately prior to such
date.] [The Class A-11[- ] Certificates have no Certificate Principal Balance.]
Distributions on this Certificate will be made either by the Master
Servicer acting on behalf of the Trustee or by a Paying Agent appointed by the
Trustee in immediately available funds (by wire transfer or otherwise) for the
account of the Person entitled thereto if such Person shall have so notified the
Master Servicer or such Paying Agent, or by check mailed to the address of the
Person entitled thereto, as such name and address shall appear on the
Certificate Register.
Notwithstanding the above, the final distribution on this
Certificate will be made after due notice of the pendency of such distribution
and only upon presentation and surrender of this Certificate at the office or
agency appointed by the Trustee for that purpose in the City and State of New
York. The [Initial Certificate Principal Balance] [Initial Class A-11 Notional
Amount] [initial Subclass Notional Amount] of this Certificate is set forth
above.] [The Certificate Principal Balance hereof will be reduced to the extent
of distributions allocable to principal and any Realized Losses allocable
hereto.]
This Certificate is one of a duly authorized issue of Certificates
issued in several Classes designated as Mortgage Asset-Backed Pass-Through
Certificates of the Series specified hereon (herein collectively called the
"Certificates").
The Certificates are limited in right of payment to certain collections and
recoveries respecting the Mortgage Loans, all as more specifically set forth
herein and in the Agreement. In the event Master Servicer funds are advanced
with respect to any Mortgage Loan, such advance is reimbursable to the Master
Servicer, to the extent provided in the Agreement, from related recoveries on
such Mortgage Loan or from other cash that would have been distributable to
Certificateholders.
As provided in the Agreement, withdrawals from the Custodial Account
and/or the Certificate Account created for the benefit of Certificateholders may
be made by the Master Servicer from time to time for purposes other than
distributions to Certificateholders, such purposes including without limitation
reimbursement to the Company and the Master Servicer of advances made, or
certain expenses incurred, by either of them.
The Agreement permits, with certain exceptions therein provided, the
amendment of the Agreement and the modification of the rights and obligations of
the Company, the Master Servicer and the Trustee and the rights of the
Certificateholders under the Agreement at any time by the Company, the Master
Servicer and the Trustee with the consent of the Holders of Certificates
evidencing in the aggregate not less than 66% of the Percentage Interests of
each Class of Certificates affected thereby. Any such consent by the Holder of
this Certificate shall be conclusive and binding on such Holder and upon all
future holders of this Certificate and of any Certificate issued upon the
transfer hereof or in exchange herefor or in lieu hereof whether or not notation
of such consent is made upon the Certificate. The Agreement also permits the
amendment thereof in certain circumstances without the consent of the Holders of
any of the Certificates and, in certain additional circumstances, without the
consent of the Holders of certain Classes of Certificates.
As provided in the Agreement and subject to certain limitations
therein set forth, the transfer of this Certificate is registrable in the
Certificate Register upon surrender of this Certificate for registration of
transfer at the offices or agencies appointed by the Trustee in the City and
State of New York, duly endorsed by, or accompanied by an assignment in the form
below or other written instrument of transfer in form satisfactory to the
Trustee and the Certificate Registrar duly executed by the Holder hereof or such
Holder's attorney duly authorized in writing, and thereupon one or more new
Certificates of authorized denominations evidencing the same Class and aggregate
Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without
coupons in Classes and in denominations specified in the Agreement. As provided
in the Agreement and subject to certain limitations therein set forth,
Certificates are exchangeable for new Certificates of authorized denominations
evidencing the same Class and aggregate Percentage Interest, as requested by the
Holder surrendering the same.
No service charge will be made for any such registration of transfer
or exchange, but the Trustee may require payment of a sum sufficient to cover
any tax or other governmental charge payable in connection therewith.
The Company, the Master Servicer, the Trustee and the Certificate
Registrar and any agent of the Company, the Master Servicer, the Trustee or the
Certificate Registrar may treat the Person in whose name this Certificate is
registered as the owner hereof for all purposes, and neither the Company, the
Master Servicer, the Trustee nor any such agent shall be affected by notice to
the contrary.
This Certificate shall be governed by and construed in accordance
with the laws of the State of New York.
The obligations created by the Agreement in respect of the
Certificates and the Trust Fund created thereby shall terminate upon the payment
to Certificateholders of all amounts held by or on behalf of the Trustee and
required to be paid to them pursuant to the Agreement following the earlier of
(i) the maturity or other liquidation of the last Mortgage Loan subject thereto
or the disposition of all property acquired upon foreclosure or deed in lieu of
foreclosure of any Mortgage Loan and (ii) the purchase by the Master Servicer or
the Company from the Trust Fund of all remaining Mortgage Loans and all property
acquired in respect of such Mortgage Loans, thereby effecting early retirement
of the Certificates. The Agreement permits, but does not require, the Master
Servicer or the Company to (i) purchase at a price determined as provided in the
Agreement all remaining Mortgage Loans and all property acquired in respect of
any Mortgage Loan or (ii) purchase in whole, but not in part, all of the
Certificates from the Holders thereof; provided, that any such option may only
be exercised if the Pool Stated Principal Balance of the Mortgage Loans as of
the Distribution Date upon which the proceeds of any such purchase are
distributed is less than ten percent of the Cut-off Date Principal Balance of
the Mortgage Loans.
Reference is hereby made to the further provisions of this
Certificate set forth on the reverse hereof, which further provisions shall for
all purposes have the same effect as if set forth at this place.
Unless the certificate of authentication hereon has been executed by
the Certificate Registrar, by manual signature, this Certificate shall not be
entitled to any benefit under the Agreement or be valid for any purpose.
A-3
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be
duly executed.
Dated: BANKERS TRUST COMPANY,
as Trustee
By:
Authorized Signatory
CERTIFICATE OF AUTHENTICATION
This is one of the Class A- Certificates referred to in the
within-mentioned Agreement.
BANKERS TRUST COMPANY,
as Certificate Registrar
By:
Authorized Signatory
A-4
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and
transfer(s) unto (Please print or typewrite name and address including postal
zip code of assignee) a Percentage Interest evidenced by the within Mortgage
Asset-Backed Pass-Through Certificate and hereby authorizes the transfer of
registration of such interest to assignee on the Certificate Register of the
Trust Fund.
I (We) further direct the Certificate Registrar to issue a new
Certificate of a like denomination and Class, to the above named assignee and
deliver such Certificate to the following address:
Dated:
Signature by or on behalf of assignor
Signature Guaranteed
DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of
distribution:
Distributions shall be made, by wire transfer or otherwise, in immediately
available funds to ____________ for the account of ___________,account number
_________ , or, if mailed by check, to Applicable statements should be mailed to
______________ .
This information is provided by _________ , the assignee named above, or
__________ , as its agent.
EXHIBIT B
FORM OF CLASS M CERTIFICATE
THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF PAYMENT TO THE CLASS A
CERTIFICATES AND CLASS R CERTIFICATES [CLASS M-1 CERTIFICATES] [AND CLASS M-2
CERTIFICATES] AS DESCRIBED IN THE AGREEMENT (AS DEFINED BELOW).
SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A
"REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT," AS THOSE
TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL
REVENUE CODE OF 1986 (THE "CODE").
NO TRANSFER OF THIS CERTIFICATE MAY BE MADE TO ANY PERSON, UNLESS
THE TRANSFEREE PROVIDES EITHER A CERTIFICATION PURSUANT TO SECTION 5.02(e) OF
THE AGREEMENT OR AN OPINION OF COUNSEL SATISFACTORY TO THE MASTER SERVICER, THE
COMPANY AND THE TRUSTEE THAT THE PURCHASE OF THIS CERTIFICATE WILL NOT
CONSTITUTE OR RESULT IN A NON-EXEMPT PROHIBITED TRANSACTION UNDER SECTION 406 OF
THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA"), OR
SECTION 4975 OF THE CODE AND WILL NOT SUBJECT THE MASTER SERVICER, THE COMPANY
OR THE TRUSTEE TO ANY OBLIGATION OR LIABILITY IN ADDITION TO THOSE UNDERTAKEN IN
THE AGREEMENT.
THIS CERTIFICATE HAS NOT BEEN AND WILL NOT BE REGISTERED UNDER THE
SECURITIES ACT OF 1933, AS AMENDED, OR THE SECURITIES LAWS OF ANY STATE AND MAY
NOT BE RESOLD OR TRANSFERRED UNLESS IT IS REGISTERED PURSUANT TO SUCH ACT AND
LAWS OR IS SOLD OR TRANSFERRED IN TRANSACTIONS WHICH ARE EXEMPT FROM
REGISTRATION UNDER SUCH ACT AND UNDER APPLICABLE STATE LAW AND IS TRANSFERRED IN
ACCORDANCE WITH THE PROVISIONS OF SECTION 5.02 OF THE AGREEMENT.
[THE FOLLOWING INFORMATION IS PROVIDED SOLELY FOR THE PURPOSES OF APPLYING
THE U.S. FEDERAL INCOME TAX ORIGINAL ISSUE DISCOUNT ("OID") RULES TO THIS
CERTIFICATE. THE ISSUE DATE OF THIS CERTIFICATE IS AUGUST 31ST, 1998. ASSUMING
THAT THE MORTGAGE LOANS PREPAY AT 100% OF THE PREPAYMENT ASSUMPTION (AS
DESCRIBED IN THE PROSPECTUS SUPPLEMENT), THIS CERTIFICATE HAS BEEN ISSUED WITH
NO MORE THAN $ OF OID PER $1,000 OF INITIAL CERTIFICATE PRINCIPAL BALANCE, THE
YIELD TO MATURITY IS % AND THE AMOUNT OF OID ATTRIBUTABLE TO THE INITIAL ACCRUAL
PERIOD IS NO MORE THAN $ PER $1,000 OF INITIAL CERTIFICATE PRINCIPAL BALANCE,
COMPUTED UNDER THE APPROXIMATE METHOD. NO REPRESENTATION IS MADE THAT THE
MORTGAGE LOANS WILL PREPAY AT A RATE BASED ON THE STANDARD PREPAYMENT ASSUMPTION
OR AT ANY OTHER RATE.]
Certificate No.
B-2
[ ]% Pass-Through Rate
Class M- Subordinate Aggregate Certificate
Principal Balance
of the Class M Certificates:
$
Date of Pooling and Servicing Initial Certificate Principal
Agreement and Cut-off Date: Balance of this Certificate:
August 1, 1998 $
First Distribution Date:
September 25, 1998
Master Servicer: CUSIP: 76110F-
Residential Funding Corporation
Assumed Final Distribution Date:
August 25, 2028
MORTGAGE ASSET-BACKED PASS-THROUGH CERTIFICATE,
SERIES 1998-QS11
evidencing a percentage interest in any distributions allocable to the
Class M- Certificates with respect to the Trust Fund consisting primarily of a
pool of conventional one- to four-family fixed interest rate first mortgage
loans formed and sold by RESIDENTIAL ACCREDIT LOANS, INC.
This Certificate is payable solely from the assets of the Trust Fund, and
does not represent an obligation of or interest in Residential Accredit Loans,
Inc., the Master Servicer, the Trustee referred to below or GMAC Mortgage Group,
Inc. or any of their affiliates. Neither this Certificate nor the underlying
Mortgage Loans are guaranteed or insured by any governmental agency or
instrumentality or by Residential Accredit Loans, Inc., the Master Servicer, the
Trustee or GMAC Mortgage Group, Inc. or any of their affiliates. None of the
Company, the Master Servicer, GMAC Mortgage Group, Inc. or any of their
affiliates will have any obligation with respect to any certificate or other
obligation secured by or payable from payments on the Certificates.
This certifies that is the registered owner of the Percentage
Interest evidenced by this Certificate (obtained by dividing the Certificate
Principal Balance of this Certificate by the aggregate Certificate Principal
Balance of all Class M- Certificates, both as specified above) in certain
distributions with respect to a Trust Fund consisting primarily of a pool of
conventional one- to four-family fixed interest rate first mortgage loans (the
"Mortgage Loans"), formed and sold by Residential Accredit Loans, Inc.
(hereinafter called the "Company," which term includes any successor entity
under the Agreement referred to below). The Trust Fund was created pursuant to a
Pooling and Servicing Agreement dated as specified above (the "Agreement") among
the Company, the Master Servicer and Bankers Trust Company, as trustee (the
"Trustee"), a summary of certain of the pertinent provisions of which is set
forth hereafter. To the extent not defined herein, the capitalized terms used
herein have the meanings assigned in the Agreement. This Certificate is issued
under and is subject to the terms, provisions and conditions of the Agreement,
to which Agreement the Holder of this Certificate by virtue of the acceptance
hereof assents and by which such Holder is bound.
Pursuant to the terms of the Agreement, a distribution will be made
on the 25th day of each month or, if such 25th day is not a Business Day, the
Business Day immediately following (the "Distribution Date"), commencing as
described in the Agreement, to the Person in whose name this Certificate is
registered at the close of business on the last day (or if such last day is not
a Business Day, the Business Day immediately preceding such last day) of the
month immediately preceding the month of such distribution (the "Record Date"),
from the Available Distribution Amount in an amount equal to the product of the
Percentage Interest evidenced by this Certificate and the amount (of interest
and principal, if any) required to be distributed to Holders of Class M-
Certificates on such Distribution Date.
Distributions on this Certificate will be made either by the Master
Servicer acting on behalf of the Trustee or by a Paying Agent appointed by the
Trustee in immediately available funds (by wire transfer or otherwise) for the
account of the Person entitled thereto if such Person shall have so notified the
Master Servicer or such Paying Agent, or by check mailed to the address of the
Person entitled thereto, as such name and address shall appear on the
Certificate Register.
Notwithstanding the above, the final distribution on this
Certificate will be made after due notice of the pendency of such distribution
and only upon presentation and surrender of this Certificate at the office or
agency appointed by the Trustee for that purpose in the City and State of New
York. The Initial Certificate Principal Balance of this Certificate is set forth
above. The Certificate Principal Balance hereof will be reduced to the extent of
the distributions allocable to principal and any Realized Losses allocable
hereto.
No transfer of this Class M Certificate will be made unless the
Trustee has received either (i) an opinion of counsel acceptable to and in form
and substance satisfactory to the Trustee, the Company and the Master Servicer
with respect to the permissibility of such transfer under the Employee
Retirement Income Security Act of 1974, as amended ("ERISA"), and Section 4975
of the Internal Revenue Code (the "Code") and stating, among other things, that
the transferee's acquisition of a Class M Certificate will not constitute or
result in a non-exempt prohibited transaction under Section 406 of ERISA or
Section 4975 of the Code or (ii) a representation letter, in the form as
described by the Agreement, either stating that the transferee is not an
employee benefit or other plan subject to the prohibited transaction provisions
of ERISA or Section 4975 of the Code (a "Plan"), or any other person (including
an investment manager, a named fiduciary or a trustee of any Plan) acting,
directly or indirectly, on behalf of or purchasing any Certificate with "plan
assets" of any Plan, or stating that the transferee is an insurance company, the
source of funds to be used by it to purchase the Certificate is an "insurance
company general account" (within the meaning of Department of Labor Prohibited
Transaction Class Exemption ("PTCE") 95-60), and the purchase is being made in
reliance upon the availability of the exemptive relief afforded under Sections I
and III of PTCE 95-60.
This Certificate is one of a duly authorized issue of Certificates
issued in several Classes designated as Mortgage Asset-Backed Pass-Through
Certificates of the Series specified hereon (herein collectively called the
"Certificates").
The Certificates are limited in right of payment to certain collections and
recoveries respecting the Mortgage Loans, all as more specifically set forth
herein and in the Agreement. In the event Master Servicer funds are advanced
with respect to any Mortgage Loan, such advance is reimbursable to the Master
Servicer, to the extent provided in the Agreement, from related recoveries on
such Mortgage Loan or from other cash that would have been distributable to
Certificateholders.
As provided in the Agreement, withdrawals from the Custodial Account
and/or the Certificate Account created for the benefit of Certificateholders may
be made by the Master Servicer from time to time for purposes other than
distributions to Certificateholders, such purposes including without limitation
reimbursement to the Company and the Master Servicer of advances made, or
certain expenses incurred, by either of them.
The Agreement permits, with certain exceptions therein provided, the
amendment of the Agreement and the modification of the rights and obligations of
the Company, the Master Servicer and the Trustee and the rights of the
Certificateholders under the Agreement at any time by the Company, the Master
Servicer and the Trustee with the consent of the Holders of Certificates
evidencing in the aggregate not less than 66% of the Percentage Interests of
each Class of Certificates affected thereby. Any such consent by the Holder of
this Certificate shall be conclusive and binding on such Holder and upon all
future holders of this Certificate and of any Certificate issued upon the
transfer hereof or in exchange herefor or in lieu hereof whether or not notation
of such consent is made upon the Certificate. The Agreement also permits the
amendment thereof in certain circumstances without the consent of the Holders of
any of the Certificates and, in certain additional circumstances, without the
consent of the Holders of certain Classes of Certificates.
As provided in the Agreement and subject to certain limitations
therein set forth, the transfer of this Certificate is registrable in the
Certificate Register upon surrender of this Certificate for registration of
transfer at the offices or agencies appointed by the Trustee in the City and
State of New York, duly endorsed by, or accompanied by an assignment in the form
below or other written instrument of transfer in form satisfactory to the
Trustee and the Certificate Registrar duly executed by the Holder hereof or such
Holder's attorney duly authorized in writing, and thereupon one or more new
Certificates of authorized denominations evidencing the same Class and aggregate
Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without
coupons in Classes and in denominations specified in the Agreement. As provided
in the Agreement and subject to certain limitations therein set forth,
Certificates are exchangeable for new Certificates of authorized denominations
evidencing the same Class and aggregate Percentage Interest, as requested by the
Holder surrendering the same.
No service charge will be made for any such registration of transfer
or exchange, but the Trustee may require payment of a sum sufficient to cover
any tax or other governmental charge payable in connection therewith.
The Company, the Master Servicer, the Trustee and the Certificate
Registrar and any agent of the Company, the Master Servicer, the Trustee or the
Certificate Registrar may treat the Person in whose name this Certificate is
registered as the owner hereof for all purposes, and neither the Company, the
Master Servicer, the Trustee nor any such agent shall be affected by notice to
the contrary.
This Certificate shall be governed by and construed in accordance
with the laws of the State of New York.
The obligations created by the Agreement in respect of the
Certificates and the Trust Fund created thereby shall terminate upon the payment
to Certificateholders of all amounts held by or on behalf of the Trustee and
required to be paid to them pursuant to the Agreement following the earlier of
(i) the maturity or other liquidation of the last Mortgage Loan subject thereto
or the disposition of all property acquired upon foreclosure or deed in lieu of
foreclosure of any Mortgage Loan and (ii) the purchase by the Master Servicer or
the Company from the Trust Fund of all remaining Mortgage Loans and all property
acquired in respect of such Mortgage Loans, thereby effecting early retirement
of the Certificates. The Agreement permits, but does not require, the Master
Servicer or the Company to (i) purchase at a price determined as provided in the
Agreement all remaining Mortgage Loans and all property acquired in respect of
any Mortgage Loan or (ii) purchase in whole, but not in part, all of the
Certificates from the Holders thereof; provided, that any such option may only
be exercised if the Pool Stated Principal Balance of the Mortgage Loans as of
the Distribution Date upon which the proceeds of any such purchase are
distributed is less than ten percent of the Cut-off Date Principal Balance of
the Mortgage Loans.
Unless the certificate of authentication hereon has been executed by
the Certificate Registrar, by manual signature, this Certificate shall not be
entitled to any benefit under the Agreement or be valid for any purpose.
B-3
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be
duly executed.
Dated: BANKERS TRUST COMPANY,
as Trustee
By:
Authorized Signatory
CERTIFICATE OF AUTHENTICATION
This is one of the Class M- Certificates referred to in the
within-mentioned Agreement.
BANKERS TRUST COMPANY,
as Certificate Registrar
By:
Authorized Signatory
B-4
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and
transfer(s) unto (Please print or typewrite name and address including postal
zip code of assignee) a Percentage Interest evidenced by the within Mortgage
Asset-Backed Pass-Through Certificate and hereby authorizes the transfer of
registration of such interest to assignee on the Certificate Register of the
Trust Fund.
I (We) further direct the Certificate Registrar to issue a new
Certificate of a like denomination and Class, to the above named assignee and
deliver such Certificate to the following address:
Dated:
Signature by or on behalf of assignor
Signature Guaranteed
DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of
distribution:
Distributions shall be made, by wire transfer or otherwise, in immediately
available funds to ______ for the account of _______ account number ________,
or, if mailed by check, to ____________ Applicable statements should be mailed
to _______ .
This information is provided by ________, the assignee named above, or
_________ , as its agent.
EXHIBIT C
FORM OF CLASS B CERTIFICATE
THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF PAYMENT TO THE CLASS A
CERTIFICATES, CLASS R CERTIFICATES AND CLASS M CERTIFICATES AS DESCRIBED IN THE
AGREEMENT (AS DEFINED HEREIN).
THIS CERTIFICATE HAS NOT BEEN AND WILL NOT BE REGISTERED UNDER THE
SECURITIES ACT OF 1933, AS AMENDED, OR THE SECURITIES LAWS OF ANY STATE AND MAY
NOT BE RESOLD OR TRANSFERRED UNLESS IT IS REGISTERED PURSUANT TO SUCH ACT AND
LAWS OR IS SOLD OR TRANSFERRED IN TRANSACTIONS WHICH ARE EXEMPT FROM
REGISTRATION UNDER SUCH ACT AND UNDER APPLICABLE STATE LAW AND IS TRANSFERRED IN
ACCORDANCE WITH THE PROVISIONS OF SECTION 5.02 OF THE AGREEMENT.
NO TRANSFER OF THIS CERTIFICATE MAY BE MADE TO ANY PERSON, UNLESS
THE TRANSFEREE PROVIDES EITHER A CERTIFICATION PURSUANT TO SECTION 5.02(e) OF
THE AGREEMENT OR AN OPINION OF COUNSEL SATISFACTORY TO THE MASTER SERVICER, THE
COMPANY AND THE TRUSTEE THAT THE PURCHASE OF THIS CERTIFICATE WILL NOT
CONSTITUTE OR RESULT IN A NON-EXEMPT PROHIBITED TRANSACTION UNDER SECTION 406 OF
THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA"), OR
SECTION 4975 OF THE CODE AND WILL NOT SUBJECT THE MASTER SERVICER, THE COMPANY
OR THE TRUSTEE TO ANY OBLIGATION OR LIABILITY IN ADDITION TO THOSE UNDERTAKEN IN
THE AGREEMENT.
SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A
"REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT," AS THOSE
TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE CODE. THE
FOLLOWING INFORMATION IS PROVIDED SOLELY FOR THE PURPOSES OF APPLYING THE U.S.
FEDERAL INCOME TAX ORIGINAL ISSUE DISCOUNT ("OID") RULES TO THIS CERTIFICATE.
THE ISSUE DATE OF THIS CERTIFICATE IS AUGUST 31ST, 1998. ASSUMING THAT THE
MORTGAGE LOANS PREPAY AT 100% OF THE PREPAYMENT ASSUMPTION (AS DESCRIBED IN THE
PROSPECTUS SUPPLEMENT), THIS CERTIFICATE HAS BEEN ISSUED WITH NO MORE THAN $ OF
OID PER $1,000 OF INITIAL CERTIFICATE PRINCIPAL BALANCE, THE YIELD TO MATURITY
IS % AND THE AMOUNT OF OID ATTRIBUTABLE TO THE INITIAL ACCRUAL PERIOD IS NO MORE
THAN $ PER $1,000 OF INITIAL CERTIFICATE PRINCIPAL BALANCE, COMPUTED UNDER THE
APPROXIMATE METHOD. NO REPRESENTATION IS MADE THAT THE MORTGAGE LOANS WILL
PREPAY AT A RATE BASED ON THE STANDARD PREPAYMENT ASSUMPTION OR AT ANY OTHER
RATE.
Certificate No.
C-2
[ ]% Pass-Through Rate
Class B- Subordinate Aggregate Certificate
----
Principal Balance
of the Class B-
Certificates as of
the Cut-off Date:
$
Date of Pooling and Servicing Initial Certificate Principal
Agreement and Cut-off Date: Balance of this Certificate:
August 1, 1998 $
First Distribution Date:
September 25, 1998
Master Servicer:
Residential Funding Corporation
Assumed Final Distribution Date:
August 25, 2028
MORTGAGE ASSET-BACKED PASS-THROUGH CERTIFICATE,
SERIES 1998-QS11
evidencing a percentage interest in any distributions allocable to the
Class B- Certificates with respect to the Trust Fund consisting primarily of a
pool of conventional one- to four-family fixed interest rate first mortgage
loans formed and sold by RESIDENTIAL ACCREDIT LOANS, INC.
This Certificate is payable solely from the assets of the Trust Fund, and
does not represent an obligation of or interest in Residential Accredit Loans,
Inc., the Master Servicer, the Trustee referred to below or GMAC Mortgage Group,
Inc. or any of their affiliates. Neither this Certificate nor the underlying
Mortgage Loans are guaranteed or insured by any governmental agency or
instrumentality or by Residential Accredit Loans, Inc., the Master Servicer, the
Trustee or GMAC Mortgage Group, Inc. or any of their affiliates. None of the
Company, the Master Servicer, GMAC Mortgage Group, Inc. or any of their
affiliates will have any obligation with respect to any certificate or other
obligation secured by or payable from payments on the Certificates.
This certifies that Residential Accredit Loans, Inc. is the
registered owner of the Percentage Interest evidenced by this Certificate
(obtained by dividing the Certificate Principal Balance of this Certificate by
the aggregate Certificate Principal Balance of all Class B- Certificates, both
as specified above) in certain distributions with respect to a Trust Fund
consisting primarily of a pool of conventional one- to four-family fixed
interest rate first mortgage loans (the "Mortgage Loans"), formed and sold by
Residential Accredit Loans, Inc. (hereinafter called the "Company," which term
includes any successor entity under the Agreement referred to below). The Trust
Fund was created pursuant to a Pooling and Servicing Agreement dated as
specified above (the "Agreement") among the Company, the Master Servicer and
Bankers Trust Company, as trustee (the "Trustee"), a summary of certain of the
pertinent provisions of which is set forth hereafter. To the extent not defined
herein, the capitalized terms used herein have the meanings assigned in the
Agreement. This Certificate is issued under and is subject to the terms,
provisions and conditions of the Agreement, to which Agreement the Holder of
this Certificate by virtue of the acceptance hereof assents and by which such
Holder is bound.
Pursuant to the terms of the Agreement, a distribution will be made
on the 25th day of each month or, if such 25th day is not a Business Day, the
Business Day immediately following (the "Distribution Date"), commencing on the
first Distribution Date specified above, to the Person in whose name this
Certificate is registered at the close of business on the last day (or if such
last day is not a Business Day, the Business Day immediately preceding such last
day) of the month next preceding the month of such distribution (the "Record
Date"), from the Available Distribution Amount in an amount equal to the product
of the Percentage Interest evidenced by this Certificate and the amount (of
interest and principal, if any) required to be distributed to Holders of Class B
Certificates on such Distribution Date.
Distributions on this Certificate will be made either by the Master
Servicer acting on behalf of the Trustee or by a Paying Agent appointed by the
Trustee in immediately available funds (by wire transfer or otherwise) for the
account of the Person entitled thereto if such Person shall have so notified the
Master Servicer or such Paying Agent, or by check mailed to the address of the
Person entitled thereto, as such name and address shall appear on the
Certificate Register.
Notwithstanding the above, the final distribution on this
Certificate will be made after due notice of the pendency of such distribution
and only upon presentation and surrender of this Certificate at the office or
agency appointed by the Trustee for that purpose in the City and State of New
York. The Initial Certificate Principal Balance of this Certificate is set forth
above. The Certificate Principal Balance hereof will be reduced to the extent of
the distributions allocable to principal and any Realized Losses allocable
hereto.
No transfer of this Class B Certificate will be made unless such
transfer is exempt from the registration requirements of the Securities Act of
1933, as amended, and any applicable state securities laws or is made in
accordance with said Act and laws. In the event that such a transfer is to be
made, (i) the Trustee or the Company may require an opinion of counsel
acceptable to and in form and substance satisfactory to the Trustee and the
Company that such transfer is exempt (describing the applicable exemption and
the basis therefor) from or is being made pursuant to the registration
requirements of the Securities Act of 1933, as amended, and of any applicable
statute of any state and (ii) the transferee shall execute an investment letter
in the form described by the Agreement. The Holder hereof desiring to effect
such transfer shall, and does hereby agree to, indemnify the Trustee, the
Company, the Master Servicer and the Certificate Registrar acting on behalf of
the Trustee against any liability that may result if the transfer is not so
exempt or is not made in accordance with such Federal and state laws. In
connection with any such transfer, the Trustee will also require either (i) an
opinion of counsel acceptable to and in form and substance satisfactory to the
Trustee, the Company and the Master Servicer with respect to the permissibility
of such transfer under the Employee Retirement Income Security Act of 1974, as
amended ("ERISA"), and Section 4975 of the Internal Revenue Code (the "Code")
and stating, among other things, that the transferee's acquisition of a Class B
Certificate will not constitute or result in a non-exempt prohibited transaction
under Section 406 of ERISA or Section 4975 of the Code or (ii) a representation
letter, in the form as described by the Agreement, either stating that the
transferee is not an employee benefit or other plan subject to the prohibited
transaction provisions of ERISA or Section 4975 of the Code (a "Plan"), or any
other person (including an investment manager, a named fiduciary or a trustee of
any Plan) acting, directly or indirectly, on behalf of or purchasing any
Certificate with "plan assets" of any Plan, or stating that the transferee is an
insurance company, the source of funds to be used by it to purchase the
Certificate is an "insurance company general account" (within the meaning of
Department of Labor Prohibited Transaction Class Exemption ("PTCE") 95-60), and
the purchase is being made in reliance upon the availability of the exemptive
relief afforded under Sections I and III of PTCE 95-60.
This Certificate is one of a duly authorized issue of Certificates
issued in several Classes designated as Mortgage Asset-Backed Pass-Through
Certificates of the Series specified hereon (herein collectively called the
"Certificates").
The Certificates are limited in right of payment to certain collections and
recoveries respecting the Mortgage Loans, all as more specifically set forth
herein and in the Agreement. In the event Master Servicer funds are advanced
with respect to any Mortgage Loan, such advance is reimbursable to the Master
Servicer, to the extent provided in the Agreement, from related recoveries on
such Mortgage Loan or from other cash that would have been distributable to
Certificateholders.
As provided in the Agreement, withdrawals from the Custodial Account
and/or the Certificate Account created for the benefit of Certificateholders may
be made by the Master Servicer from time to time for purposes other than
distributions to Certificateholders, such purposes including without limitation
reimbursement to the Company and the Master Servicer of advances made, or
certain expenses incurred, by either of them.
The Agreement permits, with certain exceptions therein provided, the
amendment of the Agreement and the modification of the rights and obligations of
the Company, the Master Servicer and the Trustee and the rights of the
Certificateholders under the Agreement at any time by the Company, the Master
Servicer and the Trustee with the consent of the Holders of Certificates
evidencing in the aggregate not less than 66% of the Percentage Interests of
each Class of Certificates affected thereby. Any such consent by the Holder of
this Certificate shall be conclusive and binding on such Holder and upon all
future holders of this Certificate and of any Certificate issued upon the
transfer hereof or in exchange herefor or in lieu hereof whether or not notation
of such consent is made upon the Certificate. The Agreement also permits the
amendment thereof in certain circumstances without the consent of the Holders of
any of the Certificates and, in certain additional circumstances, without the
consent of the Holders of certain Classes of Certificates.
As provided in the Agreement and subject to certain limitations
therein set forth, the transfer of this Certificate is registrable in the
Certificate Register upon surrender of this Certificate for registration of
transfer at the offices or agencies appointed by the Trustee in the City and
State of New York, duly endorsed by, or accompanied by an assignment in the form
below or other written instrument of transfer in form satisfactory to the
Trustee and the Certificate Registrar duly executed by the Holder hereof or such
Holder's attorney duly authorized in writing, and thereupon one or more new
Certificates of authorized denominations evidencing the same Class and aggregate
Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without
coupons in Classes and in denominations specified in the Agreement. As provided
in the Agreement and subject to certain limitations therein set forth,
Certificates are exchangeable for new Certificates of authorized denominations
evidencing the same Class and aggregate Percentage Interest, as requested by the
Holder surrendering the same.
No service charge will be made for any such registration of transfer
or exchange, but the Trustee may require payment of a sum sufficient to cover
any tax or other governmental charge payable in connection therewith.
The Company, the Master Servicer, the Trustee and the Certificate
Registrar and any agent of the Company, the Master Servicer, the Trustee or the
Certificate Registrar may treat the Person in whose name this Certificate is
registered as the owner hereof for all purposes, and neither the Company, the
Master Servicer, the Trustee nor any such agent shall be affected by notice to
the contrary.
This Certificate shall be governed by and construed in accordance
with the laws of the State of New York.
The obligations created by the Agreement in respect of the
Certificates and the Trust Fund created thereby shall terminate upon the payment
to Certificateholders of all amounts held by or on behalf of the Trustee and
required to be paid to them pursuant to the Agreement following the earlier of
(i) the maturity or other liquidation of the last Mortgage Loan subject thereto
or the disposition of all property acquired upon foreclosure or deed in lieu of
foreclosure of any Mortgage Loan and (ii) the purchase by the Master Servicer or
the Company from the Trust Fund of all remaining Mortgage Loans and all property
acquired in respect of such Mortgage Loans, thereby effecting early retirement
of the Certificates. The Agreement permits, but does not require, the Master
Servicer or the Company to (i) purchase at a price determined as provided in the
Agreement all remaining Mortgage Loans and all property acquired in respect of
any Mortgage Loan or (ii) purchase in whole, but not in part, all of the
Certificates from the Holders thereof; provided, that any such option may only
be exercised if the Pool Stated Principal Balance of the Mortgage Loans as of
the Distribution Date upon which the proceeds of any such purchase are
distributed is less than ten percent of the Cut-off Date Principal Balance of
the Mortgage Loans.
Unless the certificate of authentication hereon has been executed by
the Certificate Registrar, by manual signature, this Certificate shall not be
entitled to any benefit under the Agreement or be valid for any purpose.
C-3
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be
duly executed.
Dated: BANKERS TRUST COMPANY,
as Trustee
By:
Authorized Signatory
CERTIFICATE OF AUTHENTICATION
This is one of the Class B- Certificates referred to in the
within-mentioned Agreement.
BANKERS TRUST COMPANY,
as Certificate Registrar
By:
Authorized Signatory
C-4
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and
transfer(s) unto _________________. (Please print or typewrite name and address
including postal zip code of assignee) a Percentage Interest evidenced by the
within Mortgage Asset-Backed Pass-Through Certificate and hereby authorizes the
transfer of registration of such interest to assignee on the Certificate
Register of the Trust Fund.
I (We) further direct the Certificate Registrar to issue a new
Certificate of a like denomination and Class, to the above named assignee and
deliver such Certificate to the following address:
Dated:
Signature by or on behalf of assignor
Signature Guaranteed
DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of
distribution:
Distributions shall be made, by wire transfer or otherwise, in immediately
available funds to __________ for the account of ________, account number ______
, or, if mailed by check, to __________ Applicable statements should be mailed
to _________ .
This information is provided by ________ , the assignee named above, or
________, as its agent.
EXHIBIT D
FORM OF CLASS R CERTIFICATE
THIS CERTIFICATE MAY NOT BE HELD BY OR TRANSFERRED TO A NON-UNITED STATES PERSON
OR A DISQUALIFIED ORGANIZATION (AS DEFINED BELOW).
SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A "RESIDUAL
INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" AS THOSE TERMS ARE
DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF
1986 (THE "CODE").
NO TRANSFER OF THIS CERTIFICATE MAY BE MADE TO ANY PERSON, UNLESS THE TRANSFEREE
PROVIDES EITHER A CERTIFICATION PURSUANT TO SECTION 5.02(e) OF THE AGREEMENT OR
AN OPINION OF COUNSEL SATISFACTORY TO THE MASTER SERVICER, THE COMPANY AND THE
TRUSTEE THAT THE PURCHASE OF THIS CERTIFICATE WILL NOT CONSTITUTE OR RESULT IN A
NON-EXEMPT PROHIBITED TRANSACTION UNDER SECTION 406 OF THE EMPLOYEE RETIREMENT
INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA"), OR SECTION 4975 OF THE CODE
AND WILL NOT SUBJECT THE MASTER SERVICER, THE COMPANY OR THE TRUSTEE TO ANY
OBLIGATION OR LIABILITY IN ADDITION TO THOSE UNDERTAKEN IN THE AGREEMENT.
ANY RESALE, TRANSFER OR OTHER DISPOSITION OF THIS CERTIFICATE MAY BE MADE ONLY
IF THE PROPOSED TRANSFEREE PROVIDES A TRANSFER AFFIDAVIT TO THE MASTER SERVICER
AND THE TRUSTEE THAT (1) SUCH TRANSFEREE IS NOT (A) THE UNITED STATES, ANY STATE
OR POLITICAL SUBDIVISION THEREOF, ANY POSSESSION OF THE UNITED STATES, OR ANY
AGENCY OR INSTRUMENTALITY OF ANY OF THE FOREGOING (OTHER THAN AN INSTRUMENTALITY
WHICH IS A CORPORATION IF ALL OF ITS ACTIVITES ARE SUBJECT TO TAX AND EXCEPT FOR
THE FHLMC, A MAJORITY OF ITS BOARD OF DIRECTORS IS NOT SELECTED BY SUCH
GOVERNMENTAL UNIT), (B) A FOREIGN GOVERNMENT, ANY INTERNATIONAL ORGANIZATION, OR
ANY AGENCY OR INSTRUMENTALITY OF EITHER OF THE FOREGOING, (C) ANY ORGANIZATION
(OTHER THAN CERTAIN FARMERS' COOPERATIVES DESCRIBED IN SECTION 521 OF THE CODE)
WHICH IS EXEMPT FROM THE TAX IMPOSED BY CHAPTER 1 OF THE CODE UNLESS SUCH
ORGANIZATION IS SUBJECT TO THE TAX IMPOSED BY SECTION 511 OF THE CODE (INCLUDING
THE TAX IMPOSED BY SECTION 511 OF THE CODE ON UNRELATED BUSINESS TAXABLE
INCOME), (D) RURAL ELECTRIC AND TELEPHONE COOPERATIVES DESCRIBED IN SECTION
1381(a)(2)(C) OF THE CODE, (E) AN ELECTING LARGE PARTNERSHIP UNDER SECTION
775(a) OF THE CODE (ANY SUCH PERSON DESCRIBED IN THE FOREGOING CLAUSES (A), (B),
(C), (D) OR (E) BEING HEREIN REFERRED TO AS A "DISQUALIFIED ORGANIZATION"), OR
(F) AN AGENT OF A DISQUALIFIED ORGANIZATION, (2) NO PURPOSE OF SUCH TRANSFER IS
TO IMPEDE THE ASSESSMENT OR COLLECTION OF TAX AND (3) SUCH TRANSFEREE SATISFIES
CERTAIN ADDITIONAL CONDITIONS RELATING TO THE FINANCIAL CONDITION OF THE
PROPOSED TRANSFEREE. NOTWITHSTANDING THE REGISTRATION IN THE CERTIFICATE
REGISTER OR ANY TRANSFER, SALE OR OTHER DISPOSITION OF THIS CERTIFICATE TO A
DISQUALIFIED ORGANIZATION OR AN AGENT OF A DISQUALIFIED ORGANIZATION, SUCH
REGISTRATION SHALL BE DEEMED TO BE OF NO LEGAL FORCE OR EFFECT WHATSOEVER AND
SUCH PERSON SHALL NOT BE DEEMED TO BE A CERTIFICATEHOLDER FOR ANY PURPOSE
HEREUNDER, INCLUDING, BUT NOT LIMITED TO, THE RECEIPT OF DISTRIBUTIONS ON THIS
CERTIFICATE. EACH HOLDER OF THIS CERTIFICATE BY ACCEPTANCE OF THIS CERTIFICATE
SHALL BE DEEMED TO HAVE CONSENTED TO THE PROVISIONS OF THIS PARAGRAPH.
Certificate No. [ ]% Pass-Through Rate
Class R Senior Aggregate Initial Certificate
Principal Balance of the
Class R Certificates:
$100.00
Date of Pooling and Servicing Initial Certificate Principal
Agreement and Cut-off Date: Balance of this Certificate:
August 1, 1998 $
First Distribution Date: Percentage Interest:
September 25, 1998 %
Master Servicer:
Residential Funding Corporation
Assumed Final Distribution Date: CUSIP 76110F-
August 25, 2028
MORTGAGE ASSET-BACKED PASS-THROUGH CERTIFICATE,
SERIES 1998-QS11
evidencing a percentage interest in any distributions allocable to the
Class R Certificates with respect to the Trust Fund consisting primarily of a
pool of conventional one- to four-family fixed interest rate first mortgage
loans formed and sold by RESIDENTIAL ACCREDIT LOANS, INC.
This Certificate is payable solely from the assets of the Trust Fund, and
does not represent an obligation of or interest in Residential Accredit Loans,
Inc., the Master Servicer, the Trustee referred to below or GMAC Mortgage Group,
Inc. or any of their affiliates. Neither this Certificate nor the underlying
Mortgage Loans are guaranteed or insured by any governmental agency or
instrumentality or by Residential Accredit Loans, Inc., the Master Servicer, the
Trustee or GMAC Mortgage Group, Inc. or any of their affiliates. None of the
Company, the Master Servicer, GMAC Mortgage Group, Inc. or any of their
affiliates will have any obligation with respect to any certificate or other
obligation secured by or payable from payments on the Certificates.
This certifies that is the registered owner of the Percentage
Interest evidenced by this Certificate (obtained by dividing the Initial
Certificate Principal Balance of this Certificate by the aggregate Initial
Certificate Principal Balance of all Class R Certificates, both as specified
above) in certain distributions with respect to the Trust Fund consisting
primarily of a pool of conventional one- to four-family fixed interest rate
first mortgage loans (the "Mortgage Loans"), formed and sold by Residential
Accredit Loans, Inc. (hereinafter called the "Company," which term includes any
successor entity under the Agreement referred to below). The Trust Fund was
created pursuant to a Pooling and Servicing Agreement dated as specified above
(the "Agreement") among the Company, the Master Servicer and Bankers Trust
Company, as trustee (the "Trustee"), a summary of certain of the pertinent
provisions of which is set forth hereafter. To the extent not defined herein,
the capitalized terms used herein have the meanings assigned in the Agreement.
This Certificate is issued under and is subject to the terms, provisions and
conditions of the Agreement, to which Agreement the Holder of this Certificate
by virtue of the acceptance hereof assents and by which such Holder is bound.
Pursuant to the terms of the Agreement, a distribution will be made
on the 25th day of each month or, if such 25th day is not a Business Day, the
Business Day immediately following (the "Distribution Date"), commencing as
described in the Agreement, to the Person in whose name this Certificate is
registered at the close of business on the last day (or if such last day is not
a Business Day, the Business Day immediately preceding such last day) of the
month immediately preceding the month of such distribution (the "Record Date"),
from the Available Distribution Amount in an amount equal to the product of the
Percentage Interest evidenced by this Certificate and the amount (of interest
and principal, if any) required to be distributed to Holders of Class R
Certificates on such Distribution Date.
Each Holder of this Certificate will be deemed to have agreed to be
bound by the restrictions set forth in the Agreement to the effect that (i) each
person holding or acquiring any Ownership Interest in this Certificate must be a
United States Person and a Permitted Transferee, (ii) the transfer of any
Ownership Interest in this Certificate will be conditioned upon the delivery to
the Trustee of, among other things, an affidavit to the effect that it is a
United States Person and Permitted Transferee, (iii) any attempted or purported
transfer of any Ownership Interest in this Certificate in violation of such
restrictions will be absolutely null and void and will vest no rights in the
purported transferee, and (iv) if any person other than a United States Person
and a Permitted Transferee acquires any Ownership Interest in this Certificate
in violation of such restrictions, then the Company will have the right, in its
sole discretion and without notice to the Holder of this Certificate, to sell
this Certificate to a purchaser selected by the Company, which purchaser may be
the Company, or any affiliate of the Company, on such terms and conditions as
the Company may choose.
Notwithstanding the above, the final distribution on this
Certificate will be made after due notice of the pendency of such distribution
and only upon presentation and surrender of this Certificate at the office or
agency appointed by the Trustee for that purpose in the City and State of New
York. The Initial Certificate Principal Balance of this Certificate is set forth
above. The Certificate Principal Balance hereof will be reduced to the extent of
distributions allocable to principal and any Realized Losses allocable hereto.
Notwithstanding the reduction of the Certificate Principal Balance hereof to
zero, this Certificate will remain outstanding under the Agreement and the
Holder hereof may have additional obligations with respect to this Certificate,
including tax liabilities, and may be entitled to certain additional
distributions hereon, in accordance with the terms and provisions of the
Agreement.
No transfer of this Class R Certificate will be made unless the
Trustee has received either (i) an opinion of counsel acceptable to and in form
and substance satisfactory to the Trustee, the Company and the Master Servicer
with respect to the permissibility of such transfer under the Employee
Retirement Income Security Act of 1974, as amended ("ERISA"), and Section 4975
of the Internal Revenue Code (the "Code") and stating, among other things, that
the transferee's acquisition of a Class R Certificate will not constitute or
result in a non-exempt prohibited transaction under Section 406 of ERISA or
Section 4975 of the Code or (ii) a representation letter, in the form as
described by the Agreement, stating that the transferee is not an employee
benefit or other plan subject to the prohibited transaction provisions of ERISA
or Section 4975 of the Code (a "Plan"), or any other person (including an
investment manager, a named fiduciary or a trustee of any Plan) acting, directly
or indirectly, on behalf of or purchasing any Certificate with "plan assets" of
any Plan.
This Certificate is one of a duly authorized issue of Certificates
issued in several Classes designated as Mortgage Asset-Backed Pass-Through
Certificates of the Series specified hereon (herein collectively called the
"Certificates").
The Certificates are limited in right of payment to certain collections and
recoveries respecting the Mortgage Loans, all as more specifically set forth
herein and in the Agreement. In the event Master Servicer funds are advanced
with respect to any Mortgage Loan, such advance is reimbursable to the Master
Servicer, to the extent provided in the Agreement, from related recoveries on
such Mortgage Loan or from other cash that would have been distributable to
Certificateholders.
As provided in the Agreement, withdrawals from the Custodial Account
and/or the Certificate Account created for the benefit of Certificateholders may
be made by the Master Servicer from time to time for purposes other than
distributions to Certificateholders, such purposes including without limitation
reimbursement to the Company and the Master Servicer of advances made, or
certain expenses incurred, by either of them.
The Agreement permits, with certain exceptions therein provided, the
amendment of the Agreement and the modification of the rights and obligations of
the Company, the Master Servicer and the Trustee and the rights of the
Certificateholders under the Agreement at any time by the Company, the Master
Servicer and the Trustee with the consent of the Holders of Certificates
evidencing in the aggregate not less than 66% of the Percentage Interests of
each Class of Certificates affected thereby. Any such consent by the Holder of
this Certificate shall be conclusive and binding on such Holder and upon all
future holders of this Certificate and of any Certificate issued upon the
transfer hereof or in exchange herefor or in lieu hereof whether or not notation
of such consent is made upon the Certificate. The Agreement also permits the
amendment thereof in certain circumstances without the consent of the Holders of
any of the Certificates and, in certain additional circumstances, without the
consent of the Holders of certain Classes of Certificates.
As provided in the Agreement and subject to certain limitations
therein set forth, the transfer of this Certificate is registrable in the
Certificate Register upon surrender of this Certificate for registration of
transfer at the offices or agencies appointed by the Trustee in the City and
State of New York, duly endorsed by, or accompanied by an assignment in the form
below or other written instrument of transfer in form satisfactory to the
Trustee and the Certificate Registrar duly executed by the Holder hereof or such
Holder's attorney duly authorized in writing, and thereupon one or more new
Certificates of authorized denominations evidencing the same Class and aggregate
Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without
coupons in Classes and in denominations specified in the Agreement. As provided
in the Agreement and subject to certain limitations therein set forth,
Certificates are exchangeable for new Certificates of authorized denominations
evidencing the same Class and aggregate Percentage Interest, as requested by the
Holder surrendering the same.
No service charge will be made for any such registration of transfer
or exchange, but the Trustee may require payment of a sum sufficient to cover
any tax or other governmental charge payable in connection therewith.
The Company, the Master Servicer, the Trustee and the Certificate
Registrar and any agent of the Company, the Master Servicer, the Trustee or the
Certificate Registrar may treat the Person in whose name this Certificate is
registered as the owner hereof for all purposes, and neither the Company, the
Master Servicer, the Trustee nor any such agent shall be affected by notice to
the contrary.
This Certificate shall be governed by and construed in accordance
with the laws of the State of New York.
The obligations created by the Agreement in respect of the
Certificates and the Trust Fund created thereby shall terminate upon the payment
to Certificateholders of all amounts held by or on behalf of the Trustee and
required to be paid to them pursuant to the Agreement following the earlier of
(i) the maturity or other liquidation of the last Mortgage Loan subject thereto
or the disposition of all property acquired upon foreclosure or deed in lieu of
foreclosure of any Mortgage Loan and (ii) the purchase by the Master Servicer or
the Company from the Trust Fund of all remaining Mortgage Loans and all property
acquired in respect of such Mortgage Loans, thereby effecting early retirement
of the Certificates. The Agreement permits, but does not require, the Master
Servicer or the Company to (i) purchase at a price determined as provided in the
Agreement all remaining Mortgage Loans and all property acquired in respect of
any Mortgage Loan or (ii) purchase in whole, but not in part, all of the
Certificates from the Holders thereof; provided, that any such option may only
be exercised if the Pool Stated Principal Balance of the Mortgage Loans as of
the Distribution Date upon which the proceeds of any such purchase are
distributed is less than ten percent of the Cut-off Date Principal Balance of
the Mortgage Loans.
Reference is hereby made to the further provisions of this
Certificate set forth on the reverse hereof, which further provisions shall for
all purpose have the same effect as if set forth at this place.
Unless the certificate of authentication hereon has been executed by
the Certificate Registrar, by manual signature, this Certificate shall not be
entitled to any benefit under the Agreement or be valid for any purpose.
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be
duly executed.
Dated: BANKERS TRUST COMPANY
as Trustee
By:
Authorized Signatory
CERTIFICATE OF AUTHENTICATION
This is one of the Class R Certificates referred to in the
within-mentioned Agreement.
BANKERS TRUST COMPANY,
as Certificate Registrar
By:
Authorized Signatory
D-2
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and
transfer(s) unto ___________.(Please print or typewrite name and address
including postal zip code of assignee) a Percentage Interest evidenced by the
within Mortgage Asset-Backed Pass-Through Certificate and hereby authorizes the
transfer of registration of such interest to assignee on the Certificate
Register of the Trust Fund.
I (We) further direct the Certificate Registrar to issue a new
Certificate of a like denomination and Class, to the above named assignee and
deliver such Certificate to the following address:
Dated:
Signature by or on behalf of assignor
Signature Guaranteed
DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of
distribution:
Distributions shall be made, by wire transfer or otherwise, in immediately
available funds to _________ for the account of ________,account number
________, or, if mailed by check, to _____________ Applicable statements should
be mailed to _______ .
This information is provided by ________, the assignee named above, or
________, as its agent.
EXHIBIT E
CUSTODIAL AGREEMENT
THIS CUSTODIAL AGREEMENT (as amended and supplemented from time to
time, the "Agreement"), dated as of August 1, 1998, by and among BANKERS TRUST
COMPANY, as Trustee (including its successors under the Pooling Agreement
defined below, the "Trustee"), RESIDENTIAL ACCREDIT LOANS, INC. (together with
any successor in interest, the "Company"), RESIDENTIAL FUNDING CORPORATION, as
master servicer (together with any successor in interest or successor under the
Pooling Agreement referred to below, the "Master Servicer"), and NORWEST BANK
MINNESOTA, NATIONAL ASSOCIATION (together with any successor in interest or any
successor appointed hereunder, the "Custodian").
W I T N E S S E T H T H A T :
WHEREAS, the Company, the Master Servicer, and the Trustee have
entered into a Pooling and Servicing Agreement dated as of August 1, 1998,
relating to the issuance of Residential Accredit Loans, Inc., Mortgage
Asset-Backed Pass-Through Certificates, Series 1998-QS11 (as in effect on the
date of this agreement, the "Original Pooling Agreement," and as amended and
supplemented from time to time, the "Pooling Agreement"); and
WHEREAS, the Custodian has agreed to act as agent for the Trustee
for the purposes of receiving and holding certain documents and other
instruments delivered by the Company and the Master Servicer under the Pooling
Agreement, all upon the terms and conditions and subject to the limitations
hereinafter set forth;
NOW, THEREFORE, in consideration of the premises and the mutual
covenants and agreements hereinafter set forth, the Trustee, the Company, the
Master Servicer and the Custodian hereby agree as follows:
ARTICLE I
Definitions
Capitalized terms used in this Agreement and not defined herein
shall have the meanings assigned in the Original Pooling Agreement, unless
otherwise required by the context herein.
ARTICLE II
Custody of Mortgage Documents
Section 2.1. Custodian to Act as Agent; Acceptance of Mortgage Files. The
Custodian, as the duly appointed agent of the Trustee for these purposes,
acknowledges receipt of the Mortgage Files relating to the Mortgage Loans
identified on the schedule attached hereto (the "Mortgage Files") and declares
that it holds and will hold the Mortgage Files as agent for the Trustee, in
trust, for the use and benefit of all present and future Certificateholders.
Section 2.2. Recordation of Assignments. If any Mortgage File includes
one or more assignments to the Trustee of Mortgage Notes and related Mortgages
that have not been recorded, each such assignment shall be delivered by the
Custodian to the Company for the purpose of recording it in the appropriate
public office for real property records, and the Company, at no expense to the
Custodian, shall promptly cause to be recorded in the appropriate public office
for real property records each such assignment and, upon receipt thereof from
such public office, shall return each such assignment to the Custodian.
Section 2.3. Review of Mortgage Files.
(a) On or prior to the Closing Date, the Custodian shall deliver to the
Trustee an Initial Certification in the form annexed hereto as Exhibit One
evidencing receipt of a Mortgage File for each Mortgage Loan listed on the
Schedule attached hereto (the "Mortgage Loan Schedule").
(b) Within 45 days of the initial issuance of the Certificates, the
Custodian agrees, for the benefit of Certificateholders, to review, in
accordance with the provisions of Section 2.02 of the Pooling Agreement, each
Mortgage File, and shall deliver to the Trustee an Interim Certification in the
form annexed hereto as Exhibit Two to the effect that all documents required to
be delivered pursuant to Section 2.01(b) of the Pooling Agreement have been
executed and received and that such documents relate to the Mortgage Loans
identified on the Mortgage Loan Schedule, except for any exceptions listed on
Schedule A attached to such Interim Certification. In the event that any
Mortgage Note or Assignment of Mortgage has been delivered to the Custodian by
the Company in blank, the Custodian, upon the direction of the Company, shall
cause each such Mortgage Note to be endorsed to the Trustee and each such
Assignment of Mortgage to be completed in the name of the Trustee prior to the
date on which such Interim Certification is delivered to the Trustee. Within 45
days of receipt of the documents required to be delivered pursuant to Section
2.01(c) of the Pooling Agreement, the Custodian agrees, for the benefit of
Certificateholders, to review, in accordance with the provisions of Section 2.02
of the Pooling Agreement, each such document, and shall deliver to the Trustee
either (i) an Interim Certification in the form attached hereto as Exhibit Two
to the effect that all such documents relate to the Mortgage Loans identified on
the Mortgage Loan Schedule, except for any exceptions listed on Schedule A
attached to such Interim Certification or (ii) a Final Certification as set
forth in subsection (c) below. The Custodian shall be under no duty or
obligation to inspect, review or examine said documents, instruments,
certificates or other papers to determine that the same are genuine,
enforceable, or appropriate for the represented purpose or that they have
actually been recorded or that they are other than what they purport to be on
their face. If in performing the review required by this Section 2.3 the
Custodian finds any document or documents constituting a part of a Mortgage File
to be defective in any material respect, the Custodian shall promptly so notify
the Company, the Master Servicer and the Trustee. Upon receipt of written
notification from the Master Servicer, signed by a Servicing Officer, that the
Master Servicer or a Subservicer, as the case may be, has made a deposit into
the Certificate Account in payment for the purchase of the related Mortgage Loan
in an amount equal to the Purchase Price for such Mortgage Loan, the Custodian
shall release to the Master Servicer the related Mortgage File.
(c) Upon receipt of all documents required to be in the Mortgage Files the
Custodian shall deliver to the Trustee a Final Certification in the form annexed
hereto as Exhibit Three evidencing the completeness of the Mortgage Files.
Upon receipt of written request from the Trustee, the Custodian
shall as soon as practicable supply the Trustee with a list of all of the
documents relating to the Mortgage Loans then contained in the Mortgage Files.
Section 2.4. Notification of Breaches of Representations and Warranties.
Upon discovery by the Custodian of a breach of any representation or warranty
made by the Master Servicer or the Company as set forth in the Pooling Agreement
or by a Seller in a Seller's Agreement or by Residential Funding or the Company
in the Assignment Agreement with respect to a Mortgage Loan relating to a
Mortgage File, the Custodian shall give prompt written notice to the Company,
the Master Servicer and the Trustee.
Section 2.5. Custodian to Cooperate; Release of Mortgage Files. Upon
the repurchase or substitution of any Mortgage Loan pursuant to Article II of
the Pooling Agreement or payment in full of any Mortgage Loan, or the receipt by
the Master Servicer of a notification that payment in full will be escrowed in a
manner customary for such purposes, the Master Servicer shall immediately notify
the Custodian by a certification (which certification shall include a statement
to the effect that all amounts received or to be received in connection with
such payment which are required to be deposited in the Custodial Account
pursuant to Section 3.07 of the Pooling Agreement have been or will be so
deposited) of a Servicing Officer and shall request delivery to it of the
Mortgage File. The Custodian agrees, upon receipt of such certification and
request, promptly to release to the Master Servicer the related Mortgage File.
The Master Servicer shall deliver to the Custodian and the Custodian agrees to
accept the Mortgage Note and other documents constituting the Mortgage File with
respect to any Qualified Substitute Mortgage Loan.
From time to time as is appropriate for the servicing or
foreclosures of any Mortgage Loan, including, for this purpose, collection under
any Primary Insurance Policy or any Mortgage Pool Insurance Policy, the Master
Servicer shall deliver to the Custodian a certificate of a Servicing Officer
requesting that possession of the Mortgage File be released to the Master
Servicer and certifying as to the reason for such release and that such release
will not invalidate any insurance coverage provided in respect of the Mortgage
Loan under any of the Required Insurance Policies. With such certificate, the
Master Servicer shall deliver to the Custodian a trust receipt signed by a
Servicing Officer on behalf of the Master Servicer, and upon receipt of the
foregoing, the Custodian shall deliver the Mortgage File to the Master Servicer.
The Master Servicer shall cause each Mortgage File so released to be returned to
the Custodian when the need therefor by the Master Servicer no longer exists,
unless (i) the Mortgage Loan has been liquidated and the Liquidation Proceeds
relating to the Mortgage Loan have been deposited in the Custodial Account or
(ii) the Mortgage File or any document therein has been delivered to an
attorney, or to a public trustee or other public official as required by law,
for purposes of initiating or pursuing legal action or other proceedings for the
foreclosure of the Mortgaged Property either judicially or non-judicially, and
the Master Servicer has delivered to the Custodian a certificate of a Servicing
Officer certifying as to the name and address of the Person to which such
Mortgage File or such document was delivered and the purpose or purposes of such
delivery. In the event of the liquidation of a Mortgage Loan, the Custodian
shall deliver the Trust Receipt with respect thereto to the Master Servicer upon
deposit of the related Liquidation Proceeds in the Custodial Account as provided
in the Pooling Agreement. In addition, upon the request of the Master Servicer,
the Custodian will send to the Master Servicer copies of any documents contained
in the Mortgage File so requested.
Section 2.6. Assumption Agreements. In the event that any assumption
agreement or substitution of liability agreement is entered into with respect to
any Mortgage Loan subject to this Agreement in accordance with the terms and
provisions of the Pooling Agreement, the Master Servicer shall notify the
Custodian that such assumption or substitution agreement has been completed by
forwarding to the Custodian the original of such assumption or substitution
agreement, which shall be added to the related Mortgage File and, for all
purposes, shall be considered a part of such Mortgage File to the same extent as
all other documents and instruments constituting parts thereof.
ARTICLE III
Concerning the Custodian
Section 3.1. Custodian a Bailee and Agent of the Trustee. With respect
to each Mortgage Note, Mortgage and other documents constituting each Mortgage
File which are delivered to the Custodian, the Custodian is exclusively the
bailee and agent of the Trustee and has no instructions to hold any Mortgage
Note or Mortgage for the benefit of any person other than the Trustee, holds
such documents for the benefit of Certificateholders and undertakes to perform
such duties and only such duties as are specifically set forth in this
Agreement. Except upon compliance with the provisions of Section 2.5 of this
Agreement, no Mortgage Note, Mortgage or other document constituting a part of a
Mortgage File shall be delivered by the Custodian to the Company or the Master
Servicer or otherwise released from the possession of the Custodian.
Section 3.2. Indemnification. The Company hereby agrees to indemnify
and hold the Custodian harmless from and against all claims, liabilities,
losses, actions, suits or proceedings at law or in equity, or any other
expenses, fees or charges of any character or nature, which the Custodian may
incur or with which the Custodian may be threatened by reason of its acting as
custodian under this Agreement, including indemnification of the Custodian
against any and all expenses, including attorney's fees if counsel for the
Custodian has been approved by the Company, and the cost of defending any
action, suit or proceedings or resisting any claim. Notwithstanding the
foregoing, it is specifically understood and agreed that in the event any such
claim, liability, loss, action, suit or proceeding or other expense, fee or
charge shall have been caused by reason of any negligent act, negligent failure
to act or willful misconduct on the part of the Custodian, or which shall
constitute a willful breach of its duties hereunder, the indemnification
provisions of this Agreement shall not apply.
Section 3.3. Custodian May Own Certificates. The Custodian in its
individual or any other capacity may become the owner or pledgee of Certificates
with the same rights it would have if it were not Custodian.
Section 3.4. Master Servicer to Pay Custodian's Fees and Expenses. The
Master Servicer covenants and agrees to pay to the Custodian from time to time,
and the Custodian shall be entitled to, reasonable compensation for all services
rendered by it in the exercise and performance of any of the powers and duties
hereunder of the Custodian, and the Master Servicer will pay or reimburse the
Custodian upon its request for all reasonable expenses, disbursements and
advances incurred or made by the Custodian in accordance with any of the
provisions of this Agreement (including the reasonable compensation and the
expenses and disbursements of its counsel and of all persons not regularly in
its employ), except any such expense, disbursement or advance as may arise from
its negligence or bad faith.
Section 3.5. Custodian May Resign; Trustee May Remove Custodian. The
Custodian may resign from the obligations and duties hereby imposed upon it as
such obligations and duties relate to its acting as Custodian of the Mortgage
Loans. Upon receiving such notice of resignation, the Trustee shall either take
custody of the Mortgage Files itself and give prompt notice thereof to the
Company, the Master Servicer and the Custodian, or promptly appoint a successor
Custodian by written instrument, in duplicate, one copy of which instrument
shall be delivered to the resigning Custodian and one copy to the successor
Custodian. If the Trustee shall not have taken custody of the Mortgage Files and
no successor Custodian shall have been so appointed and have accepted
appointment within 30 days after the giving of such notice of resignation, the
resigning Custodian may petition any court of competent jurisdiction for the
appointment of a successor Custodian.
The Trustee may remove the Custodian at any time. In such event, the
Trustee shall appoint, or petition a court of competent jurisdiction to appoint,
a successor Custodian hereunder. Any successor Custodian shall be a depository
institution subject to supervision or examination by federal or state authority
and shall be able to satisfy the other requirements contained in Section 3.7 and
shall be unaffiliated with the Master Servicer or the Company.
Any resignation or removal of the Custodian and appointment of a successor
Custodian pursuant to any of the provisions of this Section 3.5 shall become
effective upon acceptance of appointment by the successor Custodian. The Trustee
shall give prompt notice to the Company and the Master Servicer of the
appointment of any successor Custodian. No successor Custodian shall be
appointed by the Trustee without the prior approval of the Company and the
Master Servicer.
Section 3.6. Merger or Consolidation of Custodian. Any Person into which
the Custodian may be merged or converted or with which it may be consolidated,
or any Person resulting from any merger, conversion or consolidation to which
the Custodian shall be a party, or any Person succeeding to the business of the
Custodian, shall be the successor of the Custodian hereunder, without the
execution or filing of any paper or any further act on the part of any of the
parties hereto, anything herein to the contrary notwithstanding.
Section 3.7. Representations of the Custodian. The Custodian hereby
represents that it is a depository institution subject to supervision or
examination by a federal or state authority, has a combined capital and surplus
of at least $10,000,000 and is qualified to do business in the jurisdictions in
which it will hold any Mortgage File.
ARTICLE IV
Miscellaneous Provisions
Section 4.1. Notices. All notices, requests, consents and demands and
other communications required under this Agreement or pursuant to any other
instrument or document delivered hereunder shall be in writing and, unless
otherwise specifically provided, may be delivered personally, by telegram or
telex, or by registered or certified mail, postage prepaid, return receipt
requested, at the addresses specified on the signature page hereof (unless
changed by the particular party whose address is stated herein by similar notice
in writing), in which case the notice will be deemed delivered when received.
Section 4.2. Amendments. No modification or amendment of or supplement to
this Agreement shall be valid or effective unless the same is in writing and
signed by all parties hereto, and neither the Company, the Master Servicer nor
the Trustee shall enter into any amendment hereof except as permitted by the
Pooling Agreement. The Trustee shall give prompt notice to the Custodian of any
amendment or supplement to the Pooling Agreement and furnish the Custodian with
written copies thereof.
Section 4.3. Governing Law. This Agreement shall be deemed a contract made
under the laws of the State of New York and shall be construed and enforced in
accordance with and governed by the laws of the State of New York.
Section 4.4. Recordation of Agreement. To the extent permitted by
applicable law, this Agreement is subject to recordation in all appropriate
public offices for real property records in all the counties or other comparable
jurisdictions in which any or all of the properties subject to the Mortgages are
situated, and in any other appropriate public recording office or elsewhere,
such recordation to be effected by the Master Servicer and at its expense on
direction by the Trustee (pursuant to the request of holders of Certificates
evidencing undivided interests in the aggregate of not less than 25% of the
Trust Fund), but only upon direction accompanied by an Opinion of Counsel
reasonably satisfactory to the Master Servicer to the effect that the failure to
effect such recordation is likely to materially and adversely affect the
interests of the Certificateholders.
For the purpose of facilitating the recordation of this Agreement as
herein provided and for other purposes, this Agreement may be executed
simultaneously in any number of counterparts, each of which counterparts shall
be deemed to be an original, and such counterparts shall constitute but one and
the same instrument.
Section 4.5. Severability of Provisions. If any one or more of the
covenants, agreements, provisions or terms of this Agreement shall be for any
reason whatsoever held invalid, then such covenants, agreements, provisions or
terms shall be deemed severable from the remaining covenants, agreements,
provisions or terms of this Agreement and shall in no way affect the validity or
enforceability of the other provisions of this Agreement or of the Certificates
or the rights of the holders thereof.
IN WITNESS WHEREOF, this Agreement is executed as of the date first
above written.
Address: BANKERS TRUST COMPANY,
as Trustee
0 Xxxx Xxxxx
Xxxxxx, Xxxxxxxxxx 00000
Attention: Residential Funding Corporation
Series 1998-QS11
By:
Name:
Title:
Address: RESIDENTIAL ACCREDIT LOANS, INC.
0000 Xxxxxxxxxx Xxxx Xxxxxxxxx
Xxxxxxxxxxx, Xxxxxxxxx 00000
By:
Name:
Title: Vice President
Address: RESIDENTIAL FUNDING CORPORATION,
as Master Servicer
0000 Xxxxxxxxxx Xxxx Xxxxxxxxx
Xxxxx 000
Xxxxxxxxxxx, Xxxxxxxxx 00000
By:
Name:
Title: Director
Address: NORWEST BANK MINNESOTA,
NATIONAL ASSOCIATION
000 Xxxxxx Xxxxxx Xxxxx
Xxxxxxxxxxx, Xxxxxxxxx 00000
By:
Name:
Title:
STATE OF )
) ss.:
COUNTY OF )
On the 31st of August, 1998, before me, a notary public in and for said
State, personally appeared , known to me to be a of Bankers Trust Company, the
New York banking corporation that executed the within instrument, and also known
to me to be the person who executed it on behalf of said banking corporation and
acknowledged to me that such banking corporation executed the within instrument.
IN WITNESS WHEREOF, I have hereunto set my hand and affixed my
official seal the day and year in this certificate first above written.
Notary Public
[SEAL]
E-2
STATE OF MINNESOTA )
) ss.:
COUNTY OF HENNEPIN )
On the 31st of August, 1998, before me, a notary public in and for said
State, personally appeared , known to me to be a Trust Officer of Norwest Bank
Minnesota, National Association, a national banking association that executed
the within instrument, and also known to me to be the person who executed it on
behalf of said national banking association, and acknowledged to me that such
national banking association executed the within instrument.
IN WITNESS WHEREOF, I have hereunto set my hand and affixed my
official seal the day and year in this certificate first above written.
Notary Public
[SEAL]
E-3
STATE OF MINNESOTA )
) ss.:
COUNTY OF HENNEPIN )
On the 31st day of August, 1998, before me, a notary public in and for said
State, personally appeared , known to me to be a Vice President of Residential
Accredit Loans, Inc., one of the corporations that executed the within
instrument, and also known to me to be the person who executed it on behalf of
said corporation, and acknowledged to me that such corporation executed the
within instrument.
IN WITNESS WHEREOF, I have hereunto set my hand and affixed my
official seal the day and year in this certificate first above written.
Notary Public
[Notarial Seal]
STATE OF MINNESOTA )
) ss:
COUNTY OF HENNEPIN )
On the 31st day of August, 1998, before me, a notary public in and for said
State, personally appeared , known to me to be a Director of Residential Funding
Corporation, one of the corporations that executed the within instrument, and
also known to me to be the person who executed it on behalf of said corporation,
and acknowledged to me that such corporation executed the within instrument.
IN WITNESS WHEREOF, I have hereunto set my hand and affixed my
official seal the day and year in this certificate first above written.
Notary Public
[Notarial Seal]
E-4
EXHIBIT ONE
FORM OF CUSTODIAN
INITIAL CERTIFICATION
August __, 1998
Bankers Trust Company
0 Xxxx Xxxxx
Xxxxxx, Xxxxxxxxxx 00000
Attention: Residential Accredit Loans, Series 1998-QS11
Re: Custodial Agreement dated as of August 1, 1998, by and among Bankers
Trust Company, Residential Accredit Loans, Inc., Residential Funding Corporation
and Norwest Bank Minnesota, National Association, relating to Residential
Accredit Loans, Inc. Mortgage Asset-Backed Pass-Through Certificates, Series
1998-QS11
Ladies and Gentlemen:
In accordance with Section 2.3 of the above-captioned Custodial
Agreement, and subject to Section 2.02 of the Pooling Agreement, the
undersigned, as Custodian, hereby certifies that it has received a Mortgage File
(which contains an original Mortgage Note) to the extent required in Section
2.01(b) of the Pooling Agreement with respect to each Mortgage Loan listed in
the Mortgage Loan Schedule.
Capitalized words and phrases used herein shall have the respective
meanings assigned to them in the above-captioned Custodial Agreement.
NORWEST BANK MINNESOTA,
NATIONAL ASSOCIATION
By:
Name:
Title:
E-5
EXHIBIT TWO
FORM OF CUSTODIAN INTERIM CERTIFICATION
, 1998
Bankers Trust Company
0 Xxxx Xxxxx
Xxxxxx, Xxxxxxxxxx 00000
Attention: Residential Accredit Loans, Inc. Series 1998-QS11
Re: Custodial Agreement dated as of August 1, 1998, by and among Bankers Trust
Company, Residential Accredit Loans, Inc., Residential Funding Corporation
and Norwest Bank Minnesota, National Association, relating to Residential
Accredit Loans, Inc. Mortgage Asset-Backed Pass-Through Certificates,
Series 1998-QS11
Ladies and Gentlemen:
In accordance with Section 2.3 of the above-captioned Custodial
Agreement, the undersigned, as Custodian, hereby certifies that it has received
a Mortgage File to the extent required pursuant to Section 2.01(b) of the
Pooling Agreement with respect to each Mortgage Loan listed in the Mortgage Loan
Schedule, and it has reviewed the Mortgage File and the Mortgage Loan Schedule
and has determined that: all required documents have been executed and received
and that such documents related to the Mortgage Loans identified on the Mortgage
Loan Schedule, with any exceptions listed on Schedule A attached hereto.
Capitalized words and phrases used herein shall have the respective
meanings assigned to them in the above-captioned Custodial Agreement.
NORWEST BANK MINNESOTA,
NATIONAL ASSOCIATION
By:
Name:
Title:
E-6
EXHIBIT THREE
FORM OF CUSTODIAN FINAL CERTIFICATION
, 1998
Bankers Trust Company
0 Xxxx Xxxxx
Xxxxxx, Xxxxxxxxxx 00000
Attention: Residential Accredit Loans, Inc. Series 1998-QS11
Re: Custodial Agreement dated as of August 1, 1998, by and among Bankers Trust
Company, Residential Accredit Loans, Inc., Residential Funding Corporation
and Norwest Bank Minnesota, National Association, relating to Residential
Accredit Loans Inc. Mortgage Asset-Backed Pass-Through Certificates, Series
1998-QS11
Ladies and Gentlemen:
In accordance with Section 2.3 of the above-captioned Custodial
Agreement, the undersigned, as Custodian, hereby certifies that it has received
a Mortgage File with respect to each Mortgage Loan listed in the Mortgage Loan
Schedule containing (I) with respect to each such Mortgage Loan (other than a
Cooperative Loan):
The original Mortgage Note, endorsed without recourse to the order of
the Trustee and showing an unbroken chain of endorsements from the originator
thereof to the Person endorsing it to the Trustee or an original lost note
affidavit from the related Seller or Residential Funding stating that the
original Mortgage Note was lost, misplaced or destroyed, together with a copy of
the related Mortgage Note;
The original Mortgage with evidence of recording indicated thereon or
a copy of the Mortgage certified by the public recording office in which such
mortgage has been recorded;
An original Assignment of the Mortgage to the Trustee with evidence
of recording indicated thereon or a copy of such assignment certified by the
public recording office in which such assignment has been recorded;
With respect to each Mortgage Loan other than a Cooperative Loan, the
original recorded assignment or assignments of the Mortgage showing an unbroken
chain of title from the originator thereof to the Person assigning it to the
Trustee or a copy of such assignment or assignments of the Mortgage certified by
the public recording office in which such assignment or assignments have been
recorded; and
The original of each modification, assumption agreement or preferred
loan agreement, if any, relating to such Mortgage Loan or a copy of each
modification, assumption agreement or preferred loan agreement certified by the
public recording office in which such document has been recorded;
and (II) with respect to each Cooperative Loan so assigned:
The original Mortgage Note, endorsed without recourse to the order of
the Trustee and showing an unbroken chain of endorsements from the originator
thereof to the Person endorsing it to the Trustee, or with respect to any
Destroyed Mortgage Note, an original lost note affidavit from the related Seller
or Residential Funding stating that the original Mortgage Note was lost,
misplaced or destroyed, together with a copy of the related Mortgage Note;
A counterpart of the Cooperative Lease and the Assignment of
Proprietary Lease to the originator of the Cooperative Loan with intervening
assignments showing an unbroken chain of title from such originator to the
Trustee;
The related Cooperative Stock Certificate, representing the related
Cooperative Stock pledged with respect to such Cooperative Loan, together with
an undated stock power (or other similar instrument) executed in blank;
The original recognition agreement by the Cooperative of the
interests of the mortgagee with respect to the related Cooperative Loan;
The Security Agreement;
Copies of the original UCC-1 financing statement, and any
continuation statements, filed by the originator of such Cooperative Loan as
secured party, each with evidence of recording thereof, evidencing the interest
of the originator under the Security Agreement and the Assignment of Proprietary
L;
Copies of the filed UCC-3 assignments of the security interest
referenced in clause (vi) above showing an unbroken chain of title from the
originator to the Trustee, each with evidence of recording thereof, evidencing
the interest of the originator under the Security Agreement and the Assignment
of Proprietary Lease;
An executed assignment of the interest of the originator in the
Security Agreement, Assignment of Proprietary Lease and the recognition
agreement referenced in clause (iv) above, showing an unbroken chain of title
from the originator to the Trustee;
The original of each modification, assumption agreement or preferred
loan agreement, if any, relating to such Cooperative Loan; and
An executed UCC-1 financing statement showing the Master Servicer as
debtor, the Company as secured party and the Trustee as assignee and an executed
UCC-1 financing statement showing the Company as debtor and the Trustee as
secured party, each in a form sufficient for filing, evidencing the interest of
such debtors in the Cooperative Loans.
Capitalized words and phrases used herein shall have the respective
meanings assigned to them in the above-captioned Custodial Agreement.
NORWEST BANK MINNESOTA,
NATIONAL ASSOCIATION
By:
Name:
Title:
E-7
EXHIBIT F
MORTGAGE LOAN SCHEDULE
1
RUN ON : 08/21/98 RFC DISCLOSURE SYSTEM RFFSD177-01
AT : 06.30.20 FIXED RATE LOAN LISTING AMORTIZED BALANCE
SERIES : RALI 1998-QS11 CUTOFF : 08/01/98
POOL : 0004319
:
:
POOL STATUS: F
RFC LOAN # S/S CODE PMT TYPE ORIGINAL BAL LOAN FEATURE
ORIG TERM PRINCIPAL BAL # OF UNITS
ADDRESS ORIG RATE ORIGINAL P+I LTV
ADDRESS LINE 2 CURR NET CURRENT P+I VALUE
CITY STATE ZIP LOAN PURP NOTE DATE MI CO CODE
SERVICER LOAN # PROP TYPE 1ST PMT DATE MI CVG
SELLER LOAN # OCCP CODE MATURITY DATE
INVESTOR LOAN #
______________________________________________________________________________
1402835 180/K01 F 39,500.00 ZZ
360 38,748.60 1
0000 XXXXXXX XXXXXX 10.625 365.02 70
10.375 365.02 56,500.00
XXXXXXXXX XX 00000 1 02/09/95 00
0459903233 05 04/01/95 0
3242799 O 03/01/25
0
1433043 028/K01 F 46,350.00 ZZ
360 45,359.63 2
000 XXXXXX XX 10.125 411.04 90
9.875 411.04 51,500.00
XXXXXXXXXX XX 00000 1 08/02/95 04
0459907838 05 10/01/95 25
357618 N 09/01/25
0
1490604 E22/K01 F 136,000.00 ZZ
360 133,460.37 1
000 XXXXX XXXX 8.875 1,082.08 80
8.625 1,082.08 170,000.00
XXXXXXXXXXX XX 00000 1 03/25/96 00
0459972220 05 05/01/96 0
410097562 O 04/01/26
0
1506524 286/286 F 36,900.00 ZZ
360 36,132.84 1
19784 MANSFIELD 9.625 313.65 90
9.375 313.65 41,000.00
XXXXXXX XX 00000 1 04/29/96 10
8274903 05 06/01/96 25
1
8274903 N 05/01/26
0
1594767 208/G02 F 92,600.00 ZZ
360 91,710.87 1
0000 XXXX XXXX XXXX XX 8.375 703.83 91
8.125 703.83 102,815.00
XXXXXXXXXXX XX 00000 1 06/13/97 01
0430305623 05 08/01/97 25
34236 N 07/01/27
0
1600825 375/G02 F 235,000.00 ZZ
360 234,511.64 1
0000 XX XXXXXX XX 7.875 1,703.91 70
7.625 1,703.91 338,500.00
XXXXXXX XX 00000 4 04/28/98 00
0430882258 05 06/01/98 0
1600825 O 05/01/28
0
1605138 G92/G02 F 460,000.00 ZZ
360 455,974.20 4
10 MONROE COURT 8.683 3,596.83 60
8.433 3,596.83 775,000.00
XXX XXXXX XX 00000 1 08/05/97 00
0430343632 05 10/01/97 0
216436 O 09/01/27
0
1614774 180/G02 F 114,750.00 ZZ
360 113,977.46 1
00000 XXXXXXXX XXXXX 8.625 892.51 90
8.375 892.51 127,500.00
XXXXXXX XX 00000 1 08/26/97 04
0430381079 03 10/01/97 25
12047932 N 09/01/27
0
1623722 074/G02 F 98,000.00 ZZ
360 89,965.75 1
00 XXXXXX XXXXXXX 8.625 762.24 91
8.375 762.24 108,500.00
XXXXXXXX XX 00000 1 08/18/97 01
0430398297 05 10/01/97 30
1580059017 N 09/01/27
0
1
1630374 891/G02 F 98,000.00 ZZ
354 97,714.56 1
0000 XXXXXXXX XXXXX 7.875 713.57 80
7.625 713.57 123,000.00
XXXXXXXXX XX 00000 4 03/31/98 00
0430900613 05 05/01/98 0
970816180 O 10/01/27
0
1642103 830/830 F 144,500.00 ZZ
360 143,525.43 1
00 XXXXX 000 XXXX 8.125 1,072.91 81
7.875 1,072.91 178,500.00
XXXXX XXXX XX 00000 5 10/03/97 11
532600 05 11/01/97 12
532600 O 10/01/27
0
1643151 313/G02 F 121,500.00 ZZ
360 120,835.48 1
000 XXXXXXXX XXXXX 8.625 945.02 90
8.375 945.02 135,000.00
XXXXXXXXXX XX 00000 1 10/23/97 19
0430486894 05 12/01/97 25
6413702 O 11/01/27
0
1648389 K18/G02 F 77,100.00 T
360 76,965.94 1
0000 XXXXXX XXXXX 8.750 606.55 80
8.500 606.55 96,400.00
XXXXXXXXX XX 00000 1 04/30/98 00
0430893735 05 06/01/98 0
95400656 O 05/01/28
0
1649385 B32/G02 F 108,775.00 ZZ
360 108,261.41 1
000 X XXXXXX XX 8.750 855.73 95
8.500 855.73 114,500.00
XXXXXXX XX 00000 2 11/07/97 14
0430504290 05 01/01/98 30
822551 O 12/01/27
0
1649970 K18/G02 F 118,650.00 T
360 118,443.69 1
0000 XXXXXXX XXXXX XXXXX 8.750 933.43 75
8.500 933.43 158,250.00
1
XXXXXXXXX XX 00000 1 04/24/98 00
0430876904 05 06/01/98 0
95400666 O 05/01/28
0
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1750749 637/G02 F 122,400.00 T
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0430930933 03 08/01/98 0
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0410844435 01 07/01/98 0
410844435 O 06/01/28
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1750997 180/G02 F 117,900.00 ZZ
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1751027 K88/G02 F 339,800.00 ZZ
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1751038 G97/G02 F 80,000.00 ZZ
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0430932558 05 09/01/98 0
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1751047 H51/G02 F 55,000.00 ZZ
360 54,967.53 1
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981023229 O 07/01/28
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0
1751069 828/G02 F 85,600.00 ZZ
360 85,542.56 1
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0430891192 05 08/01/98 0
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0
1751073 828/G02 F 85,600.00 ZZ
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0430884759 05 08/01/98 0
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WATERFORD MI 48327 1 06/18/98 00
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2802 TIMBERLANE 8.625 258.23 90
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WICHITA KS 67208 1 04/22/98 04
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703433C O 07/01/28
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SHREWSBURY NJ 07702 1 05/19/98 04
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410734149 N 06/01/28
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6520514 O 04/01/28
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SANTA ANA CA 92705 1 07/01/98 00
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73221 O 08/01/28
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4894NJ001 O 08/01/28
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CARBONDALE CO 80128 1 06/19/98 19
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1
1752586 209/G02 F 240,000.00 ZZ
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HERNDON VA 22071 2 06/17/98 00
0430870071 03 08/01/98 0
981831023 O 07/01/28
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1752588 E58/E58 F 121,500.00 ZZ
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9417361 05 08/01/98 25
9417361 N 07/01/28
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1752592 K88/G02 F 382,000.00 ZZ
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7135 O 08/01/28
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ROLLING MEADOWS IL 60008 1 06/15/98 00
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01981927C O 07/01/28
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WESTLAKE VILLAG CA 91362 1 05/26/98 00
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2621563 O 06/01/28
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1014709 N 05/01/28
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1752797 H13/G02 F 36,900.00 ZZ
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CINCINNATI OH 45205 2 04/29/98 00
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10147080 N 05/01/28
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BEND OR 97701 2 07/02/98 00
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ST LOUIS MO 63139 2 05/14/98 04
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410765077 O 06/01/28
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1
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MIAMI SHORES FL 33138 1 07/09/98 04
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12424 O 07/01/28
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DANVILLE CA 94506 5 07/08/98 00
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61102623 O 08/01/28
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1753499 828/G02 F 64,000.00 ZZ
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85250039 O 07/01/28
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DANIA FL 33004 1 06/30/98 00
0430898460 05 08/01/98 0
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BAY HARBOUR ISL FL 33154 1 06/04/98 00
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00100461887 O 07/01/28
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LONG BEACH CA 90808 5 05/20/98 00
0430916312 05 07/01/98 0
1000011417 O 06/01/28
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1753669 180/G02 F 62,010.00 ZZ
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WINONA MN 55987 1 06/19/98 10
0430911883 05 08/01/98 25
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1753701 700/G02 F 38,800.00 ZZ
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4747 NASA ROAD ONE 8.125 288.09 80
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SEABROOK TX 77586 1 05/28/98 00
0430903278 01 07/01/98 0
126863 N 06/01/28
0
1753742 E22/G02 F 74,000.00 ZZ
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5469 170TH STREET W 8.625 575.56 70
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FARMINGTON MN 55024 2 05/22/98 00
0410865257 05 07/01/98 0
1
410865257 O 06/01/28
0
1753745 E22/G02 F 78,000.00 ZZ
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FORT LAUDERDALE FL 33301 5 05/22/98 00
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410871248 O 06/01/28
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2728 ANTA COURT 8.250 563.45 40
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CARLSBAD CA 92009 5 05/22/98 00
0430846543 01 07/01/98 0
142835 N 06/01/28
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1753760 E22/G02 F 176,000.00 ZZ
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OOLETWAH TN 37363 1 05/28/98 00
0410883235 05 07/01/98 0
410883235 O 06/01/28
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1753772 A37/G02 F 224,000.00 ZZ
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6424 NORTH FAIRFIELD 8.375 1,702.56 85
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0430954537 05 08/01/98 12
98W112648 O 07/01/28
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1753809 E22/G02 F 85,000.00 ZZ
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ROUTE 9 BOX 198 8.000 623.70 48
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BARRINGTON IL 60010 5 05/27/98 00
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410853329 O 06/01/28
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1
1753820 664/G02 F 128,350.00 ZZ
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HENDERSON NV 89015 5 05/19/98 11
0430883165 05 07/01/98 12
2472587 O 06/01/28
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1753919 800/G02 F 123,750.00 ZZ
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ROXBURY MA 02119 5 06/25/98 00
0430904235 05 08/01/98 0
980958 N 07/01/28
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1753920 800/G02 F 123,750.00 ZZ
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ROXBURY MA 02119 5 06/25/98 00
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980957 N 07/01/28
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0430902783 05 09/01/98 0
10149359 O 08/01/23
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1753928 907/G02 F 241,600.00 ZZ
360 241,058.73 2
810 BERGEN BOULEVARD 7.500 1,689.30 80
7.250 1,689.30 302,000.00
FORTLEE NJ 07024 5 04/14/98 00
0430891119 05 06/01/98 0
00 O 05/01/28
0
1753948 455/G02 F 78,640.00 ZZ
360 78,589.85 1
4874 MUIRWOOD DRIVE 8.250 590.80 80
8.000 590.80 98,300.00
1
POWDER SPRINGS GA 30127 1 06/03/98 00
0430842179 05 08/01/98 0
59825 N 07/01/28
0
1754025 992/G02 F 143,000.00 ZZ
360 143,000.00 4
1263 CROES AVENUE 7.875 1,036.85 55
7.625 1,036.85 260,000.00
BRONX NY 10472 5 07/10/98 00
0430923003 05 09/01/98 0
352589 N 08/01/28
0
1754232 A37/G02 F 142,000.00 ZZ
360 141,881.73 1
266 INDIANA AVENUE 8.375 1,079.31 56
8.125 1,079.31 255,000.00
ELMHURST IL 60126 5 05/28/98 00
0430900332 05 08/01/98 0
98W93718 O 07/01/28
0
1754254 A19/G02 F 232,000.00 ZZ
360 232,000.00 1
126 TOTTEN POND ROAD 7.500 1,622.18 80
7.250 1,622.18 290,000.00
WALTHAM MA 02154 1 07/23/98 00
0430921791 05 09/01/98 0
7424 O 08/01/28
0
1754257 A19/G02 F 151,600.00 ZZ
360 151,490.27 2
5 CROSS STREET 7.625 1,073.02 70
7.375 1,073.02 217,000.00
DANVERS MA 01923 2 06/25/98 00
0430882753 05 08/01/98 0
00 O 07/01/28
0
1754258 229/G02 F 54,000.00 ZZ
360 53,964.67 2
828-830 E LANDER 8.125 400.95 90
7.875 400.95 60,000.00
POCATELLO ID 83201 1 06/15/98 01
0430904383 05 08/01/98 25
7996069 N 07/01/28
0
1
1754303 G81/G02 F 45,000.00 ZZ
360 44,968.23 1
864 SW 118 CT 7.750 322.39 45
7.500 322.39 101,000.00
MIAMI FL 33184 2 06/19/98 00
0430884155 05 08/01/98 0
21805134 O 07/01/28
0
1754315 992/G02 F 110,000.00 ZZ
360 110,000.00 4
1262 CROES AVENUE 7.875 797.58 42
7.625 797.58 268,000.00
BRONX NY 10472 5 07/10/98 00
0430923334 05 09/01/98 0
352594 N 08/01/28
0
1754320 549/549 F 533,000.00 ZZ
360 532,257.54 1
403 10TH STREET 8.125 3,957.52 50
7.875 3,957.52 1,075,000.00
SANTA MONICA CA 90402 5 05/13/98 00
64133583 05 07/01/98 0
64133583 N 06/01/28
0
1754362 H81/G02 F 18,900.00 ZZ
360 18,900.00 1
2050 EAST WOOD STREET 8.625 147.01 90
8.375 147.01 21,000.00
DECATUR IL 62521 1 07/07/98 11
0430911669 05 09/01/98 25
WH4431 N 08/01/28
0
1754497 L16/G02 F 78,000.00 ZZ
360 77,955.12 1
3511 GOLD MINE WAY 8.750 613.63 80
8.500 613.63 97,500.00
BOUNTIFUL UT 84010 1 06/29/98 04
0430904821 05 08/01/98 25
1754497 O 07/01/28
0
1754566 G70/G02 F 44,100.00 ZZ
360 44,074.63 1
1
203 UPLAND AVENUE 8.750 346.93 90
8.500 346.93 49,000.00
READING PA 19611 1 06/22/98 01
0430881268 07 08/01/98 25
101183 O 07/01/28
0
1754569 A02/G02 F 81,600.00 ZZ
360 81,550.57 1
850 WELLINGTON DRIVE 8.500 627.43 80
#520 8.250 627.43 102,000.00
ELK GROVE VILLA IL 60007 1 06/30/98 00
0430906040 08 08/01/98 0
01970529C O 07/01/28
0
1754771 F30/G02 F 68,500.00 ZZ
360 68,455.19 1
1585 MEADOW LANE 8.125 508.61 65
7.875 508.61 107,000.00
MEADOW VISTA CA 95722 5 06/22/98 00
0430890673 05 08/01/98 0
80433 N 07/01/28
0
1754867 E46/G02 F 189,000.00 ZZ
360 189,000.00 3
19 BLACKWELL AVENUE 7.750 1,354.02 90
7.500 1,354.02 210,000.00
HOPEWELL NJ 08525 1 07/14/98 04
0430953877 05 09/01/98 25
30193 O 08/01/28
0
1754873 L61/G02 F 460,700.00 ZZ
360 460,700.00 1
4325 GRANTHAM COURT 7.875 3,340.40 85
7.625 3,340.40 542,000.00
COLORADO SPRING CO 80906 5 06/29/98 10
0430895581 05 09/01/98 35
9503147 O 08/01/28
0
1754878 B26/G02 F 236,000.00 ZZ
360 236,000.00 2
110-08 101ST AVENUE 9.000 1,898.91 80
8.750 1,898.91 295,000.00
SOUTH RICHMOND NY 11419 1 07/02/98 00
0430907774 05 09/01/98 0
1
1311013302 N 08/01/28
0
1755124 800/G02 F 113,400.00 ZZ
360 113,333.05 1
47 ALLSTON STREET 8.625 882.01 90
8.375 882.01 126,000.00
CHARLESTOWN MA 02129 1 06/25/98 14
0430889261 05 08/01/98 25
980952 N 07/01/28
0
1755240 758/G02 F 56,000.00 ZZ
360 55,962.42 2
813-815 CONCHO PLACE 8.000 410.91 80
7.750 410.91 70,000.00
COLLEGE STATION TX 77840 1 06/16/98 00
0430880567 05 08/01/98 0
UNKNOWN N 07/01/28
0
1755254 E18/G02 F 129,100.00 ZZ
360 129,017.67 4
125 BROOMALL STREET 8.250 969.89 80
8.000 969.89 161,400.00
FOLSOM PA 19033 1 06/30/98 00
0430905174 05 08/01/98 0
1755254 N 07/01/28
0
1755283 561/561 F 54,000.00 ZZ
360 53,937.63 2
519 MAPLE AVENUE 8.750 424.82 90
8.500 424.82 60,000.00
RAHWAY NJ 07055 1 05/11/98 04
9278544 05 07/01/98 25
9278544 N 06/01/28
0
1755332 637/G02 F 49,770.00 ZZ
360 49,702.98 2
5626 5628 SEVENTH AVENUE 8.000 365.20 79
7.750 365.20 63,300.00
FORT MYERS FL 33907 3 05/04/98 00
0430855205 05 07/01/98 0
8933954 N 06/01/28
0
1
1755382 K13/G02 F 227,000.00 ZZ
360 226,839.78 1
11545 ANDASOL AVENUE 7.750 1,626.26 77
7.500 1,626.26 295,000.00
GRANADA HILLS CA 91344 2 06/02/98 00
0430885475 05 08/01/98 0
39805267 O 07/01/28
0
1755397 963/G02 F 62,550.00 ZZ
360 62,513.07 1
3028 11TH AVENUE NORTH 8.625 486.51 90
8.375 486.51 69,500.00
ST. PETERSBURG FL 33713 1 06/24/98 01
0430885103 05 08/01/98 25
980570 N 07/01/28
0
1755432 808/G02 F 380,000.00 ZZ
360 379,461.86 1
16141 SANTA BARBARA LANE 7.750 2,722.37 43
7.500 2,722.37 900,000.00
HUNTINGTON BEAC CA 92649 5 05/11/98 00
0430860825 03 07/01/98 0
9305114 O 06/01/28
0
1755434 808/G02 F 126,550.00 ZZ
360 126,361.57 1
2963 PLAYER LANE 7.500 884.86 80
7.250 884.86 158,233.00
TUSTIN CA 92782 1 05/22/98 00
0430919480 01 07/01/98 0
9304965 O 06/01/28
0
1755445 808/G02 F 146,000.00 ZZ
360 145,813.16 1
1217 LUZERN STREET 8.250 1,096.85 80
8.000 1,096.85 183,000.00
SEASIDE CA 93955 5 05/14/98 00
0430914077 05 07/01/98 0
9305008 N 06/01/28
0
1755447 808/G02 F 125,950.00 ZZ
360 125,777.39 1
11718 VULTEE STREET 8.000 924.18 90
7.750 924.18 140,000.00
1
DOWNEY CA 90241 1 05/13/98 10
0430914119 05 07/01/98 25
9304964 N 06/01/28
0
1755449 808/G02 F 46,170.00 ZZ
360 46,112.40 1
3669 FALLIS CIRCLE 8.375 350.93 80
8.125 350.93 57,714.00
SACRAMENTO CA 95832 5 05/13/98 00
0430916676 05 07/01/98 0
9201854 N 06/01/28
0
1755586 624/G02 F 137,600.00 ZZ
360 137,512.26 1
6557 DELBARTON STREET 8.250 1,033.74 80
8.000 1,033.74 172,000.00
SAN DIEGO CA 92120 1 06/19/98 00
0430885590 05 08/01/98 0
37001980143 O 07/01/28
0
1755589 927/G02 F 52,600.00 ZZ
360 52,564.70 1
3140 H VAN TEYLINGEN DRIVE 8.000 385.97 76
7.750 385.97 70,000.00
COLORADO SPRING CO 80917 2 06/18/98 00
0430917740 01 08/01/98 0
UNKNOWN N 07/01/28
0
1755590 927/G02 F 53,000.00 ZZ
360 52,964.43 1
3485 E REBECCA LANE 8.000 388.90 75
7.750 388.90 71,000.00
COLORADO SPRING CO 80917 2 06/18/98 00
0430917211 01 08/01/98 0
UNKNOWN N 07/01/28
0
1755591 927/G02 F 56,700.00 ZZ
360 56,661.95 1
3220 M VAN TEYLINGEN DRIVE 8.000 416.05 74
7.750 416.05 77,000.00
COLORADO SPRING CO 80917 2 06/18/98 00
0430917757 01 08/01/98 0
UNKNOWN N 07/01/28
0
1
1755592 927/G02 F 57,600.00 ZZ
360 57,561.35 1
3425 C REBECCA LANE 8.000 422.65 75
7.750 422.65 77,000.00
COLORADO SPRING CO 80917 2 06/18/98 00
0430917195 01 08/01/98 0
UNKNOWN N 07/01/28
0
1755634 B75/G02 F 100,800.00 ZZ
360 100,605.83 1
11096 N 109TH STREET 8.250 757.28 80
8.000 757.28 126,000.00
SCOTTSDALE AZ 85259 1 04/30/98 00
0430929901 03 06/01/98 0
7749203 O 05/01/28
0
1755673 134/G02 F 88,000.00 ZZ
360 88,000.00 1
3010 HARRIS DRIVE 7.750 630.45 80
7.500 630.45 110,000.00
JOLIET IL 60431 1 07/01/98 00
0430905455 03 09/01/98 0
7331709 O 08/01/28
0
1755696 G10/G02 F 57,600.00 ZZ
360 57,535.16 1
710 SILVERS PINES 8.875 458.30 90
8.625 458.30 64,000.00
HOUSTON TX 77062 1 05/08/98 04
0430883124 05 07/01/98 25
XB8029055 N 06/01/28
0
1755703 G10/G02 F 47,700.00 ZZ
360 47,646.30 1
318 PLYMOUTH 8.875 379.53 90
8.625 379.53 53,000.00
HOUSTON TX 77022 1 05/08/98 10
0430883116 05 07/01/98 25
XB8029075 N 06/01/28
0
1755705 B75/G02 F 27,500.00 ZZ
360 27,468.25 1
1
200 SOUTH BECKY WAY 8.750 216.34 22
8.500 216.34 130,000.00
WATERFORD CA 95386 2 05/04/98 00
0430874206 05 07/01/98 0
7704265 N 06/01/28
0
1755778 H51/G02 F 156,100.00 ZZ
360 156,100.00 1
2035 WICKFORD CT 8.375 1,186.47 70
8.125 1,186.47 223,000.00
BLOOMFIELD TWP MI 48034 2 07/09/98 00
0430923789 05 09/01/98 0
981023317 O 08/01/28
0
1755786 F30/G02 F 63,900.00 ZZ
360 63,859.25 1
24 WOODWARD STREET 8.250 480.06 90
8.000 480.06 71,000.00
SILVER PLUME CO 80476 1 06/23/98 01
0430878041 05 08/01/98 25
31709 N 07/01/28
0
1755793 874/G02 F 96,000.00 ZZ
360 95,932.24 1
1900 LARCH ROAD 7.750 687.76 60
7.500 687.76 160,000.00
RENO NV 89502 5 06/23/98 00
0430911578 05 08/01/98 0
3730478 O 07/01/28
0
1755806 965/G02 F 60,500.00 ZZ
360 60,426.44 1
4899 SOUTH DUDLEY STREET #G12 8.500 465.19 90
8.250 465.19 67,250.00
DENVER CO 80123 1 05/29/98 10
0430883181 01 07/01/98 25
0 O 06/01/28
0
1755840 E67/G02 F 100,000.00 ZZ
360 99,925.79 1
545 NW 10TH STREET 7.500 699.21 73
7.250 699.21 137,000.00
REDMOND OR 97756 1 06/09/98 00
0430894196 05 08/01/98 0
1
150021015 O 07/01/28
0
1755842 687/G02 F 78,300.00 ZZ
360 78,253.77 1
3223 MULBERRY DRIVE 8.625 609.01 90
8.375 609.01 87,000.00
CLEARWATER FL 33761 1 06/30/98 01
0430909945 05 08/01/98 25
1692097 N 07/01/28
0
1756061 A19/G02 F 83,000.00 ZZ
360 83,000.00 3
50-52 ROCKAWAY STREET 8.375 630.86 65
8.125 630.86 129,000.00
LYNN MA 01905 2 07/14/98 00
0430920710 05 09/01/98 0
00 N 08/01/28
0
1756136 L84/G02 F 75,000.00 ZZ
360 74,944.34 1
7067 SHADYGROVE STREET 7.500 524.41 80
7.250 524.41 94,000.00
TUJUNGA CA 91042 1 06/17/98 00
0430895516 05 08/01/98 0
1756136 O 07/01/28
0
1756168 638/G02 F 85,500.00 ZZ
360 85,401.26 1
4264 12TH STREET 8.750 672.63 90
8.500 672.63 95,000.00
RIVERSIDE CA 92501 1 05/14/98 10
0430843979 05 07/01/98 25
08745653 O 06/01/28
0
1756198 J86/G02 F 338,250.00 ZZ
360 338,034.31 1
19 FOX BORO ROAD 8.250 2,541.16 75
8.000 2,541.16 451,000.00
WAYNE NJ 07470 1 06/30/98 00
0430887364 05 08/01/98 0
GREGOM0167NJ001 O 07/01/28
0
1
1756225 455/G02 F 63,000.00 ZZ
360 62,961.83 1
1486 BENTLEY LANE 8.500 484.42 90
8.250 484.42 70,000.00
MARIETTA GA 30067 2 06/11/98 01
0430853564 05 08/01/98 25
59621 N 07/01/28
0
1756227 F03/G02 F 98,000.00 ZZ
360 98,000.00 1
4527 E. TANGLEWOOD 8.000 719.09 80
7.750 719.09 122,500.00
PHOENIX AZ 85044 1 07/01/98 00
0430897645 03 09/01/98 0
AZN10060 O 08/01/28
0
1756238 896/G02 F 130,000.00 ZZ
360 129,908.24 1
3607 HERSHEY LANE 7.750 931.34 72
7.500 931.34 182,000.00
TUCKER GA 30084 2 06/19/98 00
0430884809 05 08/01/98 0
14571 O 07/01/28
0
1756246 E97/G02 F 1,000,000.00 ZZ
360 999,409.60 3
4160 WAILAPA ROAD 8.625 7,777.90 28
8.375 7,777.90 3,600,000.00
KILAUEA HI 96754 5 06/25/98 00
0430886838 05 08/01/98 0
983450 O 07/01/28
0
1756292 874/G02 F 39,400.00 ZZ
360 39,374.23 1
2555 CLEARACRE LANE 8.125 292.54 95
#82-1 7.875 292.54 41,500.00
RENO NV 89512 1 06/18/98 10
0430891945 01 08/01/98 30
3730787 O 07/01/28
0
1756294 874/G02 F 84,600.00 ZZ
360 84,543.24 1
1627 WESTFIELD AVENUE 8.000 620.76 90
7.750 620.76 94,000.00
1
RENO NV 89509 1 06/19/98 10
0430892349 05 08/01/98 25
3730761 N 07/01/28
0
1756303 561/561 F 45,900.00 ZZ
360 45,845.60 1
5150 PRIMROSE LANE 8.625 357.01 90
8.375 357.01 51,000.00
INDIANAPOLIS IN 46205 1 05/08/98 10
0009347774 05 07/01/98 25
0009347774 N 06/01/28
0
1756325 M34/G02 F 181,000.00 T
360 180,677.11 1
0140 MONTE CRISTO 8.625 1,407.80 64
8.375 1,407.80 285,000.00
BRECKENRIDGE CO 80424 5 04/28/98 00
0430885749 05 06/01/98 0
980127 O 05/01/28
0
1756364 L16/G02 F 102,700.00 E
360 102,643.90 1
4400 GULF BLVD., UNIT 205 9.000 826.35 69
8.750 826.35 149,000.00
SOUTH PADRE ISL TX 78597 1 06/19/98 00
0430903674 04 08/01/98 0
1756364 N 07/01/28
0
1756384 313/G02 F 164,000.00 ZZ
360 163,278.96 1
451 SMOKETREE LANE 7.750 1,174.92 80
7.500 1,174.92 205,000.00
BARTLETT IL 60103 1 05/29/98 00
0430884668 05 07/01/98 0
6554042 O 06/01/28
0
1756430 E40/G02 F 150,000.00 ZZ
360 149,904.35 1
270 CLIFF DRIVE 8.250 1,126.90 72
8.000 1,126.90 209,000.00
NORTH ATTLEBORO MA 02760 1 06/25/98 00
0430888107 05 08/01/98 0
599000112 O 07/01/28
0
1
1756448 229/G02 F 85,500.00 ZZ
360 85,441.15 1
1006 GOLDEN WEST WAY 7.875 619.94 90
7.625 619.94 95,000.00
LUSBY MD 20657 1 06/25/98 10
0430926659 03 08/01/98 25
16040578 N 07/01/28
0
1756464 129/G02 F 51,845.00 ZZ
360 51,810.21 1
12540 RICH STREET 8.000 380.42 48
7.750 380.42 110,000.00
GRAND HAVEN MI 49417 2 06/24/98 00
0430908061 05 08/01/98 0
3500177880 O 07/01/28
0
1756513 H13/G02 F 50,000.00 ZZ
360 49,970.49 4
1729 GRAND AVENUE 8.625 388.89 77
8.375 388.89 65,000.00
CINCINNATI OH 45214 1 06/25/98 00
0430923151 05 08/01/98 0
10154491 N 07/01/28
0
1756523 H13/G02 F 50,000.00 ZZ
360 49,970.49 4
1733 GRAND AVENUE 8.625 388.89 77
8.375 388.89 65,000.00
CINCINNATI OH 45214 1 06/25/98 00
0430923227 05 08/01/98 0
10154483 N 07/01/28
0
1756664 B75/G02 F 390,000.00 ZZ
360 389,731.61 1
6330 S.W. 147TH TERRACE 7.875 2,827.77 65
7.625 2,827.77 600,000.00
MIAMI FL 33158 5 06/19/98 00
0430907683 05 08/01/98 0
7709835 O 07/01/28
0
1756667 624/G02 F 216,000.00 ZZ
360 215,847.55 1
1
4271 DRYBED COURT 7.750 1,547.45 80
7.500 1,547.45 270,000.00
SANTA CLARA CA 95054 5 06/23/98 00
0430916411 09 08/01/98 0
87021980023 O 07/01/28
0
1756680 F18/G02 F 122,500.00 ZZ
360 122,417.80 1
13208 POTTS DRIVE 8.000 898.87 70
7.750 898.87 175,000.00
SAN JOSE CA 95111 5 06/19/98 00
0430891341 05 08/01/98 0
1756680 O 07/01/28
0
1756681 F18/G02 F 105,000.00 ZZ
360 105,000.00 1
2839 CALIFORNIA STREET 8.750 826.04 70
8.500 826.04 150,000.00
BERKELEY CA 94703 5 07/10/98 00
0430954511 05 09/01/98 0
1756681 O 08/01/28
0
1756692 K71/K71 F 160,000.00 ZZ
360 159,470.80 1
12431 ALPINE DRIVE 7.000 1,064.48 76
6.750 1,064.48 213,000.00
ANCHORAGE AK 99516 2 05/29/98 00
436353 05 07/01/98 0
436353 O 06/01/28
0
1756698 737/G02 F 120,600.00 ZZ
360 120,453.36 1
7826 W DREYFUS DRIVE 8.500 927.31 90
8.250 927.31 134,000.00
PEORIA AZ 85345 1 05/26/98 10
0430898973 05 07/01/98 25
515420 N 06/01/28
0
1756702 180/G02 F 112,050.00 ZZ
360 111,920.59 4
118 EAST INGRAM STREET 8.750 881.50 91
8.500 881.50 124,000.00
MESA AZ 85201 1 05/15/98 01
0430869685 05 07/01/98 25
1
0012749206 N 06/01/28
0
1756771 H13/G02 F 50,000.00 ZZ
360 49,970.49 4
1737 GRAND AVENUE 8.625 388.89 77
8.375 388.89 65,000.00
CINCINNATI OH 45214 1 06/25/98 00
0430923219 05 08/01/98 0
10154506 N 07/01/28
0
1756781 G92/G02 F 128,500.00 ZZ
360 128,402.22 1
2674 BAL HARBOR LANE 7.375 887.52 79
7.125 887.52 164,000.00
HAYWARD CA 94545 2 05/29/98 00
0430898031 05 08/01/98 0
280379 O 07/01/28
0
1756791 180/G02 F 48,600.00 ZZ
360 48,569.01 2
623 BETHEL ROAD 8.250 365.12 90
8.000 365.12 54,000.00
NORRIS TN 37716 1 06/19/98 04
0430947606 05 08/01/98 25
12467387 N 07/01/28
0
1756814 F30/G02 F 150,000.00 ZZ
360 149,894.13 1
2010 KOLO ROAD 7.750 1,074.62 46
7.500 1,074.62 330,000.00
KILAUEA HI 96754 5 06/23/98 00
0430893693 05 08/01/98 0
15302 O 07/01/28
0
1756857 H81/G02 F 89,600.00 ZZ
360 89,538.33 1
2766 N 88 7.875 649.67 80
7.625 649.67 112,000.00
MILWAUKEE WI 53222 1 06/30/98 00
0430905083 05 08/01/98 0
WH4205 O 07/01/28
0
1
1756898 313/G02 F 87,600.00 ZZ
360 87,545.55 1
8907 BLACK OAK STREET 8.375 665.83 80
8.125 665.83 109,500.00
AUSTIN TX 78729 1 06/26/98 00
0430895391 05 08/01/98 0
6625750 N 07/01/28
0
1756920 134/G02 F 53,000.00 ZZ
360 52,968.71 1
3404 KENSINGTON AVENUE 8.625 412.23 90
8.375 412.23 58,900.00
EVANSVILLE IN 47710 1 07/01/98 14
0430911826 05 08/01/98 25
7333702 N 07/01/28
0
1756946 F66/G02 F 95,850.00 ZZ
360 95,791.93 1
7313 EXMORE STREET 8.500 737.01 90
8.250 737.01 106,500.00
SPRINGFIELD VA 22150 1 06/19/98 01
0430879528 05 08/01/98 25
SPALDING N 07/01/28
0
1756952 F84/G02 F 290,600.00 ZZ
360 290,600.00 2
1968 OCEAN AVENUE 8.625 2,260.26 94
8.375 2,260.26 310,000.00
BROOKLYN NY 11230 1 07/10/98 10
0430938027 05 09/01/98 35
MN0002 O 08/01/28
0
1756978 H22/G02 F 273,000.00 ZZ
360 273,000.00 2
33-11 34TH AVENUE 7.750 1,955.81 80
7.500 1,955.81 345,000.00
ASTORIA NY 11106 5 07/27/98 00
0430955583 07 09/01/98 0
9806014 O 08/01/28
0
1756990 E22/G02 F 49,950.00 ZZ
360 49,924.10 1
6898 REPUBLIC 9.250 410.93 90
9.000 410.93 55,500.00
1
WARREN MI 48091 1 06/08/98 10
0410870364 05 08/01/98 25
410870364 N 07/01/28
0
1757024 E22/G02 F 505,000.00 ZZ
360 504,150.06 1
1890 NORTH OAK LANE 8.375 3,838.36 69
8.125 3,838.36 740,000.00
PROVO UT 84064 2 05/28/98 00
0410886493 05 07/01/98 0
410886493 O 06/01/28
0
1757074 K43/G02 F 145,000.00 T
360 144,900.21 1
4815 EAST MICHIGAN AVENUE 7.875 1,051.35 80
7.625 1,051.35 182,806.00
PHOENIX AZ 85254 1 06/24/98 00
0430903435 03 08/01/98 0
9806001005 O 07/01/28
0
1757090 976/976 F 105,000.00 ZZ
360 104,862.15 1
1408 WEST ROAD 2 SOUTH 8.125 779.63 74
7.875 779.63 142,000.00
CHINO VALLEY AZ 86323 2 05/05/98 00
632431 05 07/01/98 0
632431 O 06/01/28
0
1757093 976/976 F 320,000.00 ZZ
360 319,579.93 1
6855 LANCEWOOD COURT 8.125 2,375.99 87
7.875 2,375.99 368,000.00
SHELBY TOWNSHIP MI 48316 1 05/21/98 11
741495 05 07/01/98 25
741495 O 06/01/28
0
1757095 976/976 F 100,000.00 ZZ
360 99,861.91 1
43480 REVERE DRIVE 7.875 725.07 59
7.625 725.07 171,000.00
BELLEVILLE MI 48111 1 05/11/98 00
5130286 05 07/01/98 0
5130286 O 06/01/28
0
1
1757096 976/976 F 119,920.00 ZZ
360 119,750.16 1
698 E 1250 RD 7.750 859.13 80
7.500 859.13 149,900.00
LAWRENCE KS 66044 1 05/26/98 00
5131348 05 07/01/98 0
5131348 O 06/01/28
0
1757097 976/976 F 76,000.00 ZZ
360 75,785.50 1
2529 SCOTTSDALE 7.625 537.93 80
7.375 537.93 95,500.00
LAWRENCE KS 66047 1 05/29/98 00
5131358 05 07/01/98 0
5131358 O 06/01/28
0
1757101 976/976 F 52,000.00 ZZ
360 51,935.13 1
432 FORREST 8.375 395.24 80
8.125 395.24 65,000.00
LAWRENCE KS 66044 5 05/27/98 00
5131367 05 07/01/98 0
5131367 N 06/01/28
0
1757102 976/976 F 57,600.00 ZZ
360 57,449.00 1
108 ELM 8.500 442.90 90
8.250 442.90 64,000.00
BALDWIN CITY KS 66006 1 05/29/98 11
5131368 05 07/01/98 25
5131368 N 06/01/28
0
1757103 976/976 F 42,000.00 ZZ
360 41,937.45 1
1345 NEW JERSEY 7.500 293.68 59
7.250 293.68 72,000.00
LAWRENCE KS 66044 1 05/29/98 00
5131384 05 07/01/98 0
5131384 O 06/01/28
0
1757104 976/976 F 108,300.00 ZZ
360 108,130.51 1
1
1616 TWIN OAKS DRIVE 7.250 738.80 95
7.000 738.80 114,000.00
CLEBURNE TX 76031 2 05/21/98 11
5132473 05 07/01/98 30
5132473 O 06/01/28
0
1757105 976/976 F 54,000.00 ZZ
360 53,920.06 1
2551 OLEAN STREET 8.000 396.24 90
7.750 396.24 60,000.00
NORFOLK VA 23513 1 05/29/98 04
5133204 05 07/01/98 25
5133204 N 06/01/28
0
1757106 976/976 F 100,000.00 ZZ
360 99,843.51 1
1901 ARLINGTON ARCH DRIVE 7.250 682.18 79
7.000 682.18 127,000.00
VIRGINIA BEACH VA 23464 5 05/13/98 00
5133213 05 07/01/98 0
5133213 O 06/01/28
0
1757108 976/976 F 408,000.00 ZZ
360 407,392.51 1
4561 GARDEN BROOK DRIVE 7.500 2,852.80 68
7.250 2,852.80 600,000.00
CHICO CA 95973 2 05/07/98 00
5140361 05 07/01/98 0
5140361 O 06/01/28
0
1757109 976/976 F 226,400.00 ZZ
360 226,079.34 1
2010 NEW LONDON ROAD 7.750 1,621.96 80
7.500 1,621.96 283,000.00
HAMILTON OH 45013 1 05/29/98 00
5152125 05 07/01/98 0
5152125 O 06/01/28
0
1757110 976/976 F 40,000.00 ZZ
360 39,944.76 1
9795 MESA SPRINGS WAY #94 7.875 290.03 70
7.625 290.03 57,500.00
SAN DIEGO CA 92126 1 05/22/98 00
5152350 01 07/01/98 0
1
5152350 N 06/01/28
0
1757111 976/976 F 58,000.00 ZZ
360 57,865.60 1
8283 WINDSOR AVENUE 7.625 410.53 68
7.375 410.53 86,500.00
HESPERIA CA 92345 1 05/14/98 00
5152374 05 07/01/98 0
5152374 O 06/01/28
0
1757112 976/976 F 114,400.00 ZZ
360 114,229.65 1
6249 CONIFER DRIVE 7.500 799.91 80
WRIGHTWOOD AREA 7.250 799.91 143,000.00
SAN BERNARDINO CA 92397 1 05/13/98 00
5152377 05 07/01/98 0
5152377 O 06/01/28
0
1757113 976/976 F 64,500.00 ZZ
360 64,415.31 1
13917 WAWONA ROAD 8.125 478.92 89
7.875 478.92 72,500.00
APPLE VALLEY CA 92307 1 05/20/98 10
5152380 05 07/01/98 25
5152380 N 06/01/28
0
1757115 976/976 F 198,200.00 ZZ
360 197,897.44 1
10291 CUTTY SARK DRIVE 7.375 1,368.92 80
7.125 1,368.92 247,800.00
HUNTINGTON BEAC CA 92646 1 05/12/98 00
5155506 05 07/01/98 0
5155506 O 06/01/28
0
1757116 976/976 F 125,600.00 T
360 125,412.98 1
7131 EAST SABINO VISTA CIRCLE 7.500 878.22 80
7.250 878.22 157,000.00
TUCSON AZ 85750 1 05/06/98 00
5155887 09 07/01/98 0
5155887 O 06/01/28
0
1
1757117 976/976 F 40,000.00 ZZ
360 39,943.34 1
11363 N. ANWAY ROAD 7.750 286.57 58
7.500 286.57 69,000.00
MARANA AZ 85653 1 05/29/98 00
5155946 05 07/01/98 0
5155946 O 06/01/28
0
1757118 976/976 F 59,250.00 ZZ
360 59,176.08 1
413 W. SHERMAN AVENUE 8.375 450.35 75
8.125 450.35 79,000.00
WILLIAMS AZ 86046 5 05/11/98 00
5157234 05 07/01/98 0
5157234 N 06/01/28
0
1757119 976/976 F 58,300.00 T
360 58,198.46 1
945 HURRICANE DRIVE 8.125 432.88 80
7.875 432.88 72,900.00
LAKE HAVASU CIT AZ 86403 1 05/06/98 00
5157256 05 07/01/98 0
5157256 O 06/01/28
0
1757123 976/976 F 430,000.00 ZZ
360 429,680.87 1
80-80 CHEVY CHASE STREET 7.500 3,006.63 56
7.250 3,006.63 775,000.00
JAMAICA ESTATES NY 11432 5 06/04/98 00
5164369 05 08/01/98 0
5164369 O 07/01/28
0
1757124 976/976 F 84,000.00 ZZ
360 83,880.74 1
1394 EMERSON LANE 7.875 609.06 94
7.625 609.06 90,000.00
MILFORD OH 45150 2 05/21/98 11
5166810 05 07/01/98 30
5166810 O 06/01/28
0
1757125 976/976 F 98,000.00 ZZ
360 97,868.04 1
6281 HUNTCLIFF DRIVE 8.000 719.09 90
7.750 719.09 108,900.00
1
FLOWERY BRANCH GA 30542 1 05/29/98 11
5167720 05 07/01/98 25
5167720 N 06/01/28
0
1757126 976/976 F 72,400.00 ZZ
360 72,307.34 1
3306 COMSTOCK DRIVE 8.250 543.92 90
8.000 543.92 80,500.00
RALEIGH NC 27604 1 05/15/98 10
5168342 03 07/01/98 25
5168342 N 06/01/28
0
1757127 976/976 F 65,250.00 ZZ
360 65,174.63 1
27083 CATAMARAN DRIVE 8.750 513.33 90
8.500 513.33 72,500.00
TEGA CAY SC 29715 1 05/08/98 11
5168390 05 07/01/98 25
5168390 N 06/01/28
0
1757129 976/976 F 82,600.00 ZZ
360 82,261.87 1
1 MAGNOLIA AVENUE 8.000 606.09 56
7.750 606.09 150,000.00
CRESCENT CITY FL 32112 2 01/20/98 00
5170864 05 03/01/98 0
5170864 N 02/01/28
0
1757131 976/976 F 132,000.00 ZZ
360 131,616.39 1
75 MANSION ROAD 7.875 957.10 80
7.625 957.10 165,000.00
SPRINGFIELD PA 19064 2 05/11/98 00
5178640 05 07/01/98 0
5178640 O 06/01/28
0
1757132 976/976 F 40,000.00 ZZ
360 39,926.77 2
2208 A & B LAVERN STREET 8.500 307.57 72
8.250 307.57 56,000.00
ARLINGTON TX 76013 5 04/30/98 00
5182412 05 06/01/98 0
5182412 N 05/01/28
0
1
1757133 976/976 F 178,000.00 ZZ
360 177,747.91 1
7481 SLUG GULCH ROAD 7.750 1,275.22 75
7.500 1,275.22 240,000.00
SOMERSET CA 95684 2 05/22/98 00
5185966 05 07/01/98 0
5185966 O 06/01/28
0
1757136 976/976 F 45,000.00 ZZ
360 44,886.78 1
555 33RD STREET 7.625 318.51 54
7.375 318.51 84,000.00
SPRINGFIELD OR 97478 5 05/13/98 00
5189271 05 07/01/98 0
5189271 N 06/01/28
0
1757137 976/976 F 78,750.00 ZZ
360 78,646.61 1
1068 BETTS STREET N.E. 8.125 584.72 75
7.875 584.72 105,000.00
ALBUQUERQUE NM 87112 5 05/21/98 00
5189805 05 07/01/98 0
5189805 N 06/01/28
0
1757138 976/976 F 99,000.00 ZZ
360 98,870.02 1
3500 FLORIDA STREET N.E. 8.125 735.08 75
7.875 735.08 132,000.00
ALBUQUERQUE NM 87110 5 05/21/98 00
5189806 05 07/01/98 0
5189806 N 06/01/28
0
1757139 976/976 F 93,600.00 ZZ
360 93,460.63 1
199 LOWER SAN PEDRO ROAD 7.500 654.47 80
7.250 654.47 117,000.00
ESPANOLA NM 87532 2 05/08/98 00
5189824 05 07/01/98 0
5189824 N 06/01/28
0
1757142 976/976 F 92,000.00 ZZ
360 91,876.11 1
1
3049 CABANA STREET 8.000 675.07 80
7.750 675.07 115,000.00
MIRA LOMA CA 91752 1 05/21/98 00
5191122 05 07/01/98 0
5191122 O 06/01/28
0
1757143 976/976 F 150,000.00 T
360 149,792.86 1
30 CENTRAL AVENUE 7.875 1,087.61 60
7.625 1,087.61 251,000.00
EAST QUOGUE NY 11942 5 05/14/98 00
5193891 05 07/01/98 0
5193891 O 06/01/28
0
1757144 976/976 F 67,200.00 ZZ
360 66,998.73 1
11794 S.W. 272 TERRACE 8.625 522.68 80
8.375 522.68 84,000.00
MIAMI FL 33032 1 02/13/98 00
5203502 03 04/01/98 0
5203502 N 03/01/28
0
1757146 976/976 F 55,800.00 ZZ
360 55,733.87 1
1366 NE 27TH COURT 8.625 434.01 90
8.375 434.01 62,000.00
POMPANO BEACH FL 33064 1 05/29/98 04
5203668 05 07/01/98 25
5203668 N 06/01/28
0
1757150 976/976 F 94,400.00 ZZ
360 94,285.21 1
502 BROADVIEW DRIVE 8.500 725.86 80
8.250 725.86 118,000.00
SEVERANCE CO 80546 1 05/07/98 00
5205375 05 07/01/98 0
5205375 N 06/01/28
0
1757151 976/976 F 88,000.00 ZZ
360 87,879.00 1
12609 EUDORA STREET 8.250 661.12 80
8.000 661.12 110,000.00
THORNTON CO 80241 5 05/14/98 00
5205376 09 07/01/98 0
1
5205376 N 06/01/28
0
1757152 976/976 F 116,250.00 ZZ
360 116,097.38 1
9707 MANZANITA WAY 8.125 863.16 75
7.875 863.16 155,000.00
COULTERVILLE CA 95311 5 05/11/98 00
5208682 05 07/01/98 0
5208682 O 06/01/28
0
1757155 976/976 F 218,400.00 ZZ
360 217,662.97 1
215 JUNE COURT 7.875 1,583.56 80
7.625 1,583.56 273,000.00
WATSONVILLE CA 95076 1 05/26/98 00
5210735 05 07/01/98 0
5210735 O 06/01/28
0
1757157 976/976 F 138,000.00 ZZ
360 137,814.18 1
53 CONNELL STREET 8.000 1,012.60 63
7.750 1,012.60 220,000.00
BRAINTREE MA 02184 5 05/22/98 00
5211837 05 07/01/98 0
5211837 O 06/01/28
0
1757158 976/976 F 483,300.00 ZZ
360 482,330.62 3
24 BRADFORD STREET 7.875 3,504.27 90
7.625 3,504.27 537,000.00
BOSTON MA 02118 1 05/15/98 04
5212027 05 07/01/98 25
5212027 O 06/01/28
0
1757159 976/976 F 58,500.00 ZZ
360 58,377.97 1
RT 2, 125 RIVER STREET 8.500 449.82 90
8.250 449.82 65,000.00
OKANOGAN WA 98840 1 05/01/98 11
5212674 05 07/01/98 25
5212674 N 06/01/28
0
1
1757161 976/976 F 40,000.00 ZZ
360 39,946.14 1
1113 GRAND BLVD. 8.000 293.51 66
7.750 293.51 61,500.00
HAMILTON OH 45011 5 05/01/98 00
5213385 05 07/01/98 0
5213385 N 06/01/28
0
1757162 976/976 F 62,500.00 ZZ
360 62,431.46 2
1659 CADILLAC LANE 9.000 502.89 90
8.750 502.89 69,500.00
LAS VEGAS NV 89106 1 05/01/98 04
5217772 05 07/01/98 25
5217772 N 06/01/28
0
1757163 976/976 F 55,500.00 ZZ
360 55,425.27 1
4326 SOUTH CALIENTE STREET 8.000 407.24 75
7.750 407.24 74,000.00
LAS VEGAS NV 89119 5 05/01/98 00
5217959 01 07/01/98 0
5217959 O 06/01/28
0
1757167 976/976 F 400,000.00 ZZ
360 399,404.42 1
7819 SOUTH CHATSWORTH COURT 7.500 2,796.86 90
7.250 2,796.86 445,000.00
SANDY UT 84093 1 05/08/98 11
5217992 05 07/01/98 25
5217992 O 06/01/28
0
1757170 976/976 F 56,250.00 ZZ
360 56,181.60 1
1030 EAST BETHANY HOME ROAD #2 8.500 432.52 90
8.250 432.52 62,500.00
PHOENIX AZ 85014 2 05/05/98 11
5225242 01 07/01/98 25
5225242 N 06/01/28
0
1757172 976/976 F 85,000.00 ZZ
360 84,873.43 1
1011 SOUTH ORANGE AVENUE 7.500 594.34 62
7.250 594.34 138,000.00
1
SANTA ANA CA 92701 2 05/07/98 00
5232861 05 07/01/98 0
5232861 O 06/01/28
0
1757173 976/976 F 118,600.00 ZZ
360 118,409.73 1
14739 BELTERRAZA DRIVE 7.125 799.04 80
6.875 799.04 148,271.00
HOUSTON TX 77083 1 05/12/98 00
5233775 03 07/01/98 0
5233775 O 06/01/28
0
1757174 976/976 F 68,000.00 ZZ
360 67,912.96 1
11111 SAGECANYON DRIVE 8.250 510.87 80
8.000 510.87 85,000.00
HOUSTON TX 77089 5 05/28/98 00
5233824 05 07/01/98 0
5233824 N 06/01/28
0
1757175 976/976 F 68,250.00 ZZ
360 68,148.37 1
319 AGUSTA DRIVE 7.500 477.22 75
7.250 477.22 91,000.00
NEWPORT NEWS VA 23601 5 05/22/98 00
5235561 05 07/01/98 0
5235561 O 06/01/28
0
1757177 976/976 F 56,000.00 ZZ
360 55,910.15 1
15-2691 IAO STREET 7.125 377.29 80
6.875 377.29 70,000.00
PAHOA HI 96778 2 05/13/98 00
5237480 05 07/01/98 0
5237480 O 06/01/28
0
1757178 976/976 F 150,000.00 ZZ
360 149,771.00 1
180 EAST 2ND STREET SOUTH 7.375 1,036.02 74
7.125 1,036.02 204,000.00
SNOWFLAKE AZ 85937 5 05/20/98 00
5240806 05 07/01/98 0
5240806 O 06/01/28
0
1
1757179 976/976 F 72,000.00 ZZ
360 71,905.48 1
5715 SOUTH PARK AVENUE 8.125 534.60 80
7.875 534.60 90,000.00
TACOMA WA 98408 5 05/18/98 00
5243066 05 07/01/98 0
5243066 N 06/01/28
0
1757181 976/976 F 68,800.00 ZZ
360 68,709.68 1
420 SOUTH 56TH STREET 8.125 510.84 80
7.875 510.84 86,000.00
TACOMA WA 98408 5 05/18/98 00
5243067 05 07/01/98 0
5243067 N 06/01/28
0
1757183 976/976 F 116,250.00 ZZ
360 116,076.90 1
1429 OLD ORCHARD DRIVE 7.500 812.84 75
7.250 812.84 155,000.00
IRVING TX 75061 1 05/22/98 00
5244803 05 07/01/98 0
5244803 O 06/01/28
0
1757184 976/976 F 146,250.00 ZZ
360 146,032.22 1
5325 MANZANAR AVENUE 7.500 1,022.61 75
7.250 1,022.61 195,000.00
PICO RIVERA CA 90660 1 05/04/98 00
5246357 05 07/01/98 0
5246357 O 06/01/28
0
1757187 976/976 F 62,400.00 ZZ
360 62,248.59 1
2835 BARCELONA ROAD S.W. 8.125 463.32 80
7.875 463.32 78,000.00
ALBUQUERQUE NM 87105 1 05/06/98 00
5248674 05 07/01/98 0
5248674 N 06/01/28
0
1757188 976/976 F 118,800.00 ZZ
360 118,623.11 1
1
300 13TH STREET N.W. 7.500 830.67 80
7.250 830.67 148,500.00
ABQ NM 87104 1 05/21/98 00
5248683 05 07/01/98 0
5248683 O 06/01/28
0
1757189 976/976 F 54,950.00 ZZ
360 54,874.11 1
5012 SAN LUIS PLACE N.W. 7.875 398.43 62
7.625 398.43 89,000.00
ALBUQUERQUE NM 87107 2 05/18/98 00
5248776 05 07/01/98 0
5248776 O 06/01/28
0
1757191 976/976 F 96,000.00 ZZ
360 95,883.27 1
817 PLEASANT 8.500 738.16 80
8.250 738.16 120,000.00
GLEN ELLYN IL 60137 1 05/06/98 00
5249852 05 07/01/98 0
5249852 N 06/01/28
0
1757193 976/976 F 85,600.00 ZZ
360 85,469.32 1
8 MARSH DRIVE 7.375 591.22 80
7.125 591.22 107,000.00
BEAUFORT SC 29902 5 05/06/98 00
5252398 05 07/01/98 0
5252398 O 06/01/28
0
1757195 976/976 F 95,920.00 ZZ
360 95,773.57 1
11308 BOOTHILL DRIVE 7.375 662.50 80
7.125 662.50 119,900.00
AUSTIN TX 78748 1 05/14/98 00
5253131 03 07/01/98 0
5253131 O 06/01/28
0
1757196 976/976 F 131,600.00 ZZ
360 131,408.89 1
11103 SIERRA NEVADA TRAIL 7.625 931.46 80
7.375 931.46 164,500.00
AUSTIN TX 78759 1 05/08/98 00
5253169 05 07/01/98 0
1
5253169 O 06/01/28
0
1757197 976/976 F 84,400.00 ZZ
360 84,289.20 1
1312 CHOQUETTE DRIVE 8.125 626.67 80
7.875 626.67 105,500.00
AUSTIN TX 78757 1 05/26/98 00
5253182 05 07/01/98 0
5253182 N 06/01/28
0
1757198 976/976 F 98,025.00 ZZ
360 97,882.65 1
14 GREENWAY PLAZA 7.625 693.82 75
7.375 693.82 130,700.00
HOUSTON TX 77046 1 05/29/98 00
5253941 06 07/01/98 0
5253941 O 06/01/28
0
1757199 976/976 F 51,000.00 ZZ
360 50,939.55 1
61 HENRY STREET 8.625 396.68 75
8.375 396.68 68,000.00
LAKEWOOD TWP. NJ 08701 5 05/21/98 00
5254522 05 07/01/98 0
5254522 N 06/01/28
0
1757201 976/976 F 127,500.00 ZZ
360 127,405.38 1
23757 VIA KANNELA 7.500 891.50 50
7.250 891.50 255,000.00
SANTA CLARITA CA 91355 1 06/01/98 00
5255105 05 08/01/98 0
5255105 O 07/01/28
0
1757202 976/976 F 92,750.00 ZZ
360 92,621.90 1
912 DUCKHORN COURT 204 7.875 672.51 80
7.625 672.51 115,990.00
LAS VEGAS NV 89134 1 05/11/98 00
5255262 01 07/01/98 0
5255262 N 06/01/28
0
1
1757203 976/976 F 120,000.00 T
360 119,830.05 1
1409 CHAPARRAL SUMMIT DRIVE 7.750 859.70 80
7.500 859.70 150,000.00
LAS VEGAS NV 89117 1 05/12/98 00
5255774 03 07/01/98 0
5255774 O 06/01/28
0
1757204 976/976 F 163,250.00 ZZ
360 162,806.30 1
16185 75TH WAY NORTH 7.500 1,141.47 78
7.250 1,141.47 210,000.00
PALM BEACH GARD FL 33418 2 05/11/98 00
5255843 05 07/01/98 0
5255843 O 06/01/28
0
1757205 976/976 F 54,000.00 ZZ
360 53,921.59 1
2921 LOTUS HILL DRIVE 7.625 382.21 35
7.375 382.21 157,000.00
LAS VEGAS NV 89134 1 05/11/98 00
5255939 03 07/01/98 0
5255939 O 06/01/28
0
1757206 976/976 F 40,100.00 ZZ
360 40,051.23 1
1687 E STREET 8.500 308.34 90
8.250 308.34 44,600.00
LAS VEGAS NV 89106 1 05/13/98 04
5255988 05 07/01/98 25
5255988 N 06/01/28
0
1757207 976/976 F 71,200.00 ZZ
360 71,096.61 1
HALCYON COND,300 BUCK ISLAND 7.625 503.95 80
7.375 503.95 89,000.00
WEST YARMOUTH MA 02673 1 05/14/98 00
5256153 01 07/01/98 0
5256153 O 06/01/28
0
1757208 976/976 F 82,400.00 ZZ
360 82,346.10 2
901-903 NORTH VIRGIL AVENUE 8.125 611.82 80
7.875 611.82 103,000.00
1
LOS ANGELES CA 90029 1 06/01/98 00
5256295 05 08/01/98 0
5256295 N 07/01/28
0
1757209 976/976 F 90,000.00 ZZ
360 89,898.69 2
192 ALLEGHANEY STREET 8.875 716.09 90
8.625 716.09 100,000.00
ROXBURY MA 02119 1 05/15/98 21
5256668 05 07/01/98 25
5256668 N 06/01/28
0
1757212 976/976 F 221,000.00 ZZ
360 220,687.01 1
105 WARREN AVENUE, UNIT 3 7.750 1,583.28 65
7.500 1,583.28 340,000.00
BOSTON MA 02116 5 05/27/98 00
5256943 01 07/01/98 0
5256943 O 06/01/28
0
1757214 976/976 F 130,000.00 ZZ
360 129,806.44 1
291 NORTH KINGS DRIVE 7.500 908.98 55
7.250 908.98 240,000.00
REEDLEY CA 93654 2 05/27/98 00
5257878 05 07/01/98 0
5257878 O 06/01/28
0
1757215 976/976 F 412,500.00 ZZ
360 411,900.99 1
2 MERITAGE 7.625 2,919.65 75
7.375 2,919.65 550,000.00
COTO DE CAZA CA 92679 5 05/14/98 00
5257881 03 07/01/98 0
5257881 O 06/01/28
0
1757216 976/976 F 67,500.00 ZZ
360 67,420.01 2
330 SOUTH VANBUREN STREET 8.625 525.01 75
8.375 525.01 90,000.00
GREEN BAY WI 54301 5 05/19/98 00
5258875 05 07/01/98 0
5258875 N 06/01/28
0
1
1757217 976/976 F 118,650.00 ZZ
360 118,477.70 2
3121 & 3123 TOMBERMORY DRIVE 7.625 839.80 95
7.375 839.80 124,900.00
GREEN BAY WI 54311 1 05/29/98 11
5258970 05 07/01/98 30
5258970 O 06/01/28
0
1757218 976/976 F 88,000.00 ZZ
360 87,862.28 1
4216 74TH AVENUE 7.250 600.32 80
7.000 600.32 111,000.00
LANDOVER HILLS MD 20784 2 05/14/98 00
5260644 05 07/01/98 0
5260644 O 06/01/28
0
1757219 976/976 F 92,000.00 ZZ
360 91,888.12 4
167 SOUTH MAIN STREET 8.500 707.41 80
8.250 707.41 115,000.00
FRANKLIN NH 03235 5 05/26/98 00
5262674 05 07/01/98 0
5262674 N 06/01/28
0
1757221 976/976 F 156,750.00 ZZ
360 156,538.94 2
4747 GREY DRIVE 8.000 1,150.18 95
7.750 1,150.18 165,000.00
LOS ANGELES CA 90032 1 05/06/98 21
5263514 05 07/01/98 30
5263514 O 06/01/28
0
1757222 976/976 F 108,800.00 ZZ
360 108,645.92 1
6200 SW 179TH AVENUE 7.750 779.46 80
7.500 779.46 136,000.00
ALOHA OR 97007 1 05/14/98 00
5264074 05 07/01/98 0
5264074 O 06/01/28
0
1757223 976/976 F 66,700.00 ZZ
360 66,620.95 2
1
39 ARLINGTON STREET 8.625 518.79 75
8.375 518.79 89,000.00
MANCHESTER NH 03101 5 05/22/98 00
5264227 05 07/01/98 0
5264227 N 06/01/28
0
1757224 976/976 F 45,000.00 ZZ
360 44,946.67 1
18 COBURN STREET 8.625 350.01 90
8.375 350.01 50,000.00
SALEM NH 03079 1 05/18/98 21
5264393 05 07/01/98 25
5264393 N 06/01/28
0
1757226 976/976 F 32,000.00 ZZ
360 31,960.06 1
1325 BURNS ROAD 8.375 243.23 80
8.125 243.23 40,000.00
KIMBALL MI 48074 5 05/19/98 00
5264562 05 07/01/98 0
5264562 N 06/01/28
0
1757228 976/976 F 130,000.00 ZZ
360 129,806.44 1
1660 OLYMPUS LOOP DRIVE 7.500 908.98 65
7.250 908.98 203,000.00
VISTA CA 92083 1 05/12/98 00
5269471 03 07/01/98 0
5269471 O 06/01/28
0
1757229 976/976 F 63,000.00 ZZ
360 62,930.90 1
618 N. ROBSON 9.000 506.92 90
8.750 506.92 70,000.00
MESA AZ 85201 1 05/12/98 11
5270419 05 07/01/98 25
5270419 N 06/01/28
0
1757230 976/976 F 42,750.00 ZZ
360 42,698.00 1
808 CHEVROLET 8.500 328.72 90
8.250 328.72 48,000.00
FLINT MI 48504 1 05/13/98 10
5271283 05 07/01/98 25
1
5271283 N 06/01/28
0
1757231 976/976 F 82,450.00 ZZ
360 82,341.77 1
7420 POHICK ROAD 8.125 612.19 74
7.875 612.19 111,500.00
LORTON VA 22079 2 05/26/98 00
5273076 03 07/01/98 0
5273076 N 06/01/28
0
1757232 976/976 F 98,000.00 ZZ
360 97,871.35 1
6071 HOLLOW KNOLL COURT 8.125 727.65 75
7.875 727.65 131,000.00
SPRINGFIELD VA 22152 2 05/26/98 00
5273077 03 07/01/98 0
5273077 N 06/01/28
0
1757233 976/976 F 96,300.00 ZZ
360 96,173.57 1
6402 BLARNEY STONE COURT 8.125 715.03 72
7.875 715.03 134,000.00
SPRINGFIELD VA 22152 2 05/26/98 00
5273078 03 07/01/98 0
5273078 N 06/01/28
0
1757234 976/976 F 76,800.00 ZZ
360 76,704.19 1
1969 FOUNTAINBROOK COURT 8.375 583.74 80
8.125 583.74 96,000.00
WOODBRIDGE VA 22192 5 05/26/98 00
5273079 03 07/01/98 0
5273079 N 06/01/28
0
1757235 976/976 F 98,400.00 ZZ
360 98,270.82 1
11558 HILL MEADE LANE 8.125 730.62 80
7.875 730.62 123,000.00
WOODBRIDGE VA 22192 2 05/26/98 00
5273081 09 07/01/98 0
5273081 N 06/01/28
0
1
1757236 976/976 F 59,400.00 ZZ
360 59,333.14 1
56 MERRIMACK STREET 8.875 472.62 90
8.625 472.62 66,000.00
METHUEN MA 01844 1 05/29/98 21
5273740 05 07/01/98 25
5273740 N 06/01/28
0
1757238 976/976 F 127,400.00 ZZ
360 127,124.07 1
12229 CARMEL VISTA ROAD #255 7.875 923.74 70
7.625 923.74 182,000.00
SAN DIEGO CA 92130 1 05/19/98 00
5274179 01 07/01/98 0
5274179 O 06/01/28
0
1757241 976/976 F 40,000.00 ZZ
360 39,926.77 2
2209 A&B LAVERN STREET 8.500 307.57 72
8.250 307.57 56,000.00
ARLINGTON TX 76013 5 04/30/98 00
5275044 05 06/01/98 0
5275044 N 05/01/28
0
1757242 976/976 F 40,000.00 ZZ
360 39,926.77 2
2210 A&B LAVERN STREET 8.500 307.57 72
8.250 307.57 56,000.00
ARLINGTON TX 76013 5 04/30/98 00
5275046 05 06/01/98 0
5275046 N 05/01/28
0
1757244 976/976 F 64,000.00 ZZ
360 63,754.23 1
2214 JACQUELINE DRIVE 7.500 447.50 80
7.250 447.50 80,000.00
DENTON TX 76205 1 05/15/98 00
5275316 05 07/01/98 0
5275316 O 06/01/28
0
1757245 976/976 F 105,000.00 ZZ
360 104,776.21 1
11746 EAST EASTON ROAD 7.750 752.24 75
7.500 752.24 140,000.00
1
RITTMAN OH 44270 5 04/23/98 00
5275772 05 06/01/98 0
5275772 O 05/01/28
0
1757247 976/976 F 101,600.00 T
360 101,452.46 1
4105 PEBBLECREEK DRIVE 7.625 719.12 80
7.375 719.12 127,000.00
EULESS TX 76040 2 05/06/98 00
5275783 05 07/01/98 0
5275783 O 06/01/28
0
1757248 976/976 F 59,900.00 ZZ
360 59,817.27 1
101 APACHE GOLD LOOP 7.875 434.32 75
7.625 434.32 79,900.00
SANTA TERESA NM 88008 1 05/27/98 00
5275815 03 07/01/98 0
5275815 O 06/01/28
0
1757249 976/976 F 127,500.00 ZZ
360 127,323.92 1
100 MEADOW KNOLL DRIVE 7.875 924.47 75
7.625 924.47 170,000.00
DOUBLE OAK TX 75067 1 05/12/98 00
5275834 05 07/01/98 0
5275834 O 06/01/28
0
1757250 976/976 F 187,500.00 ZZ
360 187,234.46 1
2200 BRIDGE VIEW LANE 7.750 1,343.28 75
7.500 1,343.28 250,000.00
PLANO TX 75093 2 05/08/98 00
5275940 03 07/01/98 0
5275940 O 06/01/28
0
1757251 976/976 F 152,000.00 ZZ
360 151,750.09 1
3817 CANOT LANE 7.000 1,011.26 80
6.750 1,011.26 190,000.00
ADDISON TX 75287 1 05/20/98 00
5277672 03 07/01/98 0
5277672 O 06/01/28
0
1
1757252 976/976 F 129,000.00 ZZ
360 128,821.86 1
6900 NW 34TH STREET 7.875 935.34 75
7.625 935.34 172,000.00
MARGATE FL 33063 2 05/08/98 00
5278208 03 07/01/98 0
5278208 O 06/01/28
0
1757253 976/976 F 320,000.00 ZZ
360 319,569.13 1
721 LENOX ROAD 8.000 2,348.05 78
7.750 2,348.05 413,500.00
GLEN ELLYN IL 60137 5 05/15/98 00
5279973 05 07/01/98 0
5279973 O 06/01/28
0
1757255 976/976 F 99,200.00 ZZ
360 99,078.59 1
6726 NORTH FLEMING STREET 8.500 762.77 80
8.250 762.77 125,000.00
SPOKANE WA 99206 5 05/08/98 00
5280161 05 07/01/98 0
5280161 N 06/01/28
0
1757256 976/976 F 50,000.00 ZZ
360 49,738.65 1
14252 TRENTON ROAD 8.250 375.64 72
8.000 375.64 70,000.00
SOUTHGATE MI 48195 1 05/08/98 00
5280825 05 07/01/98 0
5280825 N 06/01/28
0
1757257 976/976 F 154,500.00 ZZ
360 154,297.18 1
43100 - 12 OAKS CRESCENT A2044 8.125 1,147.16 73
7.875 1,147.16 214,500.00
NOVI MI 48377 1 05/19/98 00
5280864 01 07/01/98 0
5280864 O 06/01/28
0
1757258 976/976 F 59,200.00 ZZ
240 58,988.77 1
1
1001 WEST ANDERSON DRIVE 7.625 481.45 80
7.375 481.45 74,000.00
PHOENIX AZ 85023 2 05/18/98 00
5281765 05 07/01/98 0
5281765 O 06/01/18
0
1757259 976/976 F 68,400.00 ZZ
360 68,271.57 1
1815 WEST HAZELWOOD STREET 8.375 519.89 90
8.125 519.89 76,000.00
PHOENIX AZ 85015 1 04/28/98 14
5281843 05 06/01/98 25
5281843 N 05/01/28
0
1757260 976/976 F 64,350.00 ZZ
360 64,069.51 1
1630 THOMPSON AVENUE 7.875 466.59 86
7.625 466.59 75,000.00
KINGMAN AZ 86401 2 05/26/98 21
5281852 05 07/01/98 25
5281852 O 06/01/28
0
1757261 976/976 F 79,900.00 ZZ
360 79,697.04 1
13738 STARSHINE DRIVE 8.250 600.27 85
8.000 600.27 94,000.00
VICTORVILLE CA 92392 2 05/08/98 10
5283275 05 07/01/98 25
5283275 N 06/01/28
0
1757262 976/976 F 81,250.00 ZZ
360 81,140.59 4
418 NEVADA STREET 8.000 596.19 55
7.750 596.19 150,000.00
ONTARIO CA 91761 5 05/22/98 00
5283857 05 07/01/98 0
5283857 N 06/01/28
0
1757264 976/976 F 81,250.00 ZZ
360 81,140.59 3
711 EAST "D" STREET 8.000 596.19 61
7.750 596.19 135,000.00
ONTARIO CA 91762 5 05/22/98 00
5283858 05 07/01/98 0
1
5283858 N 06/01/28
0
1757265 976/976 F 102,150.00 T
360 102,015.89 1
21668 PEAK CIRCLE ROAD 8.125 758.47 90
CEDARPINES PARK AREA 7.875 758.47 113,500.00
SAN BERNARDINO CA 92322 1 05/20/98 11
5283929 05 07/01/98 25
5283929 O 06/01/28
0
1757268 976/976 F 50,000.00 ZZ
360 49,517.05 3
8-10 POWER ROAD 8.000 366.89 44
7.750 366.89 114,000.00
PAWTUCKET RI 02860 5 05/15/98 00
5285804 05 07/01/98 0
5285804 O 06/01/28
0
1757269 976/976 F 62,100.00 ZZ
360 62,020.53 2
2707 OLD MATTHEWS RD 8.250 466.54 90
8.000 466.54 69,000.00
NASHVILLE TN 37207 1 05/15/98 21
5286597 05 07/01/98 25
5286597 N 06/01/28
0
1757270 976/976 F 110,000.00 ZZ
360 109,743.57 1
4960 SOUTH 1250 WEST 7.750 788.06 80
7.500 788.06 138,000.00
TAYLORSVILLE UT 84123 2 06/01/98 00
5288099 05 07/01/98 0
5288099 O 06/01/28
0
1757273 976/976 F 75,000.00 ZZ
360 74,888.31 1
3144 GOLFWOOD COURT 7.500 524.42 60
7.250 524.42 126,000.00
LANCASTER CA 93536 2 05/26/98 00
5293901 05 07/01/98 0
5293901 O 06/01/28
0
1
1757274 976/976 F 53,000.00 ZZ
360 52,926.80 1
3619 MILKYWAY COURT 7.875 384.29 73
7.625 384.29 73,000.00
PALMDALE CA 93550 1 05/26/98 00
5293913 05 07/01/98 0
5293913 O 06/01/28
0
1757276 976/976 F 96,900.00 ZZ
360 96,772.79 1
1537 EAST COMMERCE AVENUE 8.125 719.48 85
7.875 719.48 114,000.00
GILBERT AZ 85234 2 05/20/98 04
5294121 03 07/01/98 25
5294121 N 06/01/28
0
1757278 976/976 F 78,750.00 ZZ
360 78,449.21 1
162 SW 82ND STREET 8.250 591.63 75
8.000 591.63 105,000.00
SOUTH BEACH OR 97366 5 05/13/98 00
5296160 05 07/01/98 0
5296160 N 06/01/28
0
1757279 976/976 F 320,000.00 ZZ
360 318,907.81 1
750 SOUTH QUAIL CIRCLE 7.375 2,210.17 78
7.125 2,210.17 415,000.00
ANAHEIM CA 92807 5 05/07/98 00
5298009 03 07/01/98 0
5298009 O 06/01/28
0
1757280 976/976 F 65,000.00 ZZ
360 64,907.95 1
2531 ESTANCIA BLVD. 7.750 465.67 49
7.500 465.67 133,900.00
CLEARWATER FL 33761 1 05/29/98 00
5298697 09 07/01/98 0
5298697 O 06/01/28
0
1757282 976/976 F 62,900.00 ZZ
360 62,821.53 1
1400 ATTERBURY LANE 8.375 478.09 90
8.125 478.09 69,900.00
1
AUSTIN TX 78753 1 05/12/98 11
5299752 05 07/01/98 25
5299752 N 06/01/28
0
1757283 976/976 F 70,650.00 ZZ
360 70,564.09 1
3304 LAFAYETTE BLVD 8.500 543.24 90
8.250 543.24 78,500.00
FREDERICKSBURG VA 22408 1 05/28/98 04
5300289 05 07/01/98 25
5300289 N 06/01/28
0
1757285 976/976 F 92,900.00 ZZ
360 92,774.91 1
32915 BIRCHWOOD DR 8.000 681.67 75
7.750 681.67 124,900.00
CHESTERFIELD MI 48047 2 05/06/98 00
5300477 01 07/01/98 0
5300477 O 06/01/28
0
1757286 976/976 F 62,900.00 ZZ
360 62,825.46 1
336 ADAMS STREET, #10 8.625 489.23 90
8.375 489.23 69,900.00
DORCHESTER MA 02121 1 06/05/98 21
5301220 01 07/01/98 25
5301220 N 06/01/28
0
1757289 976/976 F 57,600.00 ZZ
360 57,186.88 2
5000 DEVONSHIRE 9.000 463.47 80
8.750 463.47 72,000.00
ST LOUIS MO 63117 5 05/22/98 00
5301805 05 07/01/98 0
5301805 N 06/01/28
0
1757290 976/976 F 218,000.00 ZZ
360 217,366.66 1
1 PLANER POINT 7.375 1,505.68 66
7.125 1,505.68 335,000.00
EUREKA SPRINGS AR 72623 2 05/15/98 00
5301916 05 07/01/98 0
5301916 O 06/01/28
0
1
1757291 976/976 F 92,000.00 ZZ
360 91,888.12 1
9325 NORTH BRIARWOOD CIRCLE 8.500 707.41 75
8.250 707.41 123,000.00
SUN CITY AZ 85351 5 05/22/98 00
5302410 03 07/01/98 0
5302410 O 06/01/28
0
1757292 976/976 F 82,600.00 ZZ
360 82,499.55 2
141 NORTH STATE STREET 8.500 635.13 57
8.250 635.13 145,000.00
EPHRATA PA 17522 5 05/14/98 00
5303153 05 07/01/98 0
5303153 N 06/01/28
0
1757293 976/976 F 460,000.00 ZZ
360 459,306.83 1
3719 BOISE AVENUE 7.500 3,216.39 80
7.250 3,216.39 575,000.00
LOS ANGELES CA 90066 1 05/18/98 00
5303319 05 07/01/98 0
5303319 O 06/01/28
0
1757295 976/976 F 490,000.00 ZZ
360 489,270.41 1
16446 WESTFALL PLACE 7.500 3,426.16 79
7.250 3,426.16 625,000.00
LOS ANGELES ENC CA 91436 2 05/11/98 00
5303888 05 07/01/98 0
5303888 O 06/01/28
0
1757296 976/976 F 473,000.00 ZZ
360 472,295.73 1
16263 MANDALAY DRIVE 7.500 3,307.29 74
7.250 3,307.29 640,000.00
LOS ANGELES, CA 91436 2 05/11/98 00
5304010 05 07/01/98 0
5304010 O 06/01/28
0
1757299 976/976 F 54,000.00 ZZ
360 53,932.64 1
1
38886 JUNIPER TREE ROAD 8.375 410.44 75
8.125 410.44 72,000.00
PALMDALE AREA CA 93551 5 05/12/98 00
5304168 05 07/01/98 0
5304168 N 06/01/28
0
1757301 976/976 F 118,000.00 T
360 117,832.89 1
2138 NORTH PEBBLE BEACH DRIVE 7.750 845.37 79
7.500 845.37 150,000.00
CASA GRANDE AZ 85222 1 05/19/98 00
5304602 05 07/01/98 0
5304602 O 06/01/28
0
1757304 976/976 F 96,800.00 T
360 96,672.93 1
711 SERI DRIVE 8.125 718.74 80
7.875 718.74 121,000.00
PRESCOTT AZ 86303 1 05/06/98 00
5304997 05 07/01/98 0
5304997 O 06/01/28
0
1757306 976/976 F 69,500.00 ZZ
360 69,399.46 1
4622 TRACE MEADOW 7.750 497.91 80
7.500 497.91 86,900.00
HOUSTON TX 77066 1 05/22/98 00
5305121 03 07/01/98 0
5305121 O 06/01/28
0
1757307 976/976 F 59,600.00 ZZ
360 59,527.52 1
4018 CYPRESSDALE DRIVE 8.500 458.28 75
8.250 458.28 79,500.00
SPRING TX 77388 5 05/22/98 00
5305362 03 07/01/98 0
5305362 N 06/01/28
0
1757308 976/976 F 130,400.00 ZZ
360 130,219.91 1
4034 N. BARNETT WAY 7.875 945.50 80
7.625 945.50 163,054.00
MISSOURI CITY TX 77459 1 05/29/98 00
5305380 03 07/01/98 0
1
5305380 O 06/01/28
0
1757309 976/976 F 54,350.00 ZZ
360 54,245.30 1
7943 GLENSCOTT STREET 8.250 408.32 75
8.000 408.32 72,500.00
HOUSTON TX 77061 5 04/27/98 00
5305494 05 06/01/98 0
5305494 N 05/01/28
0
1757312 976/976 F 78,750.00 ZZ
360 78,643.97 1
455 CENTRAL AVENUE 8.000 577.84 75
7.750 577.84 105,000.00
PITTSBURG CA 94565 5 05/07/98 00
5306651 05 07/01/98 0
5306651 N 06/01/28
0
1757316 976/976 F 80,250.00 ZZ
360 80,139.18 1
5619 NE 70TH STREET 7.875 581.87 75
7.625 581.87 107,000.00
VANCOUVER WA 98661 1 05/06/98 00
5306977 05 07/01/98 0
5306977 N 06/01/28
0
1757317 976/976 F 79,000.00 ZZ
360 78,882.37 1
133 IRWIN STREET EAST 7.500 552.38 52
7.250 552.38 153,500.00
SAFETY HARBOR FL 34695 1 05/07/98 00
5307596 05 07/01/98 0
5307596 O 06/01/28
0
1757319 976/976 F 56,250.00 ZZ
360 56,174.25 2
944 FOREST AVENUE 8.000 412.75 75
7.750 412.75 75,000.00
COVINGTON KY 41016 5 05/22/98 00
5308001 05 07/01/98 0
5308001 N 06/01/28
0
1
1757321 976/976 F 71,900.00 ZZ
360 71,570.83 1
502 FINCH COURT 8.250 540.17 80
8.000 540.17 89,900.00
KISSIMMEE FL 34759 1 04/07/98 00
5308287 03 06/01/98 0
5308287 N 05/01/28
0
1757322 976/976 F 60,000.00 ZZ
360 59,912.86 1
2875 N. JULIET DRIVE 7.625 424.68 60
7.375 424.68 100,000.00
DELTONA FL 32738 5 05/12/98 00
5308409 05 07/01/98 0
5308409 O 06/01/28
0
1757323 976/976 F 82,000.00 ZZ
360 81,821.34 1
1301 DIVISION STREET 7.250 559.39 59
7.000 559.39 139,000.00
METAIRIE LA 70001 5 05/05/98 00
5308615 05 07/01/98 0
5308615 O 06/01/28
0
1757324 F03/G02 F 178,000.00 ZZ
360 178,000.00 1
19242 COLDSTREAM LANE 8.125 1,321.64 63
7.875 1,321.64 285,000.00
HUNTINGTON BEAC CA 92648 2 07/01/98 00
0430902262 09 09/01/98 0
LAG10987 O 08/01/28
0
1757325 976/976 F 86,250.00 ZZ
360 86,145.13 1
102 MAJESTIC CIRCLE 8.500 663.19 75
8.250 663.19 115,000.00
HATTIESBURG MS 39402 5 06/03/98 00
5308677 05 07/01/98 0
5308677 N 06/01/28
0
1757326 976/976 F 96,000.00 ZZ
360 95,886.23 1
100 MAJESTIC CIRCLE 8.625 746.68 80
8.375 746.68 120,000.00
1
HATTIESBURG MS 39402 5 06/03/98 00
5308678 05 07/01/98 0
5308678 N 06/01/28
0
1757327 976/976 F 99,000.00 ZZ
360 98,888.59 4
318 - 320 1/2 S PIERCE STREET 8.875 787.69 90
8.625 787.69 110,000.00
NEW ORLEANS LA 70119 1 05/15/98 11
5308751 05 07/01/98 25
5308751 N 06/01/28
0
1757328 976/976 F 72,800.00 ZZ
360 72,747.30 1
621 BETZ AVENUE 7.625 515.28 80
7.375 515.28 91,000.00
JEFFERSON LA 70121 5 06/04/98 00
5308800 05 08/01/98 0
5308800 N 07/01/28
0
1757329 976/976 F 65,000.00 ZZ
360 64,916.81 1
17822 NORTH 8TH DRIVE 8.250 488.33 78
8.000 488.33 84,000.00
PHOENIX AZ 85023 5 05/11/98 00
5309446 05 07/01/98 0
5309446 N 06/01/28
0
1757330 976/976 F 159,300.00 T
360 159,031.57 1
8989 LAKE VIEW DRIVE 6.875 1,046.49 60
6.625 1,046.49 268,000.00
PARKER AZ 85344 5 05/27/98 00
5309510 05 07/01/98 0
5309510 O 06/01/28
0
1757331 976/976 F 54,750.00 ZZ
360 54,679.94 1
3501 THUNDERHAWK DRIVE 8.250 411.32 75
8.000 411.32 73,000.00
LAKE HAVASU CIT AZ 86406 5 05/11/98 00
5309590 05 07/01/98 0
5309590 N 06/01/28
0
1
1757333 976/976 F 89,700.00 ZZ
360 89,576.13 1
6375 CRUMB ROAD 7.875 650.39 65
7.625 650.39 138,000.00
KINGMAN AZ 86401 5 05/04/98 00
5309628 05 07/01/98 0
5309628 N 06/01/28
0
1757335 976/976 F 108,000.00 ZZ
360 107,794.00 1
1853 NORTH DALEY STREET 7.500 755.16 80
7.250 755.16 135,000.00
MESA AZ 85203 5 05/21/98 00
5309705 05 07/01/98 0
5309705 O 06/01/28
0
1757336 976/976 F 90,900.00 ZZ
360 90,786.60 3
2600 EAST FORT LOWELL ROAD 8.375 690.91 90
8.125 690.91 101,000.00
TUCSON AZ 85716 1 05/19/98 04
5309725 05 07/01/98 25
5309725 N 06/01/28
0
1757342 976/976 F 40,000.00 ZZ
360 39,947.49 1
2806 ORCHARD AVENUE 8.125 297.00 63
7.875 297.00 64,000.00
GRAND JUNCTION CO 81501 2 05/12/98 00
5311638 05 07/01/98 0
5311638 N 06/01/28
0
1757343 976/976 F 70,000.00 ZZ
360 69,900.86 1
1925 NORTH 7TH STREET 7.750 501.49 63
7.500 501.49 112,500.00
GRAND JUNCTION CO 81501 5 05/07/98 00
5311639 05 07/01/98 0
5311639 O 06/01/28
0
1757344 976/976 F 40,000.00 ZZ
360 39,946.14 1
1
6307 WEST 61ST PLACE 8.000 293.51 29
7.750 293.51 139,000.00
ARVADA CO 80003 5 05/19/98 00
5311782 05 07/01/98 0
5311782 O 06/01/28
0
1757345 976/976 F 64,800.00 ZZ
360 64,721.20 1
329 EL PASO BLVD. #6 8.500 498.26 80
8.250 498.26 81,000.00
MANITOU SPRINGS CO 80829 1 05/29/98 00
5311863 01 07/01/98 0
5311863 N 06/01/28
0
1757348 976/976 F 132,000.00 T
360 131,803.45 1
2036 HARMONY WAY 7.500 922.97 75
7.250 922.97 176,000.00
VISTA CA 92083 1 05/14/98 00
5312014 01 07/01/98 0
5312014 O 06/01/28
0
1757352 976/976 F 43,100.00 ZZ
360 43,038.95 1
112 HICKORY LANE 7.750 308.78 74
7.500 308.78 59,000.00
MONROE LA 71203 5 05/19/98 00
5312705 05 07/01/98 0
5312705 O 06/01/28
0
1757355 976/976 F 108,000.00 ZZ
360 107,835.13 1
2483 RHODODENDRON 7.375 745.93 80
7.125 745.93 135,000.00
BATON ROUGE LA 70808 1 05/29/98 00
5312845 05 07/01/98 0
5312845 O 06/01/28
0
1757360 976/976 F 330,000.00 ZZ
360 329,532.66 1
20429 THRUST DRIVE 7.750 2,364.17 75
7.500 2,364.17 440,000.00
WALNUT AREA CA 91789 5 05/18/98 00
5313678 03 07/01/98 0
1
5313678 O 06/01/28
0
1757363 976/976 F 111,500.00 T
360 111,333.98 1
1339 FOREST TRAIL 7.500 779.63 61
7.250 779.63 185,000.00
MAMMOTH LAKES CA 93546 2 05/15/98 00
5313918 05 07/01/98 0
5313918 O 06/01/28
0
1757365 976/976 F 137,700.00 ZZ
360 137,509.83 1
2409 HOPEWELL ROAD 7.875 998.43 80
7.625 998.43 174,000.00
CLEBURNE TX 76031 2 05/15/98 00
5314049 05 07/01/98 0
5314049 O 06/01/28
0
1757366 976/976 F 46,400.00 ZZ
360 46,345.00 1
3343 CLARK DRIVE 8.625 360.90 80
8.375 360.90 58,000.00
SAN ANGELO TX 76904 5 05/19/98 00
5314117 05 07/01/98 0
5314117 N 06/01/28
0
1757367 976/976 F 97,200.00 ZZ
360 97,084.80 1
2117 BELMONT PARK DRIVE 8.625 756.02 90
8.375 756.02 108,000.00
ARLINGTON TX 76017 1 05/01/98 11
5314124 05 07/01/98 30
5314124 N 06/01/28
0
1757368 976/976 F 54,900.00 ZZ
360 54,780.03 1
2317 DALEWOOD LANE 7.625 388.58 74
7.375 388.58 74,900.00
BEDFORD TX 76022 1 05/06/98 00
5314133 05 06/01/98 0
5314133 O 05/01/28
0
1
1757370 976/976 F 76,500.00 ZZ
360 76,406.98 1
2291 FM 550 8.500 588.22 90
8.250 588.22 85,000.00
ROCKWALL TX 75087 1 05/20/98 04
5314217 05 07/01/98 25
5314217 N 06/01/28
0
1757371 976/976 F 39,150.00 ZZ
360 39,102.39 1
2903 FIR PARK 8.500 301.03 90
8.250 301.03 43,500.00
RICHLAND HILLS TX 76118 1 05/14/98 04
5314304 05 07/01/98 25
5314304 N 06/01/28
0
1757372 976/976 F 65,600.00 ZZ
360 65,511.67 1
5760 CREST DRIVE 8.000 481.35 80
7.750 481.35 82,000.00
SANTA TERESA NM 88008 1 05/15/98 00
5314318 05 07/01/98 0
5314318 O 06/01/28
0
1757374 976/976 F 227,250.00 ZZ
360 226,903.10 1
3708 BENT GRASS WAY 7.375 1,569.56 75
7.125 1,569.56 303,034.00
FLOWER MOUND TX 75028 1 05/22/98 00
5314396 03 07/01/98 0
5314396 O 06/01/28
0
1757376 976/976 F 156,000.00 ZZ
360 155,779.08 1
512 SNOWCAP DRIVE 7.750 1,117.60 75
7.500 1,117.60 208,000.00
RUIDOSO NM 88345 1 05/29/98 00
5314405 05 07/01/98 0
5314405 O 06/01/28
0
1757377 976/976 F 85,950.00 ZZ
360 85,845.47 1
2003 LOCKSLEY LANE 8.500 660.89 90
8.250 660.89 95,500.00
1
DENTON TX 76201 1 05/29/98 04
5314417 05 07/01/98 25
5314417 N 06/01/28
0
1757378 G44/G02 F 27,000.00 ZZ
360 27,000.00 1
650 NE 149TH STREET 8.625 210.00 90
UNIT #A-110 8.375 210.00 30,000.00
MIAMI FL 33161 1 07/17/98 11
0430913350 08 09/01/98 25
0598076 N 08/01/28
0
1757385 976/976 F 196,000.00 ZZ
360 195,708.15 1
455 PAIGE COURT 7.500 1,370.47 80
7.250 1,370.47 245,000.00
BIRMINGHAM AL 35226 2 05/08/98 00
5317039 05 07/01/98 0
5317039 O 06/01/28
0
1757386 976/976 F 41,000.00 ZZ
360 40,972.48 1
1626 ABNER TERRACE 8.000 300.85 71
7.750 300.85 58,000.00
ATLANTA GA 30318 5 06/02/98 00
5317159 05 08/01/98 0
5317159 N 07/01/28
0
1757388 976/976 F 80,100.00 ZZ
360 80,050.21 2
2651-53 TUCKER VALLEY ROAD 8.375 608.82 80
8.125 608.82 100,125.00
TUCKER GA 30084 1 06/04/98 11
5317295 05 08/01/98 25
5317295 N 07/01/28
0
1757389 976/976 F 44,000.00 ZZ
360 43,973.34 1
2518 ROCKRIDGE 8.500 338.33 80
8.250 338.33 55,000.00
AUSTIN TX 78731 1 06/01/98 00
5318069 05 08/01/98 0
5318069 N 07/01/28
0
1
1757390 976/976 F 91,200.00 T
360 91,074.05 1
1101 THE CAP # 801 7.875 661.27 78
7.625 661.27 118,000.00
HORSESHOE BAY TX 78657 5 05/19/98 00
5318258 01 07/01/98 0
5318258 O 06/01/28
0
1757392 976/976 F 92,000.00 ZZ
360 91,839.38 1
1015 E. SAN MARCELO BLVD. 7.875 667.07 80
7.625 667.07 115,000.00
BROWNSVILLE TX 78521 1 05/18/98 00
5318330 05 07/01/98 0
5318330 O 06/01/28
0
1757395 976/976 F 114,000.00 ZZ
360 113,842.58 1
13355 PHILBIN ROAD 7.875 826.58 62
7.625 826.58 184,400.00
POCATELLO ID 83202 5 05/13/98 00
5319072 05 07/01/98 0
5319072 O 06/01/28
0
1757396 976/976 F 136,500.00 ZZ
360 136,320.79 1
3401 NORTH POLLARD LANE 8.125 1,013.51 69
7.875 1,013.51 200,000.00
STAR ID 83669 5 05/18/98 00
5319157 05 07/01/98 0
5319157 O 06/01/28
0
1757397 976/976 F 122,000.00 ZZ
360 120,835.72 1
3828 WEST FITCH AVENUE 8.000 895.20 56
7.750 895.20 220,000.00
LINCOLNWOOD IL 60645 2 05/11/98 00
5320265 05 07/01/98 0
5320265 O 06/01/28
0
1757400 976/976 F 151,900.00 ZZ
360 151,690.22 2
1
1618 NORTH BOSWORTH 7.875 1,101.39 80
7.625 1,101.39 189,999.00
CHICAGO IL 60622 1 05/18/98 00
5320995 05 07/01/98 0
5320995 O 06/01/28
0
1757401 976/976 F 45,000.00 ZZ
360 44,940.92 1
4755 GALENA DRIVE 8.125 334.13 45
7.875 334.13 102,000.00
RAPID CITY SD 57702 5 05/08/98 00
5323015 05 07/01/98 0
5323015 O 06/01/28
0
1757403 976/976 F 78,950.00 ZZ
360 78,854.00 2
249-251 WESTPLAIN DRIVE 8.500 607.06 66
8.250 607.06 120,000.00
GREEN BAY WI 54303 2 05/19/98 00
5323389 05 07/01/98 0
5323389 N 06/01/28
0
1757406 976/976 F 57,000.00 ZZ
360 56,932.44 2
1336 E. WALNUT STREET 8.625 443.35 69
8.375 443.35 83,000.00
GREEN BAY WI 54313 5 05/19/98 00
5323393 05 07/01/98 0
5323393 N 06/01/28
0
1757407 976/976 F 55,000.00 ZZ
360 54,157.73 1
718 SOUTH THIRD STREET 8.250 413.20 60
8.000 413.20 92,000.00
DEPERE WI 54313 2 05/19/98 00
5323394 05 07/01/98 0
5323394 N 06/01/28
0
1757408 976/976 F 56,000.00 ZZ
360 55,931.90 2
618 NORTH ASHLAND AVE 8.500 430.60 66
8.250 430.60 85,000.00
GREEN BAY WI 54313 5 05/19/98 00
5323396 05 07/01/98 0
1
5323396 N 06/01/28
0
1757409 976/976 F 48,900.00 ZZ
360 48,837.42 1
221 RIVERVIEW AVE 8.250 367.37 52
8.000 367.37 95,000.00
DE PERE WI 54313 2 05/19/98 00
5323397 05 07/01/98 0
5323397 N 06/01/28
0
1757410 976/976 F 88,000.00 ZZ
360 87,862.28 1
7638 BORMAN WAY EAST 7.250 600.32 80
7.000 600.32 110,000.00
INVER GROVE HEI MN 55076 1 05/26/98 00
5323522 09 07/01/98 0
5323522 O 06/01/28
0
1757411 976/976 F 89,100.00 ZZ
360 88,983.03 1
6420 2ND AVENUE SOUTH 8.125 661.57 90
7.875 661.57 99,000.00
RICHFIELD MN 55423 1 05/18/98 04
5323729 05 07/01/98 25
5323729 N 06/01/28
0
1757413 976/976 F 73,500.00 ZZ
360 73,401.03 1
8440 RICH AVENUE 8.000 539.32 70
7.750 539.32 105,000.00
BLOOMINGTON MN 55437 1 05/21/98 00
5324065 05 07/01/98 0
5324065 N 06/01/28
0
1757416 976/976 F 41,650.00 ZZ
360 41,593.91 1
5112 GIRARD AVENUE NORTH 8.000 305.62 90
7.750 305.62 46,300.00
MINNEAPOLIS MN 55430 1 05/27/98 04
5324312 05 07/01/98 25
5324312 N 06/01/28
0
1
1757417 976/976 F 87,000.00 ZZ
360 86,896.89 1
8936 NEILL LAKE ROAD #122 8.625 676.68 75
8.375 676.68 116,000.00
EDEN PRAIRIE MN 55347 5 06/02/98 00
5324352 01 07/01/98 0
5324352 N 06/01/28
0
1757418 976/976 F 314,000.00 ZZ
360 313,555.33 1
4860 ANDREA CIRCLE 7.750 2,249.54 77
7.500 2,249.54 410,000.00
YORBA LINDA CA 92886 5 05/20/98 00
5325002 03 07/01/98 0
5325002 O 06/01/28
0
1757419 976/976 F 227,000.00 ZZ
360 226,678.53 1
1018 GENEVA STREET 7.750 1,626.26 65
7.500 1,626.26 350,000.00
GLENDALE CA 91207 5 05/18/98 00
5325022 05 07/01/98 0
5325022 O 06/01/28
0
1757424 976/976 F 172,000.00 ZZ
360 171,743.90 1
1306 AFLORAMIENTO 7.500 1,202.65 67
7.250 1,202.65 260,000.00
SAN CLEMENTE CA 92673 2 05/12/98 00
5325065 03 07/01/98 0
5325065 O 06/01/28
0
1757426 976/976 F 224,000.00 ZZ
360 223,666.46 1
22009 PALOS VERDES BOULEVARD 7.500 1,566.25 80
7.250 1,566.25 280,000.00
TORRANCE CA 90503 1 05/20/98 00
5325124 05 07/01/98 0
5325124 O 06/01/28
0
1757427 976/976 F 476,000.00 ZZ
360 475,308.77 2
839 & 841 SOUTH SHENANDOAH ST 7.625 3,369.10 80
7.375 3,369.10 595,000.00
1
LOS ANGELES CA 90035 1 05/14/98 00
5325155 05 07/01/98 0
5325155 O 06/01/28
0
1757429 976/976 F 133,200.00 ZZ
360 133,016.05 1
25470 WOODSIDE CIRCLE 7.875 965.80 80
7.625 965.80 166,500.00
MURRIETA CA 92562 1 05/27/98 00
5325435 05 07/01/98 0
5325435 O 06/01/28
0
1757430 976/976 F 411,000.00 ZZ
360 410,417.95 1
109 HIGHLAND ROAD 7.750 2,944.46 90
7.500 2,944.46 456,884.00
SIMI VALLEY CA 93065 1 05/27/98 11
5329265 05 07/01/98 25
5329265 O 06/01/28
0
1757431 F03/G02 F 105,000.00 ZZ
360 104,925.89 1
1422 ST PAUL STREET 7.750 752.23 52
7.500 752.23 205,000.00
DENVER CO 80218 5 06/23/98 00
0430890525 05 08/01/98 0
12439 O 07/01/28
0
1757432 976/976 F 116,000.00 ZZ
360 115,831.53 1
5658 ETIWANDA AVENUE, NO.4 7.625 821.05 80
7.375 821.05 145,000.00
LOS ANGELES CA 91356 1 05/11/98 00
5329391 01 07/01/98 0
5329391 O 06/01/28
0
1757433 976/976 F 204,000.00 ZZ
360 203,703.76 1
16968 STARDUST PLACE 7.625 1,443.90 80
7.375 1,443.90 255,000.00
LOS ANGELES CA 91344 1 05/26/98 00
5329399 05 07/01/98 0
5329399 O 06/01/28
0
1
1757434 976/976 F 92,800.00 ZZ
360 92,671.84 1
1217 NORTH 15 AVENUE 7.875 672.87 80
7.625 672.87 116,000.00
HOLLYWOOD FL 33020 1 05/29/98 00
5329846 05 07/01/98 0
5329846 O 06/01/28
0
1757435 976/976 F 177,750.00 ZZ
360 177,485.33 1
8019 WAVERLY PARK ROAD 7.500 1,242.86 80
7.250 1,242.86 222,245.00
JACKSONVILLE FL 32256 1 06/05/98 00
5329963 03 07/01/98 0
5329963 O 06/01/28
0
1757436 976/976 F 67,900.00 ZZ
360 67,813.10 1
3811 ENGLISH COLONY DRIVE N 8.250 510.11 80
8.000 510.11 84,900.00
JACKSONVILLE FL 32257 1 05/18/98 00
5330172 05 07/01/98 0
5330172 N 06/01/28
0
1757437 976/976 F 70,000.00 ZZ
240 69,746.37 1
15390 NE 1 COURT 7.500 563.92 63
7.250 563.92 112,000.00
MIAMI FL 33162 5 05/29/98 00
5330326 05 07/01/98 0
5330326 O 06/01/18
0
1757438 976/976 F 45,200.00 ZZ
360 45,134.35 1
6337 SHETLAND ROAD 7.625 319.93 69
7.375 319.93 66,000.00
JACKSONVILLE FL 32211 2 06/05/98 00
5330412 05 07/01/98 0
5330412 N 06/01/28
0
1757440 976/976 F 221,250.00 ZZ
360 220,944.46 1
1
351 RANCHO CAMINO 7.875 1,604.22 75
7.625 1,604.22 295,000.00
FALLBROOK CA 92028 5 05/26/98 00
5331345 05 07/01/98 0
5331345 O 06/01/28
0
1757442 976/976 F 322,050.00 ZZ
360 321,627.23 1
2307 AMSTEL LANE 8.125 2,391.22 95
7.875 2,391.22 339,000.00
VISTA CA 92084 1 05/29/98 11
5331361 05 07/01/98 30
5331361 O 06/01/28
0
1757443 976/976 F 40,500.00 ZZ
360 40,454.41 2
650 SOUTH 51ST STREET 8.875 322.24 90
8.625 322.24 45,000.00
PHILADELPHIA PA 19143 1 05/28/98 11
5331504 05 07/01/98 25
5331504 N 06/01/28
0
1757444 976/976 F 68,250.00 ZZ
360 68,201.82 1
341 FRANCISCAN AVENUE 7.750 488.96 75
7.500 488.96 91,000.00
STOCKTON CA 95210 5 06/02/98 00
5333657 05 08/01/98 0
5333657 N 07/01/28
0
1757445 976/976 F 56,250.00 ZZ
360 56,210.29 1
9208 DON RAFAEL WAY 7.750 402.99 75
7.500 402.99 75,000.00
STOCKTON CA 95210 5 06/03/98 00
5333665 05 08/01/98 0
5333665 N 07/01/28
0
1757446 976/976 F 84,000.00 ZZ
360 83,892.49 1
1508 DONETTE PLACE N.E. 8.250 631.07 75
8.000 631.07 112,000.00
ALBUQUERQUE NM 87112 5 05/27/98 00
5335055 05 07/01/98 0
1
5335055 N 06/01/28
0
1757447 976/976 F 396,000.00 ZZ
360 395,713.38 1
5811 NORTH PALO CRISTI ROAD 7.625 2,802.87 80
7.375 2,802.87 495,000.00
PARADISE VALLEY AZ 85253 1 06/03/98 00
5343548 05 08/01/98 0
5343548 O 07/01/28
0
1757448 976/976 F 93,750.00 ZZ
360 93,603.27 1
4639 QUASHNICK ROAD 7.250 639.55 75
7.000 639.55 125,000.00
STOCKTON CA 95212 5 05/20/98 00
5490230 05 07/01/98 0
5490230 O 06/01/28
0
1757451 976/976 F 62,400.00 ZZ
360 62,311.62 1
1115 VIA LAS CUMBRES 7.750 447.05 80
7.500 447.05 78,000.00
SAN DIEGO CA 92111 1 05/22/98 00
5492209 01 07/01/98 0
5492209 N 06/01/28
0
1757455 976/976 F 165,000.00 ZZ
360 164,728.71 1
814 46TH AVENUE 7.000 1,097.75 60
6.750 1,097.75 275,000.00
SAN FRANCISCO CA 94121 2 05/06/98 00
5493293 05 07/01/98 0
5493293 O 06/01/28
0
1757465 976/976 F 199,200.00 ZZ
360 198,910.72 1
2051 STONEFIELD LANE 7.625 1,409.93 80
7.375 1,409.93 249,000.00
SANTA ROSA CA 95403 1 05/14/98 00
5493494 01 07/01/98 0
5493494 O 06/01/28
0
1
1757466 976/976 F 93,600.00 ZZ
360 93,470.74 1
255 WEST 234TH STREET 7.875 678.67 80
7.625 678.67 117,000.00
CARSON CA 90745 1 05/07/98 00
5493989 05 07/01/98 0
5493989 N 06/01/28
0
1757469 E46/G02 F 127,500.00 ZZ
360 127,500.00 1
65 TRELANE DRIVE 8.125 946.68 75
7.875 946.68 170,000.00
BRIDGEPORT CT 06606 1 07/01/98 00
0430905703 05 09/01/98 0
30307 O 08/01/28
0
1757470 976/976 F 450,200.00 ZZ
360 449,546.25 1
2692 TUCKER LANE 7.625 3,186.49 74
7.375 3,186.49 615,000.00
LOS ALAMITOS AR CA 90720 5 05/06/98 00
5495602 05 07/01/98 0
5495602 O 06/01/28
0
1757473 976/976 F 54,000.00 ZZ
360 53,930.88 1
1845 EAST 5TH STREET 8.250 405.69 75
8.000 405.69 72,000.00
PUEBLO CO 81007 5 06/01/98 00
5496302 05 07/01/98 0
5496302 N 06/01/28
0
1757474 976/976 F 76,000.00 ZZ
360 75,543.39 1
LOT 67 & 68 BARACUDA COURT 7.875 551.06 80
7.625 551.06 95,000.00
AVON NC 27915 1 05/22/98 00
5497107 05 07/01/98 0
5497107 O 06/01/28
0
1757478 976/976 F 220,000.00 ZZ
360 219,672.42 1
34822 BEGONIA STREET 7.500 1,538.28 80
7.250 1,538.28 275,100.00
1
UNION CITY CA 94587 1 05/14/98 00
5498002 05 07/01/98 0
5498002 O 06/01/28
0
1757479 976/976 F 153,000.00 ZZ
360 152,783.31 1
5078 PINETREE TERRACE 7.750 1,096.12 80
7.500 1,096.12 192,000.00
CAMPBELL CA 95008 1 05/08/98 00
5498008 09 07/01/98 0
5498008 O 06/01/28
0
1757481 976/976 F 144,000.00 ZZ
360 143,615.02 1
4444 SPRINGWOOD DRIVE 7.250 982.34 80
7.000 982.34 180,000.00
NAPA CA 94558 2 05/06/98 00
5498043 05 07/01/98 0
5498043 O 06/01/28
0
1757483 976/976 F 92,500.00 ZZ
360 92,362.27 1
5240 CARTER AVENUE 7.500 646.78 29
7.250 646.78 325,000.00
SAN JOSE CA 95118 5 05/13/98 00
5498060 05 07/01/98 0
5498060 N 06/01/28
0
1757486 976/976 F 203,000.00 ZZ
360 202,712.52 1
380 CLOVERDALE LANE 7.750 1,454.32 54
7.500 1,454.32 380,000.00
CAMPBELL CA 95008 5 05/28/98 00
5498134 05 07/01/98 0
5498134 O 06/01/28
0
1757489 976/976 F 180,800.00 T
360 180,537.43 1
326 INNISFREE DRIVE, #71 7.625 1,279.70 80
7.375 1,279.70 226,000.00
DALY CITY CA 94015 1 05/20/98 00
5498175 01 07/01/98 0
5498175 O 06/01/28
0
1
1757492 976/976 F 189,000.00 ZZ
360 188,718.58 1
5366 PECAN BLOSSOM DRIVE 7.500 1,321.52 66
7.250 1,321.52 289,000.00
SAN JOSE CA 95123 1 05/28/98 00
5498286 03 07/01/98 0
5498286 O 06/01/28
0
1757493 976/976 F 200,000.00 ZZ
360 199,709.56 1
3799 VIA GRANADA 7.625 1,415.59 36
7.375 1,415.59 560,000.00
MORAGA CA 94556 5 05/07/98 00
5498287 03 07/01/98 0
5498287 O 06/01/28
0
1757496 976/976 F 136,000.00 ZZ
360 135,792.39 1
3924 FAIRFAX WAY 7.375 939.32 51
7.125 939.32 268,000.00
SOUTH SAN FRANC CA 94080 2 05/21/98 00
5498339 05 07/01/98 0
5498339 O 06/01/28
0
1757499 976/976 F 150,000.00 ZZ
360 149,759.38 1
5575 ASCOT DRIVE 7.125 1,010.58 44
6.875 1,010.58 345,000.00
OAKLAND CA 94611 1 05/27/98 00
5498396 05 07/01/98 0
5498396 O 06/01/28
0
1757502 976/976 F 60,000.00 ZZ
360 59,917.13 1
7805 EAST ROVEY AVENUE 7.875 435.05 73
7.625 435.05 82,500.00
SCOTTSDALE AZ 85250 5 05/27/98 00
5500122 01 07/01/98 0
5500122 N 06/01/28
0
1757503 976/976 F 48,750.00 ZZ
360 48,682.66 1
1
617 KECHELY COURT 7.875 353.48 75
7.625 353.48 65,000.00
GRASS VALLEY CA 95945 1 05/05/98 00
5501346 05 07/01/98 0
5501346 N 06/01/28
0
1757504 976/976 F 84,000.00 ZZ
360 83,787.31 1
8221 WILLETA AVENUE 7.625 594.55 75
7.375 594.55 112,000.00
LAS VEGAS NV 89128 5 05/07/98 00
5501371 05 07/01/98 0
5501371 O 06/01/28
0
1757505 976/976 F 67,400.00 ZZ
360 67,320.11 1
7661 LILY MAR LANE 8.625 524.24 90
8.375 524.24 74,900.00
ANTELOPE CA 95843 1 05/19/98 04
5501631 09 07/01/98 25
5501631 N 06/01/28
0
1757512 976/976 F 49,450.00 T
360 49,376.35 1
ROUTE 2, BOX 438 7.500 345.77 62
7.250 345.77 80,200.00
BLAND VA 24315 2 05/29/98 00
5505455 05 07/01/98 0
5505455 O 06/01/28
0
1757515 976/976 F 45,000.00 ZZ
360 44,936.26 1
307 NORTH BROAD STREET 7.750 322.39 74
7.500 322.39 61,500.00
SUFFOLK VA 23434 2 05/27/98 00
5505835 05 07/01/98 0
5505835 N 06/01/28
0
1757518 976/976 F 120,000.00 T
360 119,834.28 1
2751 SOUTH OCEAN DRIVE #804 7.875 870.09 67
7.625 870.09 180,000.00
HOLLYWOOD FL 33020 1 05/08/98 00
5506426 06 07/01/98 0
1
5506426 O 06/01/28
0
1757520 976/976 F 45,000.00 T
360 44,940.92 1
8824 KENSINGTON COURT 8.125 334.13 46
7.875 334.13 99,000.00
KISSIMMEE FL 34747 1 05/06/98 00
5506655 05 07/01/98 0
5506655 O 06/01/28
0
1757521 976/976 F 100,000.00 ZZ
360 99,851.10 1
2101 N. CENTRAL AVENUE 7.500 699.22 72
7.250 699.22 140,000.00
KISSIMMEE FL 34741 5 05/22/98 00
5506659 05 07/01/98 0
5506659 O 06/01/28
0
1757522 976/976 F 67,900.00 ZZ
360 67,813.09 1
3912 ENGLISH COLONY DR S 8.250 510.11 80
8.000 510.11 84,900.00
JACKSONVILLE FL 32257 1 05/12/98 00
5506831 05 07/01/98 0
5506831 N 06/01/28
0
1757523 976/976 F 62,100.00 ZZ
360 62,016.38 1
9292 PARKWAY DR 8.000 455.67 90
7.750 455.67 69,000.00
HOBE SOUND FL 33455 1 05/13/98 11
5506834 05 07/01/98 25
5506834 N 06/01/28
0
1757524 976/976 F 67,400.00 ZZ
360 67,313.74 1
3918 ENGLISH COLONY DRIVE S. 8.250 506.36 75
8.000 506.36 89,900.00
JACKSONVILLE FL 32257 1 05/12/98 00
5506843 05 07/01/98 0
5506843 N 06/01/28
0
1
1757525 976/976 F 68,800.00 ZZ
360 68,711.94 1
10391 ARROW BLUFF COURT 8.250 516.88 80
8.000 516.88 86,000.00
JACKSONVILLE FL 32257 1 05/12/98 00
5506879 05 07/01/98 0
5506879 N 06/01/28
0
1757526 976/976 F 48,750.00 ZZ
360 48,685.22 1
7469 W. SUNRISE BLVD. 8.250 366.25 75
8.000 366.25 65,000.00
PLANTATION FL 33319 5 05/29/98 00
5506926 01 07/01/98 0
5506926 N 06/01/28
0
1757527 976/976 F 99,200.00 ZZ
360 99,066.42 4
478 LOMBARD STREET 8.000 727.90 80
7.750 727.90 124,000.00
ORANGE PARK FL 32073 1 05/18/98 00
5506955 05 07/01/98 0
5506955 O 06/01/28
0
1757528 976/976 F 157,500.00 ZZ
360 157,271.28 2
1307-1309 MEADOWBROOK AVENUE 7.625 1,114.78 75
7.375 1,114.78 210,000.00
LOS ANGELES CA 90019 1 05/21/98 00
5507239 05 07/01/98 0
5507239 O 06/01/28
0
1757529 976/976 F 100,000.00 ZZ
360 99,868.72 1
1558 WEST GAGE AVENUE 8.125 742.50 75
7.875 742.50 135,000.00
LOS ANGELES CA 90047 2 05/19/98 00
5507271 05 07/01/98 0
5507271 O 06/01/28
0
1757530 976/976 F 313,500.00 ZZ
360 313,033.22 1
4242 LINDEN AVENUE 7.500 2,192.04 95
7.250 2,192.04 330,000.00
1
LONG BEACH CA 90807 1 05/27/98 11
5507377 05 07/01/98 30
5507377 O 06/01/28
0
1757532 976/976 F 62,100.00 ZZ
360 61,986.68 3
316 WEST BROOKINGS STREET 8.000 455.67 90
7.750 455.67 69,000.00
SIOUX FALLS SD 57104 2 05/13/98 11
5508350 05 07/01/98 25
5508350 O 06/01/28
0
1757533 976/976 F 73,000.00 T
360 72,896.61 1
ROUTE 1 BOX 183 7.750 522.99 70
7.500 522.99 105,000.00
VINING MN 56588 1 05/12/98 00
5508560 05 07/01/98 0
5508560 O 06/01/28
0
1757535 976/976 F 65,700.00 ZZ
360 65,585.77 1
8426 TOLEDO AVENUE NORTH 8.750 516.86 90
8.500 516.86 73,000.00
BROOKLYN PARK MN 55443 1 04/30/98 11
5508783 09 06/01/98 25
5508783 N 05/01/28
0
1757536 976/976 F 84,750.00 ZZ
360 84,594.89 4
416 5TH STREET NORTHEAST 8.500 651.65 75
8.250 651.65 113,000.00
MAYER MN 55360 1 05/01/98 00
5508800 05 06/01/98 0
5508800 N 05/01/28
0
1757538 976/976 F 58,500.00 ZZ
360 58,421.22 1
18 N. 20TH STREET 8.000 429.26 90
7.750 429.26 65,000.00
LAFAYETTE IN 47905 1 05/20/98 21
5509108 05 07/01/98 25
5509108 N 06/01/28
0
1
1757540 976/976 F 87,000.00 ZZ
360 86,870.46 1
124 EAST MAIN STREET 7.500 608.32 75
7.250 608.32 117,000.00
NEW PALESTINE IN 46163 1 05/21/98 00
5509360 05 07/01/98 0
5509360 O 06/01/28
0
1757541 976/976 F 93,750.00 ZZ
360 93,633.05 4
717 SOUTH 4TH STREET 8.375 712.57 75
8.125 712.57 125,000.00
LAFAYETTE IN 47905 5 06/01/98 00
5509567 05 07/01/98 0
5509567 N 06/01/28
0
1757542 976/976 F 80,100.00 ZZ
360 79,997.49 1
1222 NORTH SONOITA AVENUE 8.250 601.77 90
8.000 601.77 89,000.00
TUCSON AZ 85711 1 05/20/98 04
5510005 05 07/01/98 25
5510005 N 06/01/28
0
1757543 976/976 F 440,000.00 ZZ
360 439,392.39 1
9100 JONATHAN COURT 7.875 3,190.31 80
7.625 3,190.31 550,000.00
STOCKTON CA 95212 1 05/21/98 00
5510473 05 07/01/98 0
5510473 O 06/01/28
0
1757545 976/976 F 326,400.00 ZZ
360 325,949.27 1
380 BLOOM GRADE ROAD 7.875 2,366.63 80
7.625 2,366.63 408,000.00
BOULDER CREEK CA 95006 5 05/07/98 00
5510498 05 07/01/98 0
5510498 O 06/01/28
0
1757546 976/976 F 76,000.00 ZZ
360 75,900.16 1
1
3117 POTOMAC WAY 8.250 570.97 73
8.000 570.97 105,000.00
STOCKTON CA 95219 5 05/11/98 00
5510637 03 07/01/98 0
5510637 N 06/01/28
0
1757547 976/976 F 127,300.00 ZZ
360 127,128.59 1
1820 COLOMBARD WAY 8.000 934.09 95
7.750 934.09 134,000.00
MODESTO CA 95351 2 05/12/98 21
5510665 05 07/01/98 30
5510665 O 06/01/28
0
1757548 976/976 F 88,400.00 ZZ
360 88,268.37 1
1062 MADISON AVENUE 7.500 618.11 68
7.250 618.11 130,000.00
LOS BANOS CA 93635 1 05/11/98 00
5510715 05 07/01/98 0
5510715 O 06/01/28
0
1757549 976/976 F 72,000.00 ZZ
360 71,898.03 1
331 EDWARD AVENUE 7.750 515.82 75
7.500 515.82 96,000.00
MANTECA CA 95336 2 05/28/98 00
5510751 05 07/01/98 0
5510751 N 06/01/28
0
1757551 976/976 F 162,400.00 ZZ
360 162,279.47 1
4090 EAST MORSE ROAD 7.500 1,135.53 80
7.250 1,135.53 203,000.00
LODI CA 95240 1 06/01/98 00
5510769 05 08/01/98 0
5510769 O 07/01/28
0
1757552 976/976 F 79,200.00 ZZ
360 79,108.53 3
78 COLLINS STREET 8.750 623.07 80
8.500 623.07 99,000.00
LYNN MA 01902 1 05/15/98 00
5511039 05 07/01/98 0
1
5511039 N 06/01/28
0
1757554 976/976 F 90,000.00 ZZ
360 89,890.55 1
7284 CAMINITO CARLOTTA 8.500 692.03 59
8.250 692.03 155,000.00
SAN DIEGO CA 92120 5 05/20/98 00
5512267 01 07/01/98 0
5512267 N 06/01/28
0
1757555 976/976 F 332,000.00 ZZ
360 331,493.18 1
11730 CAMINITO PRENTICIA 7.375 2,293.05 77
7.125 2,293.05 432,000.00
SAN DIEGO CA 92131 2 05/05/98 00
5512297 03 07/01/98 0
5512297 O 06/01/28
0
1757556 976/976 F 225,000.00 ZZ
360 224,656.53 1
3814 SKYLINE ROAD 7.375 1,554.02 45
7.125 1,554.02 510,000.00
CARLSBAD CA 92008 5 05/21/98 00
5512341 05 07/01/98 0
5512341 O 06/01/28
0
1757557 976/976 F 140,000.00 ZZ
360 139,749.22 1
421R FRONT STREET 7.500 978.91 63
7.250 978.91 225,000.00
MARION MA 02738 5 05/12/98 00
5513051 05 07/01/98 0
5513051 O 06/01/28
0
1757560 976/976 F 176,000.00 ZZ
360 175,731.33 1
5905 HAMMERSMITH RD 7.375 1,215.59 80
7.125 1,215.59 220,000.00
STONE MOUNTAIN GA 30087 1 05/15/98 00
5514643 05 07/01/98 0
5514643 O 06/01/28
0
1
1757561 976/976 F 116,700.00 ZZ
360 116,526.23 1
6303 DEERING HOLLOW 7.500 815.99 80
7.250 815.99 145,900.00
NORCROSS GA 30092 1 05/29/98 00
5514648 01 07/01/98 0
5514648 O 06/01/28
0
1757563 976/976 F 64,000.00 ZZ
360 63,672.17 1
520 NORTH HANOVER STREET 8.500 492.11 80
8.250 492.11 80,000.00
POTTSTOWN PA 19464 1 05/05/98 00
5515209 05 07/01/98 0
5515209 N 06/01/28
0
1757565 976/976 F 102,000.00 ZZ
360 101,869.45 1
2220 MEADOW LANE DRIVE 8.250 766.30 71
8.000 766.30 145,000.00
EASTON PA 18040 5 05/21/98 00
5515357 05 07/01/98 0
5515357 O 06/01/28
0
1757566 976/976 F 43,500.00 ZZ
360 43,444.31 1
21401 CONNERS 8.250 326.81 75
8.000 326.81 58,000.00
WARREN MI 48091 5 05/21/98 00
5516177 05 07/01/98 0
5516177 N 06/01/28
0
1757567 976/976 F 142,500.00 ZZ
360 142,308.12 1
613 ST MARYS AVE 8.000 1,045.62 75
7.750 1,045.62 190,000.00
SUTTONS BAY MI 49682 5 05/19/98 00
5516212 05 07/01/98 0
5516212 O 06/01/28
0
1757568 976/976 F 78,000.00 ZZ
360 77,900.18 1
563 S. ASHLEY 8.250 585.99 52
8.000 585.99 152,000.00
1
ANN ARBOR MI 48103 5 05/27/98 00
5516283 05 07/01/98 0
5516283 N 06/01/28
0
1757569 976/976 F 180,000.00 ZZ
360 179,409.46 1
10950 TRILLIUM 7.125 1,212.70 74
6.875 1,212.70 245,000.00
GREEN OAK TWP MI 48178 1 05/29/98 00
5516330 05 07/01/98 0
5516330 O 06/01/28
0
1757570 976/976 F 83,600.00 ZZ
360 83,481.60 1
5661 STONELICK-WILLIAMS CORNER 7.750 598.93 80
7.500 598.93 104,500.00
BATAVIA OH 45103 1 05/15/98 00
5516555 05 07/01/98 0
5516555 O 06/01/28
0
1757574 976/976 F 186,200.00 ZZ
360 185,936.31 4
1909 ARPA WAY 7.750 1,333.96 95
7.500 1,333.96 196,000.00
LAS VEGAS NV 89108 1 05/14/98 11
5517318 05 07/01/98 30
5517318 O 06/01/28
0
1757575 976/976 F 160,800.00 ZZ
360 160,560.57 1
10840 CLARION LANE 7.500 1,124.34 80
7.250 1,124.34 201,000.00
LAS VEGAS NV 89134 1 05/22/98 00
5517504 03 07/01/98 0
5517504 O 06/01/28
0
1757578 976/976 F 71,200.00 ZZ
360 71,106.53 1
10018 86TH STREET NORTH 8.125 528.66 80
7.875 528.66 89,000.00
LARGO FL 33777 1 05/28/98 00
5518863 05 07/01/98 0
5518863 N 06/01/28
0
1
1757579 976/976 F 63,550.00 ZZ
360 63,472.72 1
10355 PARADISE BLVD 8.500 488.65 85
8.250 488.65 74,800.00
TREASURE ISLAND FL 33706 1 05/29/98 12
5518958 01 07/01/98 25
5518958 N 06/01/28
0
1757581 976/976 F 45,000.00 ZZ
360 44,822.61 1
229 EAST VAN WAGENEN STREET 8.500 346.02 90
8.250 346.02 50,000.00
HENDERSON NV 89015 1 05/29/98 10
5519976 03 07/01/98 25
5519976 N 06/01/28
0
1757584 G44/G02 F 85,000.00 ZZ
360 84,948.50 1
2542 W 70TH PLACE 8.500 653.58 85
8.250 653.58 100,000.00
HIALEAH FL 33016 5 06/22/98 10
0430880575 05 08/01/98 12
0698011 O 07/01/28
0
1757637 E22/G02 F 82,800.00 ZZ
360 82,743.02 1
1308 NORTHFIELD STREET 7.875 600.36 80
7.625 600.36 103,500.00
GREENSBORO NC 27403 1 06/04/98 00
0410899017 05 08/01/98 0
410899017 N 07/01/28
0
1757750 E22/G02 F 87,100.00 ZZ
360 87,041.56 1
707 N E HUNTERS RD 8.000 639.11 80
7.750 639.11 108,900.00
BLUE SPRINGS MO 64014 1 06/11/98 00
0410885479 03 08/01/98 0
410885479 O 07/01/28
0
1757773 E22/G02 F 105,000.00 T
360 104,934.73 1
1
4327 L HONOAPIILANI RD 8.375 798.08 75
UNIT # 902 8.125 798.08 140,000.00
LAHAINA HI 96761 1 06/05/98 00
0410875660 06 08/01/98 0
410875660 O 07/01/28
0
1757849 L61/G02 F 135,000.00 ZZ
360 134,909.41 1
CHARLESTON #2102 8.000 990.59 90
7.750 990.59 150,000.00
LAKE OF THE OZA MO 65049 1 06/26/98 10
0430885152 01 08/01/98 25
9503130 O 07/01/28
0
1757893 180/G02 F 139,900.00 T
360 139,808.49 1
6201 SWANS TERRACE 8.125 1,038.75 80
7.875 1,038.75 177,000.00
COCONUT CREEK FL 33073 1 06/19/98 00
0430916940 03 08/01/98 0
12830915 O 07/01/28
0
1757925 F18/G02 F 73,500.00 ZZ
360 73,500.00 1
710 W YOSEMITE 8.875 584.80 70
8.625 584.80 105,000.00
MANTECA CA 95336 5 07/09/98 00
0430913806 05 09/01/98 0
0 O 08/01/28
0
1757951 683/G02 F 400,000.00 ZZ
240 399,310.29 1
60 PLUMMER ROAD 7.875 3,314.71 49
7.625 3,314.71 825,000.00
EPPING NH 03042 5 06/24/98 00
0430889865 05 08/01/98 0
016819 O 07/01/18
0
1757953 129/G02 F 100,000.00 ZZ
360 100,000.00 3
24 EPPING STREET 8.625 777.79 70
8.375 777.79 143,000.00
RAYMOND NH 03077 5 07/16/98 00
0430932905 05 09/01/98 0
1
3500183318 N 08/01/28
0
1757983 180/G02 F 200,000.00 ZZ
360 199,744.06 1
5447 N 25TH ST 8.250 1,502.53 80
8.000 1,502.53 250,000.00
PHOENIX AZ 85016 1 05/20/98 00
0430905521 03 07/01/98 0
12750519 N 06/01/28
0
1757992 A59/G02 F 95,000.00 ZZ
360 94,939.42 1
302 SOUTHWEST 1ST AVENUE 8.250 713.71 95
8.000 713.71 100,000.00
GRAND RAPIDS MN 55744 1 06/26/98 10
0430885186 05 08/01/98 30
1757992 O 07/01/28
0
1758022 E22/G02 F 42,000.00 ZZ
360 41,951.50 1
5805 ROSARIO BOULEVARD 8.750 330.41 70
8.500 330.41 60,000.00
NORTH HIGHLANDS CA 91730 5 05/19/98 00
0410849152 05 07/01/98 0
410849152 N 06/01/28
0
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410901490 O 07/01/28
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GILROY CA 95020 2 07/07/98 00
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SOUTH AMBOY NJ 08879 2 07/02/98 00
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5053475 O 05/01/28
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SHREVEPORT LA 71105 1 06/01/98 00
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132933 O 06/01/23
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110230 O 07/01/28
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6521173 O 06/01/28
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410830863 N 06/01/28
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15385941 O 07/01/28
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11323763 O 06/01/28
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PHOENIX AZ 85013 1 06/08/98 01
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40501333 O 07/01/28
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36726 O 07/01/28
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3567633 O 07/01/28
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0430884320 01 08/01/98 25
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1765995 286/286 F 140,000.00 ZZ
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8970728 05 06/01/98 25
8970728 O 05/01/28
0
1766004 209/G02 F 45,000.00 ZZ
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0430891259 05 08/01/98 25
98706403 N 07/01/28
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1766021 E45/E45 F 96,000.00 ZZ
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XXXXXX XX 00000 2 05/28/98 00
39936 05 07/01/98 0
39936 O 06/01/28
0
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XXXX XX 00000 1 06/24/98 00
0430894857 05 08/01/98 0
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1766037 354/354 F 125,000.00 ZZ
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XXXXXX XXXXXXX XX 00000 1 04/28/98 00
25579855 03 06/01/98 0
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1
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XXXXXX XX 00000 1 05/28/98 00
25759473 03 07/01/98 0
25759473 O 06/01/28
0
1766039 354/354 F 77,600.00 ZZ
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00000 XXXXXXXXXX XXXXX 7.750 555.94 80
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XXXXXXXX XX 00000 1 05/04/98 00
25809773 03 06/01/98 0
25809773 O 05/01/28
0
1766040 354/354 F 88,072.00 ZZ
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XXXXXXXXXXX XX 00000 1 03/27/98 00
26073627 03 05/01/98 0
26073627 O 04/01/28
0
1766041 354/354 F 65,000.00 ZZ
360 64,819.28 1
00 XXXXXX XXXXX 7.875 471.30 40
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XXXXXXXX XXXXX XX 00000 1 03/27/98 00
26136614 05 05/01/98 0
26136614 O 04/01/28
0
1766042 354/354 F 326,250.00 ZZ
360 325,519.07 1
0000 XXXXXXX XX XX 7.500 2,281.19 75
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XXXXXXXXXX XX 00000 1 05/01/98 00
26143669 07 06/01/98 0
26143669 O 05/01/28
0
1766043 354/354 F 53,550.00 ZZ
360 52,700.23 1
1
2904 XXXXX DRIVE 7.750 383.64 75
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CHALMETTE LA 70043 5 04/24/98 00
26155341 05 06/01/98 0
26155341 O 05/01/28
0
1766044 354/354 F 163,500.00 ZZ
360 163,192.98 1
7880 HOLMBERG ROAD 8.375 1,242.72 40
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PARKLAND FL 33067 2 04/24/98 00
26193128 05 06/01/98 0
26193128 O 05/01/28
0
1766045 354/354 F 130,000.00 ZZ
360 129,665.13 1
510 SOUTHWEST 8TH STREET 8.375 988.10 72
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FORT LAUDERDALE FL 33315 5 04/29/98 00
26205385 05 06/01/98 0
26205385 O 05/01/28
0
1766047 354/354 F 61,200.00 ZZ
360 61,069.56 1
8207 VILLAGE GREEN ROAD 7.750 438.45 80
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ORLANDO FL 32818 1 04/28/98 00
26245688 05 06/01/98 0
26245688 O 05/01/28
0
1766048 354/354 F 139,200.00 ZZ
360 138,701.40 1
7412 PRESCOTT POND LANE 7.750 997.25 80
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CHARLOTTE NC 28270 1 04/27/98 00
26248997 03 06/01/98 0
26248997 O 05/01/28
0
1766050 354/354 F 122,400.00 ZZ
360 122,151.96 1
503 CAROLINA SANDS DRIVE 8.000 898.13 80
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CAROLINA BEACH NC 28428 2 04/20/98 00
26258376 03 06/01/98 0
1
26258376 O 05/01/28
0
1766051 354/354 F 131,900.00 ZZ
360 131,625.88 1
4031 SNEED ROAD 7.875 956.37 70
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NASHVILLE TN 37215 2 04/24/98 00
26262501 05 06/01/98 0
26262501 O 05/01/28
0
1766052 354/354 F 90,000.00 ZZ
360 89,808.18 1
1 ROLLINGREEN ROAD 7.750 644.78 59
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GREER SC 29651 2 04/24/98 00
26264598 05 06/01/98 0
26264598 O 05/01/28
0
1766053 354/354 F 300,000.00 ZZ
360 299,376.55 1
19 WEATHERBY COURT 7.875 2,175.21 80
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GREENVILLE SC 29615 1 04/22/98 00
26264796 03 06/01/98 0
26264796 O 05/01/28
0
1766055 354/354 F 133,600.00 ZZ
360 133,315.27 1
9000 MAGNOLIA ESTATES DRIVE 7.750 957.13 80
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CORNELIUS NC 28031 1 05/01/98 00
26275032 03 06/01/98 0
26275032 O 05/01/28
0
1766056 354/354 F 99,200.00 ZZ
360 98,977.73 1
165-A EWBANK GARDEN DRIVE 7.500 693.63 79
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HENDERSONVILLE NC 28792 1 04/28/98 00
26286823 01 06/01/98 0
26286823 O 05/01/28
0
1
1766058 354/354 F 142,500.00 ZZ
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350 STRAIGHTAWAY LANE 7.500 996.39 75
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FORT MILL SC 29715 5 04/24/98 00
26299818 05 06/01/98 0
26299818 O 05/01/28
0
1766059 354/354 F 271,000.00 ZZ
360 270,464.58 1
619 OAK FARM COURT 8.125 2,012.17 80
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LUTHERVILLE MD 21093 1 04/30/98 00
26304121 03 06/01/98 0
26304121 O 05/01/28
0
1766060 354/354 F 77,940.00 T
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2976 BUFORD RD. 8.000 571.90 60
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MOUNTAIN HOME AR 72653 1 04/21/98 00
26310359 05 06/01/98 0
26310359 O 05/01/28
0
1766061 354/354 F 142,400.00 ZZ
360 142,096.51 1
1551 BEN SAWYER BLVD 7.750 1,020.18 80
BLDG 38 7.500 1,020.18 178,000.00
MT PLEASANT SC 29464 1 05/01/98 00
26314401 03 06/01/98 0
26314401 O 05/01/28
0
1766062 354/354 F 79,000.00 ZZ
360 78,893.62 1
8626 MORGAN RUN COURT 8.000 579.68 77
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CHARLOTTE NC 28216 2 05/06/98 00
26320473 03 07/01/98 0
26320473 O 06/01/28
0
1766063 354/354 F 58,616.00 ZZ
360 58,494.18 1
11719 PARK ROAD 7.875 425.01 53
7.625 425.01 112,500.00
1
CHARLOTTE NC 28226 5 04/28/98 00
26328054 05 06/01/98 0
26328054 N 05/01/28
0
1766064 354/354 F 91,200.00 ZZ
360 91,074.05 1
7951 BUCCANEER DRIVE 7.875 661.27 80
7.625 661.27 114,000.00
FORT MYERS BEAC FL 33931 1 05/07/98 00
26329532 05 07/01/98 0
26329532 O 06/01/28
0
1766065 354/354 F 78,000.00 ZZ
360 77,883.86 1
2216 CROSSWINDS COURT 7.500 545.39 76
7.250 545.39 103,000.00
KANNAPOLIS NC 28083 2 05/13/98 00
26338889 05 07/01/98 0
26338889 O 06/01/28
0
1766066 354/354 F 72,400.00 ZZ
360 72,300.01 1
2906 FANTASY LANE 7.875 524.96 79
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DECATUR GA 30033 2 05/06/98 00
26341818 05 07/01/98 0
26341818 O 06/01/28
0
1766068 354/354 F 110,000.00 ZZ
360 109,747.33 1
10243 ROBERTS COMMON LANE 7.375 759.75 80
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BURKE VA 22015 1 04/30/98 00
26341891 09 06/01/98 0
26341891 O 05/01/28
0
1766069 354/354 F 425,000.00 ZZ
360 424,398.12 1
1301 WAKEFIELD ROAD 7.750 3,044.76 68
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LYNCHBURG VA 24503 1 05/29/98 00
26346262 05 07/01/98 0
26346262 O 06/01/28
0
1
1766070 354/354 F 40,000.00 ZZ
360 39,916.87 1
1702 ASHMORE GREEN DRIVE 7.875 290.03 51
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JACKSONVILLE FL 32246 1 04/30/98 00
26346684 03 06/01/98 0
26346684 O 05/01/28
0
1766071 354/354 F 71,000.00 ZZ
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990 LUNDY DRIVE 8.000 520.98 74
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TITUSVILLE FL 32796 2 05/18/98 00
26351791 05 07/01/98 0
26351791 O 06/01/28
0
1766072 354/354 F 46,400.00 ZZ
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450 SOUTHEAST 7TH STREET 7.875 336.44 80
UNIT #276 7.625 336.44 58,000.00
DANIA FL 33004 1 05/22/98 00
26355701 01 07/01/98 0
26355701 O 06/01/28
0
1766073 354/354 F 88,000.00 ZZ
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3036 DUNBAR AVENUE 7.625 622.86 56
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FORT COLLINS CO 80526 1 05/05/98 00
26356279 03 07/01/98 0
26356279 O 06/01/28
0
1766075 354/354 F 114,300.00 ZZ
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ASHEVILLE NC 28803 2 05/06/98 00
26359422 05 07/01/98 0
26359422 O 06/01/28
0
1766076 354/354 F 110,000.00 ZZ
360 109,848.10 1
1
7 CROOKED TREE TRAIL 7.875 797.58 80
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ORMOND BEACH FL 32174 1 05/22/98 00
26359554 03 07/01/98 0
26359554 O 06/01/28
0
1766077 354/354 F 127,920.00 ZZ
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5900 WOOD SORREL COURT 7.500 894.44 80
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BURKE VA 22015 1 05/04/98 00
26363150 09 06/01/98 0
26363150 O 05/01/28
0
1766078 354/354 F 300,000.00 ZZ
360 299,360.67 1
230 RIDGEWOOD ROAD 7.750 2,149.24 80
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CORAL GABLES FL 33133 1 05/04/98 00
26363994 05 06/01/98 0
26363994 O 05/01/28
0
1766079 354/354 F 120,000.00 ZZ
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4 MAGNOLIA STREET 8.125 891.00 59
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26366203 05 07/01/98 0
26366203 O 06/01/28
0
1766080 354/354 F 40,400.00 ZZ
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124 SHERIDAN 7.750 289.44 58
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N LITTLE ROCK AR 72116 1 04/23/98 00
26373522 05 06/01/98 0
26373522 O 05/01/28
0
1766081 354/354 F 180,000.00 ZZ
360 179,751.43 1
1103 BISHOPWOOD COURT 7.875 1,305.13 75
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VENICE FL 34293 5 05/20/98 00
26373597 05 07/01/98 0
1
26373597 O 06/01/28
0
1766082 354/354 F 178,000.00 ZZ
360 177,760.32 1
4152 LARCH POINT COVE 8.000 1,306.11 80
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LAKELAND TN 38002 1 05/21/98 00
26375766 05 07/01/98 0
26375766 O 06/01/28
0
1766083 354/354 F 187,850.00 ZZ
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CHICAGO IL 60622 5 06/01/98 00
26381194 05 08/01/98 0
26381194 O 07/01/28
0
1766084 354/354 F 33,600.00 ZZ
360 33,531.90 1
181 NORTHWEST 25TH COURT 8.000 246.55 80
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POMPANO BEACH FL 33064 1 04/30/98 00
26382192 03 06/01/98 0
26382192 O 05/01/28
0
1766085 354/354 F 124,500.00 ZZ
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451 PALISADES DRIVE 7.375 859.90 55
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LAKE OZARK MO 65049 1 05/04/98 00
26386854 03 06/01/98 0
26386854 O 05/01/28
0
1766086 354/354 F 125,000.00 ZZ
360 124,835.89 1
20269 LAMAR 8.125 928.13 58
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STILLWELL KS 66085 1 05/28/98 00
26392712 05 07/01/98 0
26392712 O 06/01/28
0
1
1766087 354/354 F 214,000.00 ZZ
360 213,711.86 1
9832 RIVERVIEW DRIVE 8.000 1,570.26 63
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MICCO FL 32976 5 05/22/98 00
26408401 05 07/01/98 0
26408401 O 06/01/28
0
1766088 354/354 F 64,000.00 ZZ
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1410 LITTLEPAGE STREET 7.375 442.04 80
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FREDERICKSBURG VA 22401 1 05/15/98 00
26408427 05 07/01/98 0
26408427 O 06/01/28
0
1766089 354/354 F 142,900.00 ZZ
360 142,681.85 1
4241 ROTHERHAM COURT 7.375 986.98 80
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PALM HARBOR FL 34685 1 05/08/98 00
26410043 03 07/01/98 0
26410043 O 06/01/28
0
1766090 354/354 F 184,000.00 ZZ
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8380 BLACK HALL 7.625 1,302.35 80
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JONESBORO GA 30236 1 05/15/98 00
26413393 05 07/01/98 0
26413393 O 06/01/28
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1766091 354/354 F 82,000.00 ZZ
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1111 QUAIL CIRCLE 7.750 587.46 80
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DESTIN FL 32541 1 06/01/98 00
26422923 05 07/01/98 0
26422923 O 06/01/28
0
1766092 354/354 F 238,000.00 ZZ
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POTOMAC MD 20854 1 05/28/98 00
26447144 03 07/01/98 0
26447144 O 06/01/28
0
1766093 354/354 F 100,740.00 ZZ
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20421 SOUTHWEST 1ST STREET 7.875 730.44 74
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PEMBROKE PINES FL 33029 1 05/28/98 00
26475905 03 07/01/98 0
26475905 O 06/01/28
0
1766094 354/354 F 80,000.00 ZZ
360 79,877.86 1
121 ASHFORD 7.375 552.55 77
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HOLLISTER MO 65672 1 05/29/98 00
26500140 03 07/01/98 0
26500140 O 06/01/28
0
1766095 354/354 F 159,000.00 ZZ
360 158,887.77 1
101 CHENOWETH DRIVE 7.750 1,139.10 80
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SIMPSONVILLE SC 29681 1 06/05/98 00
26502401 03 08/01/98 0
26502401 O 07/01/28
0
1766099 K18/G02 F 82,050.00 T
360 81,999.00 1
4696 PRAIRIE POINT BOULEVARD 8.375 623.64 80
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KISSIMMEE FL 34746 1 06/15/98 00
0430920256 05 08/01/98 0
95400769 O 07/01/28
0
1766100 828/G02 F 92,700.00 ZZ
360 92,700.00 1
661 BERING 8.500 712.79 90
#210 8.250 712.79 103,000.00
HOUSTON TX 77057 1 07/17/98 11
0430926626 08 09/01/98 25
88780030 N 08/01/28
0
1
1766118 765/G02 F 80,000.00 ZZ
360 79,940.62 1
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0430897272 01 08/01/98 0
142891 O 07/01/28
0
1766124 765/G02 F 345,600.00 ZZ
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10432 MIRA VISTA DRIVE 7.875 2,505.84 80
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0430889782 05 08/01/98 0
334808 O 07/01/28
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1766130 E82/G02 F 71,000.00 ZZ
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RR 1 BOX 162 7.625 502.53 75
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0400128658 05 08/01/98 0
400128658 O 07/01/28
0
1766133 765/G02 F 344,000.00 ZZ
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4875 CAMINITO EXQUISITO 7.625 2,434.82 81
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SAN DIEGO CA 92130 1 06/19/98 23
0430912550 03 08/01/98 0
142972 O 07/01/28
0
1766141 201/G02 F 49,700.00 ZZ
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4850 MAINSTREET VALLEY TRACE 8.250 373.38 70
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STONE MOUNTAIN GA 30088 5 06/15/98 00
0430884197 05 08/01/98 0
504407 N 07/01/28
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1766157 E26/G02 F 89,600.00 ZZ
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18509 SPLIT ROCK LANE 7.500 626.50 74
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0430887117 07 08/01/98 0
44800311 N 07/01/28
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1766159 L47/G02 F 295,800.00 ZZ
360 295,596.43 1
4353 SUMMIT BRIDGE ROAD 7.875 2,144.76 85
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MIDDLETOWN DE 19709 5 06/25/98 01
0430923367 05 08/01/98 12
0286586 O 07/01/28
0
1766160 638/G02 F 85,000.00 ZZ
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7684 SCOBY COURT 7.625 601.62 85
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LAS VEGAS NV 89117 5 05/27/98 10
0430884460 03 07/01/98 12
08749429 O 06/01/28
0
1766163 E22/G02 F 71,100.00 ZZ
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305 & 307 CLARKE AVENUE 8.500 546.70 90
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YAKIMA WA 98902 1 06/01/98 01
0410826820 05 08/01/98 30
410826820 N 07/01/28
0
1766165 003/G02 F 108,000.00 ZZ
360 107,917.82 1
3832 KIRKWOOD RUN 7.375 745.93 80
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KENNESAW GA 30144 1 06/30/98 00
0430888214 03 08/01/98 0
0010507473 O 07/01/28
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1766169 E22/G02 F 68,000.00 ZZ
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721 INDIANA AVENUE (VENICE ARE 8.000 498.96 80
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LOS ANGELES CA 90291 1 06/12/98 00
0410843817 05 08/01/98 0
1
410843817 O 07/01/28
0
1766172 E22/G02 F 140,000.00 ZZ
360 139,908.42 1
835 MELISSA STREET SOUTHE 8.125 1,039.50 80
7.875 1,039.50 175,000.00
SALEM OR 97306 1 06/12/98 00
0410886063 05 08/01/98 0
410886063 O 07/01/28
0
1766194 L02/G02 F 94,050.00 ZZ
360 93,980.20 1
21 PIEDMONT COURT 7.500 657.61 90
7.250 657.61 104,500.00
BALTIMORE MD 21227 1 06/30/98 12
0430888305 07 08/01/98 25
981412 N 07/01/28
0
1766199 201/G02 F 79,700.00 ZZ
360 79,647.86 1
2403 E TIMBERLANE DRIVE 8.125 591.78 90
7.875 591.78 88,600.00
PLANT CITY FL 33566 1 06/18/98 11
0430890384 05 08/01/98 25
5309083961 N 07/01/28
0
1766201 E26/G02 F 120,000.00 ZZ
360 119,915.30 1
8313 WEST BOULEVARD DRIVE 7.750 859.70 48
7.500 859.70 250,000.00
ALEXANDRIA VA 22308 1 06/16/98 00
0430885269 05 08/01/98 0
448002489 O 07/01/28
0
1766204 698/G02 F 500,000.00 ZZ
360 499,664.51 1
5001 GAVIOTA AVENUE 8.000 3,668.82 67
7.750 3,668.82 750,000.00
LOS ANGELES (EN CA 91436 5 06/23/98 00
0430889329 05 08/01/98 0
34204530 O 07/01/28
0
1
1766205 225/225 F 145,000.00 ZZ
360 144,770.46 1
938 WEST BELLE PLAINE UNIT 3W 8.375 1,102.11 81
8.125 1,102.11 179,000.00
CHICAGO IL 60613 2 05/28/98 12
7009303 01 07/01/98 12
7009303 O 06/01/28
0
1766207 624/G02 F 185,400.00 ZZ
360 185,269.14 1
1120 COUNTRY CLUB ROAD 7.750 1,328.23 80
7.500 1,328.23 231,830.00
FORT COLLINS CO 80524 1 06/26/98 00
0430887141 05 08/01/98 0
73011580913 O 07/01/28
0
1766212 225/225 F 52,425.00 ZZ
360 52,388.92 1
1311 163RD AVE SE 7.875 380.12 75
7.625 380.12 69,900.00
GRANDIN ND 58038 5 06/16/98 00
7013549 05 08/01/98 0
7013549 O 07/01/28
0
1766225 E22/G02 F 160,000.00 ZZ
360 159,884.20 1
1130 WEST BEACON AVENUE 7.625 1,132.47 80
7.375 1,132.47 200,000.00
ANAHEIM CA 92802 1 06/10/98 00
0410902589 05 08/01/98 0
410902589 O 07/01/28
0
1766230 E22/G02 F 152,000.00 ZZ
360 151,747.92 1
2621 LA CUESTA AVENUE 7.500 1,062.81 80
7.250 1,062.81 190,000.00
OAKLAND CA 94611 1 06/08/98 00
0410829832 05 08/01/98 0
410829832 O 07/01/28
0
1766232 E22/G02 F 176,000.00 ZZ
360 175,869.38 1
1847 GABRIEL COURT 7.500 1,230.62 80
7.250 1,230.62 220,000.00
1
SANTA ROSA CA 95403 1 06/02/98 00
0410839468 05 08/01/98 0
410839468 O 07/01/28
0
1766239 B35/G02 F 222,400.00 ZZ
360 222,226.50 1
7923 11TH AVENUE S 7.250 1,517.17 80
7.000 1,517.17 278,000.00
ST PETERSBURG FL 33707 2 06/26/98 00
0430892745 05 08/01/98 0
98000731 O 07/01/28
0
1766243 B35/G02 F 146,500.00 ZZ
360 146,391.28 1
214 EAST DICKERSON LANE 7.500 1,024.35 80
7.250 1,024.35 185,000.00
MIDDLETOWN DE 19709 2 06/22/98 00
0430892711 05 08/01/98 0
98001702 O 07/01/28
0
1766252 940/G02 F 41,600.00 ZZ
360 41,571.37 1
13863 NORTH STAR AVENUE 7.875 301.63 75
7.625 301.63 55,500.00
VICTORVILLE CA 92392 1 06/16/98 00
0430900936 05 08/01/98 0
20805 O 07/01/28
0
1766255 874/G02 F 103,500.00 ZZ
360 103,500.00 2
1221-1223 LANDER STREET 8.250 777.56 56
8.000 777.56 185,000.00
RENO NV 89509 2 07/08/98 00
0430930941 05 09/01/98 0
3741514 N 08/01/28
0
1766256 562/562 F 172,000.00 ZZ
360 171,887.48 1
53 WINTHROP DRIVE 8.125 1,277.10 80
7.875 1,277.10 215,000.00
CORTLANDT MANOR NY 10566 1 06/29/98 00
565325 05 08/01/98 0
565325 O 07/01/28
0
1
1766264 F03/G02 F 244,000.00 ZZ
360 244,000.00 1
9592 STANFORD AVENUE 7.500 1,706.08 80
7.250 1,706.08 305,000.00
GARDEN GROVE CA 92841 5 07/13/98 00
0430929711 05 09/01/98 0
LAG11019 O 08/01/28
0
1766267 225/225 F 54,900.00 ZZ
360 54,866.73 1
8519 EBY 8.500 422.14 90
8.250 422.14 61,000.00
OVERLAND PARK KS 66212 1 06/09/98 10
7028613 05 08/01/98 25
7028613 N 07/01/28
0
1766274 975/G02 F 350,000.00 ZZ
360 349,740.25 1
12 RUE CEZANNE 7.500 2,447.25 70
7.250 2,447.25 505,000.00
COTO DE CAZA AR CA 92679 1 06/15/98 00
0430900134 03 08/01/98 0
981846 O 07/01/28
0
1766296 731/G02 F 461,600.00 ZZ
360 461,265.90 1
239 HILL STREET 7.625 3,267.18 80
7.375 3,267.18 577,000.00
SOLANA BEACH CA 92075 1 06/22/98 00
0430888016 05 08/01/98 0
613512638 O 07/01/28
0
1766299 904/G02 F 101,000.00 ZZ
360 100,933.92 1
2608 NORTH 270 EAST 8.125 749.93 67
7.875 749.93 151,000.00
NORTH LOGAN UT 84341 5 06/25/98 00
0430889592 05 08/01/98 0
UNKNOWN O 07/01/28
0
1766300 731/G02 F 93,800.00 ZZ
360 93,740.19 1
1
15518 SOUTHEAST 178TH PLACE 8.250 704.69 61
8.000 704.69 156,000.00
RENTON WA 98058 2 06/24/98 00
0430893149 03 08/01/98 0
230235313 O 07/01/28
0
1766302 963/G02 F 94,500.00 ZZ
360 94,444.20 3
304 EAST 33 STREET 8.625 735.02 90
8.375 735.02 105,000.00
HIALEAH FL 33013 1 06/24/98 11
0430890715 05 08/01/98 25
980578 N 07/01/28
0
1766303 731/G02 F 154,000.00 ZZ
360 153,906.70 3
515 LYNCH AVENUE 8.500 1,184.13 70
8.250 1,184.13 220,000.00
ATLANTA GA 30318 5 06/29/98 00
0430896480 05 08/01/98 0
3140667784 N 07/01/28
0
1766308 076/076 F 105,000.00 ZZ
360 104,847.51 1
25 BELLE BROOK LANE 7.625 743.19 78
7.375 743.19 136,000.00
HARWICHPORT MA 02646 1 05/12/98 00
1286253 05 07/01/98 0
1286253 O 06/01/28
0
1766309 076/076 F 127,900.00 ZZ
360 127,606.21 1
4 LEDGEMONT DRIVE 7.375 883.38 80
7.125 883.38 160,000.00
LINCOLN RI 02865 1 04/24/98 00
1317393 05 06/01/98 0
1317393 O 05/01/28
0
1766310 076/076 F 115,200.00 ZZ
300 114,941.76 1
34 LINDY STREET 7.625 860.71 80
7.375 860.71 144,000.00
MILFORD CT 06460 2 05/04/98 00
1322113 05 07/01/98 0
1
1322113 O 06/01/23
0
1766311 076/076 F 84,800.00 ZZ
360 84,676.85 3
97-99 EVERETT STREET 7.625 600.21 80
7.375 600.21 106,000.00
EAST BOSTON MA 02128 1 05/06/98 00
1329073 05 07/01/98 0
1329073 N 06/01/28
0
1766312 076/076 F 122,500.00 ZZ
360 122,232.32 1
285 LEBANON STREET 7.625 867.05 70
7.375 867.05 175,000.00
MELROSE MA 02176 1 04/29/98 00
1331023 05 06/01/98 0
1331023 O 05/01/28
0
1766313 076/076 F 148,000.00 ZZ
360 147,684.57 3
120 ADAMS STREET 7.750 1,060.30 78
7.500 1,060.30 192,000.00
DORCHESTER MA 02124 2 04/03/98 00
1345963 05 06/01/98 0
1345963 N 05/01/28
0
1766314 076/076 F 53,000.00 ZZ
360 50,809.67 1
11 DIXWELL STREET 7.625 375.14 64
7.375 375.14 83,000.00
SPRINGFIELD MA 01108 5 05/04/98 00
1365053 05 07/01/98 0
1365053 O 06/01/28
0
1766315 076/076 F 62,250.00 ZZ
360 62,113.56 1
35 ELDRIDGE ROAD 7.625 440.61 75
UNIT 106 7.375 440.61 84,000.00
JAMAICA PLAIN MA 02130 1 04/14/98 00
1366003 01 06/01/98 0
1366003 O 05/01/28
0
1
1766316 076/076 F 95,000.00 ZZ
360 94,777.73 1
2 JAMESON DRIVE 8.250 713.71 80
8.000 713.71 119,000.00
BRISTOL RI 02809 2 05/12/98 00
1394011 05 07/01/98 0
1394011 O 06/01/28
0
1766317 076/076 F 130,500.00 ZZ
360 69,833.55 1
96 RANDOLPH STREET 7.750 934.92 55
7.500 934.92 238,000.00
WEYMOUTH MA 02190 1 04/30/98 00
5982182 05 06/01/98 0
5982182 N 05/01/28
0
1766318 076/076 F 230,000.00 ZZ
240 227,839.53 2
63 PARK AVENUE 8.500 1,996.00 77
8.250 1,996.00 300,000.00
WHITE PLAINS NY 10606 5 02/23/98 00
7136272 05 04/01/98 0
7136272 O 03/01/18
0
1766320 076/076 F 214,000.00 ZZ
360 213,543.93 1
827 ST KITTS COURT 7.750 1,533.13 66
7.500 1,533.13 328,000.00
SAN JOSE CA 95127 5 04/01/98 00
7144936 05 06/01/98 0
7144936 O 05/01/28
0
1766322 076/076 F 135,000.00 ZZ
360 134,703.62 1
3 ROSEDALE STREET 7.625 955.53 78
7.375 955.53 175,000.00
HOLTSVILLE NY 11742 2 05/07/98 00
7146198 05 07/01/98 0
7146198 O 06/01/28
0
1766323 076/076 F 235,000.00 ZZ
360 234,278.10 1
16198 BIMINI LANE 7.375 1,623.09 48
7.125 1,623.09 490,000.00
1
HUNTINGTON BEAC CA 92649 2 03/19/98 00
7146436 03 05/01/98 0
7146436 O 04/01/28
0
1766324 076/076 F 397,000.00 ZZ
360 396,065.28 1
536 22ND STREET 7.250 2,708.24 26
7.000 2,708.24 1,550,000.00
SANTA MONICA CA 90402 2 04/15/98 00
7147209 05 06/01/98 0
7147209 O 05/01/28
0
1766325 076/076 F 150,000.00 ZZ
360 148,697.56 1
16452 SANDALWOOD STREET 7.625 1,061.70 65
7.375 1,061.70 234,000.00
FOUNTAIN VALLEY CA 92708 5 04/13/98 00
7148596 05 06/01/98 0
7148596 O 05/01/28
0
1766327 076/076 F 247,000.00 ZZ
360 246,499.48 1
1232 MEADOW COURT 8.000 1,812.40 74
7.750 1,812.40 335,000.00
UPLAND CA 91784 2 04/10/98 00
7148784 05 06/01/98 0
7148784 O 05/01/28
0
1766328 076/076 F 74,750.00 ZZ
360 74,613.17 3
38 STELLMAN ROAD 8.500 574.77 65
8.250 574.77 115,000.00
ROSLINDALE MA 02131 1 04/21/98 00
7149307 05 06/01/98 0
7149307 N 05/01/28
0
1766329 076/076 F 150,000.00 ZZ
360 149,477.74 2
4 RIDGE ROAD 7.750 1,074.62 75
7.500 1,074.62 200,000.00
GARRISON NY 10524 2 04/16/98 00
7151228 05 06/01/98 0
7151228 O 05/01/28
0
1
1766330 076/076 F 398,800.00 ZZ
360 398,285.66 1
7330 DEER PARK TRAIL 8.250 2,996.06 78
8.000 2,996.06 513,000.00
INDEPENDENCE TW MI 48346 2 05/11/98 00
7151798 05 07/01/98 0
7151798 O 06/01/28
0
1766331 076/076 F 143,100.00 ZZ
360 142,838.06 1
3030 SW 40 STREET 8.500 1,100.32 90
8.250 1,100.32 159,000.00
MIAMI FL 33133 1 04/27/98 12
7151922 05 06/01/98 25
7151922 N 05/01/28
0
1766332 076/076 F 42,300.00 ZZ
360 42,252.39 1
284 NW 75TH STREET 8.875 336.56 90
8.625 336.56 47,000.00
MIAMI FL 33147 1 05/11/98 14
7152519 05 07/01/98 25
7152519 N 06/01/28
0
1766333 076/076 F 219,000.00 ZZ
240 217,894.34 1
6404 LOCHRIDGE ROAD 8.125 1,848.88 93
7.875 1,848.88 236,000.00
COLUMBIA MD 21044 2 04/30/98 14
7153122 05 06/01/98 30
7153122 O 05/01/18
0
1766334 076/076 F 325,900.00 ZZ
360 325,482.93 1
31082 PASEO RANCHERO 8.250 2,448.38 66
8.000 2,448.38 500,000.00
SAN JUAN CAPIST CA 92675 2 05/07/98 00
7153521 03 07/01/98 0
7153521 O 06/01/28
0
1766335 076/076 F 189,100.00 ZZ
360 188,744.91 4
1
737 42ND STREET SW 8.375 1,437.30 85
8.125 1,437.30 223,000.00
LOVELAND CO 80537 1 04/30/98 01
7153719 05 06/01/98 25
7153719 N 05/01/28
0
1766336 076/076 F 156,000.00 ZZ
360 155,632.68 1
811 CAMBRIA PLACE 7.250 1,064.20 70
7.000 1,064.20 223,393.00
ENCINITAS CA 92024 1 04/27/98 00
7154630 01 06/01/98 0
7154630 O 05/01/28
0
1766337 076/076 F 206,000.00 ZZ
360 205,693.26 1
2204 SPRINGLAKE DRIVE 7.500 1,440.39 80
7.250 1,440.39 257,500.00
TIMONIUM MD 21093 1 05/14/98 00
7155450 05 07/01/98 0
7155450 O 06/01/28
0
1766339 076/076 F 363,300.00 ZZ
360 362,520.11 1
32 JACKRABBIT LANE 7.500 2,540.25 70
7.250 2,540.25 519,000.00
SANTA FE NM 87505 1 05/11/98 00
7156889 05 07/01/98 0
7156889 O 06/01/28
0
1766340 076/076 F 94,000.00 ZZ
360 93,804.64 1
4228 W PARKLAND AVENUE 7.875 681.57 80
7.625 681.57 117,500.00
BROWN DEER WI 53209 1 04/17/98 00
7213721 05 06/01/98 0
7213721 O 05/01/28
0
1766341 076/076 F 35,000.00 ZZ
360 34,950.42 1
122 JAMES DRIVE 7.750 250.75 70
7.500 250.75 50,000.00
GULFPORT MS 39503 5 05/06/98 00
7213772 05 07/01/98 0
1
7213772 N 06/01/28
0
1766342 076/076 F 67,020.00 ZZ
240 66,773.43 1
3626 EAST BIJOU STREET 7.375 534.80 69
7.125 534.80 98,000.00
COLORADO SPRING CO 80909 5 05/21/98 00
7214912 05 07/01/98 0
7214912 O 06/01/18
0
1766343 076/076 F 293,600.00 ZZ
360 292,925.66 1
3801 BRAEWOOD CIRCLE 7.375 2,027.82 80
7.125 2,027.82 367,000.00
PLANO TX 75093 1 04/21/98 00
7215697 05 06/01/98 0
7215697 O 05/01/28
0
1766345 076/076 F 180,000.00 ZZ
360 179,738.61 1
15121 38TH AVENUE NORTHEAST 7.625 1,274.03 71
7.375 1,274.03 255,000.00
SEATTLE WA 98155 1 05/06/98 00
7218305 05 07/01/98 0
7218305 O 06/01/28
0
1766346 076/076 F 175,000.00 ZZ
360 174,764.37 1
6 WHITEHORSE ROAD 8.000 1,284.09 65
7.750 1,284.09 270,000.00
LINCOLN RI 02865 2 05/06/98 00
7218387 05 07/01/98 0
7218387 O 06/01/28
0
1766347 076/076 F 65,000.00 ZZ
360 64,920.98 1
1672 CALLE NUEVE 8.500 499.79 60
8.250 499.79 110,000.00
LOMPOC CA 93436 5 05/11/98 00
7219272 05 07/01/98 0
7219272 O 06/01/28
0
1
1766348 076/076 F 281,800.00 ZZ
360 281,228.97 1
115 DARRINGTON DRIVE 8.000 2,067.75 90
7.750 2,067.75 313,200.00
FOLSOM CA 95630 1 04/27/98 11
7219952 05 06/01/98 25
7219952 O 05/01/28
0
1766349 076/076 F 132,000.00 ZZ
360 131,817.72 1
430 FOX RUN PLACE 7.875 957.09 80
7.625 957.09 166,000.00
RAPID CITY SD 57701 1 05/20/98 00
7220156 05 07/01/98 0
7220156 O 06/01/28
0
1766350 076/076 F 108,000.00 ZZ
360 107,642.53 1
1106 STERLING DRIVE 7.625 764.42 80
7.375 764.42 135,000.00
PAPILLION NE 68046 1 05/28/98 00
7222166 05 07/01/98 0
7222166 O 06/01/28
0
1766351 076/076 F 151,500.00 ZZ
360 151,190.14 1
16524 W 80TH STREET 7.875 1,098.48 80
7.625 1,098.48 189,950.00
LENEXA KS 66219 1 05/28/98 00
7222803 03 07/01/98 0
7222803 O 06/01/28
0
1766352 076/076 F 54,650.00 T
360 54,583.53 1
2 ABBYSHIRE LANE 8.500 420.22 75
8.250 420.22 72,900.00
BERLIN MD 21811 1 05/08/98 00
7223239 03 07/01/98 0
7223239 O 06/01/28
0
1766354 076/076 F 185,520.00 ZZ
360 185,257.27 1
1853 SOUTH CHOKECHERRY CIRCLE 7.750 1,329.09 80
7.500 1,329.09 231,900.00
1
BOUNTIFUL UT 84010 2 05/22/98 00
7225702 05 07/01/98 0
7225702 O 06/01/28
0
1766355 076/076 F 97,150.38 ZZ
353 96,850.90 1
434 WEST 700 NORTH 7.625 691.47 80
7.375 691.47 122,000.00
OREM UT 84057 1 04/01/98 00
8700582 03 05/01/98 0
8700582 O 09/01/27
0
1766356 076/076 F 150,200.00 ZZ
360 149,749.92 1
810 VISTA GRANDE DRIVE 7.500 1,050.22 56
7.250 1,050.22 272,500.00
COLORADO SPRING CO 80906 2 03/26/98 00
9358352 05 05/01/98 0
9358352 O 04/01/28
0
1766357 076/076 F 80,000.00 ZZ
360 79,900.20 1
75 B GROVEWOOD ROAD 8.375 608.06 62
8.125 608.06 130,000.00
ASHEVILLE NC 28804 5 05/20/98 00
9400822 05 07/01/98 0
9400822 N 06/01/28
0
1766358 076/076 F 86,500.00 ZZ
360 86,380.55 1
130 TAR HEEL DRIVE 7.875 627.19 65
7.625 627.19 134,576.00
DELAWARE OH 43015 1 05/11/98 00
9415682 05 07/01/98 0
9415682 O 06/01/28
0
1766359 076/076 F 350,000.00 T
360 349,254.11 1
79680 BERMUDA DUNES DRIVE 7.750 2,507.45 73
7.500 2,507.45 480,000.00
BERMUDA DUNES CA 92201 2 04/21/98 00
9439932 05 06/01/98 0
9439932 O 05/01/28
0
1
1766360 076/076 F 227,000.00 ZZ
360 226,491.43 1
8710 E SADDLE CREEK RD 7.500 1,587.22 65
7.250 1,587.22 350,000.00
SIOUX FALLS SD 57110 2 03/31/98 00
9460602 05 06/01/98 0
9460602 O 05/01/28
0
1766361 076/076 F 56,500.00 ZZ
360 56,419.98 1
647 CRAWFORD VIEW ROAD 7.750 404.78 71
7.500 404.78 80,700.00
AFTON VA 22920 5 05/05/98 00
9487572 05 07/01/98 0
9487572 O 06/01/28
0
1766362 076/076 F 74,700.00 ZZ
360 74,517.04 1
691 BRIGHTON DRIVE 8.500 574.38 88
8.250 574.38 85,000.00
LAWRENCEVILLE GA 30043 1 03/27/98 14
9494462 05 05/01/98 25
9494462 N 04/01/28
0
1766363 076/076 F 65,000.00 ZZ
360 64,916.81 1
8727 LAFAYETTE AVENUE 8.250 488.33 44
8.000 488.33 150,000.00
OMAHA NE 68114 2 05/07/98 00
9516822 05 07/01/98 0
9516822 O 06/01/28
0
1766364 076/076 F 52,000.00 ZZ
360 51,922.58 1
4820 M STREET 7.500 363.59 49
7.250 363.59 108,000.00
LINCOLN NE 68510 1 05/15/98 00
9542032 05 07/01/98 0
9542032 O 06/01/28
0
1766365 076/076 F 90,000.00 T
360 89,865.98 1
1
1228 TWIN POINTS ROAD 7.500 629.30 80
7.250 629.30 113,000.00
HOT SPRINGS AR 71913 2 05/13/98 00
9542162 01 07/01/98 0
9542162 O 06/01/28
0
1766366 076/076 F 206,000.00 ZZ
360 205,693.26 1
10918 CHARDONNAY PLACE 7.500 1,440.39 68
7.250 1,440.39 305,000.00
SAN DIEGO CA 92131 5 05/04/98 00
9549132 05 07/01/98 0
9549132 O 06/01/28
0
1766367 076/076 F 103,400.00 ZZ
360 103,274.27 3
161 CUMBERLAND AVENUE 8.500 795.06 80
8.250 795.06 130,000.00
PORTLAND ME 04103 2 06/01/98 12
9556452 05 07/01/98 17
9556452 N 06/01/28
0
1766368 076/076 F 63,000.00 ZZ
360 62,865.74 1
37 GREAT MEADOW LANE 7.750 451.34 75
#25C 7.500 451.34 84,000.00
FARMINGTON CT 06032 1 04/30/98 00
9634762 01 06/01/98 0
9634762 O 05/01/28
0
1766369 076/076 F 188,000.00 ZZ
360 187,720.07 1
1708 QUEENSBURY WAY 7.500 1,314.53 80
7.250 1,314.53 237,500.00
FORT SMITH AR 72908 2 05/01/98 00
9705792 05 07/01/98 0
9705792 O 06/01/28
0
1766370 076/076 F 356,250.00 ZZ
360 355,758.05 3
66 ARGILLA ROAD 7.875 2,583.06 75
7.625 2,583.06 475,000.00
IPSWICH MA 01938 1 05/06/98 00
9852692 05 07/01/98 0
1
9852692 O 06/01/28
0
1766371 076/076 F 86,400.00 ZZ
360 86,182.95 1
1888 OXFORD SQUARE 8.375 656.70 90
8.125 656.70 96,050.00
BEL AIR MD 21014 1 03/25/98 11
9875322 09 05/01/98 25
9875322 N 04/01/28
0
1766372 076/076 F 97,100.00 ZZ
360 96,691.12 1
2403 HAMDEN COURT 7.750 695.64 65
7.500 695.64 149,400.00
CROFTON MD 21114 1 04/16/98 00
9965462 03 06/01/98 0
9965462 N 05/01/28
0
1766373 076/076 F 300,000.00 ZZ
360 299,422.14 1
90 BEACON STREET 8.250 2,253.80 79
UNIT 3 8.000 2,253.80 380,000.00
BOSTON MA 02108 1 04/30/98 00
9974532 01 06/01/98 0
9974532 O 05/01/28
0
1766378 A06/G02 F 200,000.00 ZZ
360 199,855.24 1
2465 TRAVER BLVD 7.625 1,415.59 80
7.375 1,415.59 250,000.00
ANN ARBOR MI 48105 5 06/03/98 00
0430901777 05 08/01/98 0
9804563 O 07/01/28
0
1766379 163/G02 F 153,600.00 T
360 153,387.89 1
1528 YALE STREET #3 7.875 1,113.71 80
7.625 1,113.71 192,000.00
SANTA MONICA CA 90404 1 05/22/98 00
0430889238 01 07/01/98 0
0216191225 O 06/01/28
0
1
1766387 H55/G02 F 76,500.00 ZZ
360 76,453.65 2
421-423 WEST 23RD STREET 8.500 588.22 90
8.250 588.22 85,000.00
PUEBLO CO 81003 1 06/29/98 12
0430920215 05 08/01/98 25
061798 N 07/01/28
0
1766388 134/G02 F 184,000.00 ZZ
360 183,873.37 1
22710 NORTH 74TH LANE 7.875 1,334.13 80
7.625 1,334.13 230,000.00
GLENDALE AZ 85310 2 06/08/98 00
0430880310 03 08/01/98 0
59316460 O 07/01/28
0
1766392 134/G02 F 114,000.00 ZZ
360 113,917.49 1
10904 S WINEVIEW DRIVE 7.625 806.89 64
7.375 806.89 180,000.00
OKLAHOMA CITY OK 73170 1 06/19/98 00
0430880328 05 08/01/98 0
59301116 O 07/01/28
0
1766393 K09/G02 F 154,000.00 ZZ
360 153,891.31 1
405 WILLOWBROOK DRIVE 7.750 1,103.27 76
7.500 1,103.27 204,000.00
RICHFIELD UT 84701 2 06/25/98 00
0430884825 05 08/01/98 0
0000 O 07/01/28
0
1766413 638/G02 F 127,200.00 ZZ
360 127,118.89 1
1801 UNIVERSITY AVENUE #307 8.250 955.61 80
8.000 955.61 159,000.00
BERKELEY CA 94703 1 06/15/98 00
0430889253 01 08/01/98 0
8756809 N 07/01/28
0
1766416 638/G02 F 180,000.00 ZZ
360 179,869.72 1
10404 FALLS CHURCH AVENUE 7.625 1,274.03 73
7.375 1,274.03 249,925.00
1
LAS VEGAS NV 89134 1 06/19/98 00
0430888982 03 08/01/98 0
8702647 O 07/01/28
0
1766419 638/G02 F 148,000.00 ZZ
360 147,900.70 1
8588 DOVERBROOK DRIVE 8.000 1,085.97 80
7.750 1,085.97 185,000.00
PALM BEACH GARD FL 33410 1 06/25/98 00
0430889071 03 08/01/98 0
8750068 O 07/01/28
0
1766420 638/G02 F 31,500.00 ZZ
360 31,481.41 1
5-4 OAKLANDS CONDOMINIUM 8.625 245.00 75
BROOKSIDE DRIVE 8.375 245.00 42,000.00
EXETER NH 03833 1 06/25/98 00
0430889196 01 08/01/98 0
8751422 N 07/01/28
0
1766428 E57/G02 F 295,200.00 ZZ
360 294,986.34 1
1002 SUMMITRIDGE DRIVE 7.625 2,089.41 80
7.375 2,089.41 369,000.00
DIAMOND BAR CA 91765 2 06/25/98 00
0430890871 05 08/01/98 0
202542005249 O 07/01/28
0
1766434 E22/G02 F 140,800.00 ZZ
360 140,705.53 1
36820 CARRIAGE DRIVE 8.000 1,033.14 80
7.750 1,033.14 176,000.00
STELING HEIGHTS MI 48310 5 06/04/98 00
0410876023 05 08/01/98 0
410876023 O 07/01/28
0
1766438 E22/G02 F 161,500.00 ZZ
240 161,225.82 1
52 PERIMETER DRIVE 8.000 1,350.85 95
7.750 1,350.85 170,000.00
SYLVA NC 28779 2 06/17/98 04
0410866958 05 08/01/98 30
410866958 O 07/01/18
0
1
1766463 H93/G02 F 48,600.00 ZZ
360 48,571.30 1
414 CENTRE STREET 8.625 378.01 90
8.375 378.01 54,000.00
CHARLOTTE NC 28216 2 06/19/98 14
0430900753 05 08/01/98 25
9834142 N 07/01/28
0
1766534 H93/G02 F 72,100.00 ZZ
360 72,051.63 1
302 SOUTH JACOBSEN 8.000 529.04 70
7.750 529.04 103,000.00
THOMASBORO IL 61878 5 06/19/98 00
0430890459 05 08/01/98 0
9838437 O 07/01/28
0
1766610 225/225 F 118,000.00 ZZ
360 117,932.11 4
224 BLACKHAWK STREET 8.750 928.31 77
8.500 928.31 155,000.00
AURORA IL 60506 2 06/25/98 00
7022059 05 08/01/98 0
7022059 N 07/01/28
0
1766753 225/225 F 46,350.00 ZZ
360 46,321.91 2
2232 WOODSON ROAD 8.500 356.40 90
8.250 356.40 51,500.00
OVERLAND MO 63114 1 06/24/98 04
7034699 05 08/01/98 25
7034699 N 07/01/28
0
1766761 B28/G02 F 224,950.00 ZZ
360 224,774.51 1
15450 EAST POWERS DRIVE 7.250 1,534.56 80
7.000 1,534.56 282,000.00
AURORA CO 80015 1 06/29/98 00
0430904094 03 08/01/98 0
980172 O 07/01/28
0
1767067 E45/G02 F 70,000.00 ZZ
360 69,954.21 1
1
RT 15 BOX 3544 8.125 519.75 80
7.875 519.75 87,500.00
LAKE CITY FL 32024 1 06/10/98 00
0430886341 05 08/01/98 0
39856 O 07/01/28
0
1767115 B35/G02 F 129,200.00 ZZ
360 128,939.41 1
2693 TOWNSHIP ROAD 7.875 936.79 79
7.625 936.79 164,000.00
QUAKERTOWN PA 18951 5 06/19/98 00
0430893420 05 08/01/98 0
98001601 O 07/01/28
0
1767204 180/G02 F 88,200.00 ZZ
360 88,050.56 2
10503 LITTLE PEBBLE DRIVE 8.875 701.76 90
8.625 701.76 98,000.00
AUSTIN TX 78758 1 05/01/98 04
0430932707 05 06/01/98 25
12767562 N 05/01/28
0
1767256 180/G02 F 73,300.00 ZZ
360 73,252.05 1
6580 NORTH POSITANO WAY 8.125 544.25 90
7.875 544.25 81,500.00
TUCSON AZ 85741 1 06/16/98 01
0430918185 05 08/01/98 25
12918587 N 07/01/28
0
1767295 K30/G02 F 112,000.00 ZZ
360 111,924.85 1
85 BAILEY LANE 8.000 821.82 80
7.750 821.82 140,000.00
CASTLE VALLEY UT 84532 1 06/23/98 00
0430900340 05 08/01/98 0
0054219 O 07/01/28
0
1767300 575/G02 F 115,000.00 ZZ
360 114,918.83 1
19115 JOLIET ROAD 7.750 823.88 61
7.500 823.88 191,000.00
SHERIDAN IN 46069 1 06/29/98 00
0430891762 05 08/01/98 0
1
0009120643 O 07/01/28
0
1767308 575/G02 F 70,000.00 ZZ
360 69,955.36 1
521 THORNE DRIVE 8.250 525.89 70
8.000 525.89 101,000.00
BROWNSBURG IN 46112 5 06/16/98 00
0430891960 05 08/01/98 0
0009127911 N 07/01/28
0
1767323 568/G02 F 336,000.00 ZZ
360 335,768.77 1
15232 PRESILLA DRIVE 7.875 2,436.23 80
7.625 2,436.23 421,000.00
JAMUL CA 91935 1 06/22/98 00
0430892067 03 08/01/98 0
169102 O 07/01/28
0
1767328 498/G02 F 184,850.00 ZZ
360 184,725.96 1
15486 MCELROY ROAD 8.000 1,356.37 63
7.750 1,356.37 298,000.00
WHITEHOUSE TX 75791 2 06/25/98 00
0430894071 05 08/01/98 0
1504370 O 07/01/28
0
1767330 227/G02 F 312,000.00 ZZ
360 311,785.28 1
12024 BLUESTONE DRIVE 7.875 2,262.22 80
7.625 2,262.22 390,000.00
INDIANAPOLIS IN 46236 1 06/17/98 00
0430907360 03 08/01/98 0
1808150 O 07/01/28
0
1767336 K15/G02 F 105,300.00 ZZ
360 105,236.20 2
16780-16790 EAST 13TH AVENUE 8.500 809.67 90
8.250 809.67 117,000.00
AURORA CO 80011 1 06/25/98 14
0430904417 05 08/01/98 25
629772 N 07/01/28
0
1
1767738 M39/G02 F 67,344.00 ZZ
360 67,344.00 1
261 NORTH 400 EAST, #102 7.750 482.46 80
7.500 482.46 84,180.00
PROVO UT 84606 1 07/09/98 00
0430910307 01 09/01/98 0
291286 N 08/01/28
0
1767891 E82/G02 F 45,000.00 ZZ
360 45,000.00 1
92 FAIRVIEW STREET 8.625 350.01 90
8.375 350.01 50,000.00
CARLISLE PA 17013 1 07/07/98 04
0400125548 05 09/01/98 25
400125548 N 08/01/28
0
1767893 A02/G02 F 90,000.00 ZZ
360 90,000.00 2
2866 MINTO AVENUE 8.875 716.08 65
8.625 716.08 140,000.00
CINCINNATI OH 45208 5 07/17/98 00
0430922054 05 09/01/98 0
80401 N 08/01/28
0
1767902 561/561 F 238,400.00 ZZ
360 238,244.05 1
625 SEA OATS COURT 8.125 1,770.12 80
7.875 1,770.12 298,000.00
COROLLA NC 27927 4 06/16/98 00
9126228 03 08/01/98 0
9126228 N 07/01/28
0
1767904 A02/G02 F 190,000.00 ZZ
360 190,000.00 1
30651 SOUTH WILL CENTER ROAD 8.500 1,460.94 70
8.250 1,460.94 275,000.00
PEOTONE IL 60468 2 07/20/98 00
0430932285 05 09/01/98 0
987152 O 08/01/28
0
1767913 593/593 F 105,000.00 ZZ
360 104,713.06 1
2824 WEST PIONEER ROAD 7.875 761.33 68
7.625 761.33 155,000.00
1
SLATERVILLE UT 84404 2 05/29/98 00
0006418115 05 07/01/98 0
0006418115 O 06/01/28
0
1767930 A01/G02 F 238,400.00 ZZ
360 238,400.00 1
304 PRIMROSE DRIVE 8.000 1,749.29 80
7.750 1,749.29 298,000.00
PLEASANT HILL CA 94523 1 07/10/98 00
0430928978 03 09/01/98 0
UNKNOWN O 08/01/28
0
1767948 964/G02 F 354,000.00 ZZ
360 354,000.00 1
8628 LA VELA AVENUE 7.250 2,414.90 80
7.000 2,414.90 442,500.00
WHITTIER CA 90601 1 07/10/98 00
0430909481 05 09/01/98 0
39150 O 08/01/28
0
1768034 F03/G02 F 99,200.00 ZZ
360 99,200.00 1
1160 W GAIL COURT 7.625 702.13 80
7.375 702.13 124,000.00
CHANDLER AZ 85224 1 07/13/98 00
0430902346 03 09/01/98 0
MES10710 O 08/01/28
0
1768045 163/G02 F 131,000.00 ZZ
360 130,809.77 1
2405 PADDOCK LANE 7.625 927.21 73
7.375 927.21 180,735.00
LAS VEGAS NV 89115 1 05/29/98 00
0430893057 05 07/01/98 0
21616588 O 06/01/28
0
1768089 765/G02 F 268,000.00 ZZ
360 267,820.18 1
18220 HARBOR DRIVE 8.000 1,966.49 80
7.750 1,966.49 335,000.00
VICTORVILLE CA 92392 1 06/24/98 00
0430894808 03 08/01/98 0
335024 O 07/01/28
0
1
1768114 765/G02 F 179,000.00 ZZ
360 178,863.79 1
4219 ISLE DRIVE 7.375 1,236.31 78
7.125 1,236.31 230,000.00
CARLSBAD CA 92008 2 06/23/98 00
0430903385 05 08/01/98 0
143076 O 07/01/28
0
1768379 E29/G02 F 121,550.00 ZZ
360 121,462.03 1
557 ARBOR DRIVE 7.625 860.32 70
7.375 860.32 173,712.00
LAFAYETTE CO 80027 1 06/26/98 00
0430905752 03 08/01/98 0
9806135 N 07/01/28
0
1768411 737/G02 F 46,350.00 ZZ
360 46,321.92 1
1169 BAYLOR STREET 8.500 356.39 90
8.250 356.39 51,550.00
ATLANTA GA 30318 1 06/22/98 10
0430911362 05 08/01/98 25
953225 N 07/01/28
0
1768413 B65/G02 F 98,800.00 ZZ
360 98,800.00 1
60 E. HOME STREET 8.625 768.46 95
8.375 768.46 104,000.00
WESTERVILLE OH 43081 2 07/17/98 04
0430916734 05 09/01/98 30
0000 O 08/01/28
0
1768508 E29/G02 F 105,000.00 ZZ
360 104,933.05 1
216 PANORAMA PLACE NE 8.250 788.83 89
8.000 788.83 119,000.00
ALBUQUERQUE NM 87123 1 06/30/98 04
0430907444 05 08/01/98 25
9806080 N 07/01/28
0
1768522 737/G02 F 134,900.00 ZZ
360 134,816.15 2
1
805 & 807 SOUTH LOGAN STREET 8.375 1,025.34 90
8.125 1,025.34 149,900.00
DENVER CO 80209 1 06/19/98 10
0430955294 05 08/01/98 25
587186 N 07/01/28
0
1768530 225/225 F 100,000.00 ZZ
360 99,936.23 1
326 SE 48TH STREET 8.250 751.27 80
8.000 751.27 125,000.00
NEWTON KS 67114 1 06/10/98 00
0000 05 08/01/98 0
0000 O 07/01/28
0
1768532 957/G02 F 53,000.00 ZZ
360 52,967.06 1
525 PINE TRAIL 8.375 402.84 89
8.125 402.84 60,000.00
ALLEN TX 75002 1 06/24/98 10
0430889667 09 08/01/98 25
0286503 N 07/01/28
0
1768533 737/G02 F 61,100.00 ZZ
360 61,064.85 1
416 HIGH POINT LANE 8.750 480.67 90
8.500 480.67 67,900.00
TALLAHASSEE FL 32301 1 06/19/98 10
0430911396 09 08/01/98 25
953086 N 07/01/28
0
1768535 225/225 F 47,400.00 ZZ
360 47,339.33 2
5905-07 FREEMAN 8.250 356.11 90
8.000 356.11 52,700.00
KANSAS CITY KS 66109 1 06/01/98 04
0000 05 07/01/98 25
0000 N 06/01/28
0
1768543 E11/G02 F 82,700.00 ZZ
360 82,651.18 1
114 NORTH FLINT CIRCLE 8.625 643.23 90
8.375 643.23 92,000.00
MESA AZ 85201 1 06/16/98 01
0430884767 05 08/01/98 30
1
133966 O 07/01/28
0
1768544 134/G02 F 21,600.00 ZZ
360 21,586.22 1
3212 NW 33RD 8.250 162.28 66
8.000 162.28 33,000.00
OKLAHOMA CITY OK 73112 1 06/19/98 00
0430885947 05 08/01/98 0
7312419 N 07/01/28
0
1768545 L29/G02 F 210,000.00 ZZ
360 210,000.00 1
121 WILLOW ROAD 7.500 1,468.35 53
7.250 1,468.35 400,000.00
BLAINE COUNTY ID 83333 5 07/15/98 00
0430921148 05 09/01/98 0
1768545 O 08/01/28
0
1768548 927/G02 F 52,000.00 ZZ
360 51,966.84 1
1792 GAULT WAY 8.250 390.66 62
8.000 390.66 84,000.00
SPARKS NV 89431 5 06/24/98 00
0430900431 01 08/01/98 0
47052 N 07/01/28
0
1768558 134/G02 F 25,902.00 ZZ
360 25,871.29 1
3501 NW 28TH STREET 8.625 201.47 90
8.375 201.47 28,780.00
OKLAHOMA CITY OK 73107 1 06/03/98 11
0430885871 05 07/01/98 25
59301113 N 06/01/28
0
1768563 L84/G02 F 215,000.00 ZZ
360 215,000.00 1
2114 WEST CLARK AVENUE 7.750 1,540.29 90
7.500 1,540.29 239,000.00
BURBANK CA 91506 1 07/08/98 23
0430918524 05 09/01/98 0
98136 O 08/01/28
0
1
1768600 964/G02 F 67,200.00 ZZ
360 67,157.15 1
2141 20TH AVE 8.250 504.85 70
8.000 504.85 96,000.00
SACRAMENTO CA 95822 5 06/26/98 00
0430884643 05 08/01/98 0
38019 O 07/01/28
0
1768614 E22/G02 F 121,500.00 ZZ
360 121,431.88 1
275 LAKE ST. 8.875 966.71 90
8.625 966.71 135,000.00
LAKE ORION MI 48362 1 06/11/98 04
0410858716 05 08/01/98 25
410858716 N 07/01/28
0
1768617 E29/G02 F 54,000.00 ZZ
360 53,967.29 1
18163 EAST KENTUCKY AVENUE 8.500 415.21 72
#102 8.250 415.21 75,000.00
AURORA CO 80017 1 06/19/98 00
0430909929 01 08/01/98 0
19805163 N 07/01/28
0
1768635 E22/G02 F 40,000.00 ZZ
360 39,976.38 1
20832 NW 24TH AVENUE 8.625 311.12 80
8.375 311.12 50,000.00
MIAMI FL 33056 1 06/26/98 00
0410916050 07 08/01/98 0
410916050 N 07/01/28
0
1768636 E22/G02 F 49,200.00 ZZ
360 49,164.40 1
2601 COUNTY ROAD 248 7.625 348.23 73
7.375 348.23 67,792.00
GEORGETOWN TX 78628 2 06/24/98 00
0410921019 05 08/01/98 0
410921019 O 07/01/28
0
1768637 E22/G02 F 95,400.00 ZZ
360 95,347.89 4
3308 BROADWAY AVENUE 9.000 767.61 90
8.750 767.61 106,000.00
1
WEST PALM BEACH FL 33407 1 06/24/98 04
0410888796 05 08/01/98 25
410888796 N 07/01/28
0
1768648 F30/G02 F 70,000.00 ZZ
360 69,953.03 2
6866-6868 SOUTH 90 EAST 8.000 513.64 49
7.750 513.64 145,000.00
MIDVALE UT 84047 5 06/29/98 00
0430886135 05 08/01/98 0
19124 N 07/01/28
0
1768670 766/G02 F 103,500.00 ZZ
360 103,500.00 1
685 NE 50TH TERR 8.500 795.83 90
8.250 795.83 115,000.00
MIAMI FL 33137 1 07/20/98 04
0430916197 05 09/01/98 25
98SG0303 N 08/01/28
0
1768848 E22/G02 F 81,200.00 ZZ
360 81,149.53 1
3715 SOUTH 182ND STREET UNIT 8.375 617.18 95
#C124 8.125 617.18 85,500.00
SEATAC WA 98188 1 06/12/98 04
0410903249 01 08/01/98 30
410903249 O 07/01/28
0
1768858 E22/G02 F 392,000.00 ZZ
360 391,756.35 1
544 25TH STREET 8.375 2,979.48 80
8.125 2,979.48 490,000.00
HERMOSA BEACH CA 90254 5 06/16/98 00
0410902738 01 08/01/98 0
410902738 O 07/01/28
0
1768859 E22/G02 F 185,600.00 ZZ
360 185,472.27 1
8421 BLUFF CIRCLE 7.875 1,345.73 80
7.625 1,345.73 232,000.00
HUNTINGTON BEAC CA 92646 1 06/22/98 00
0410907083 09 08/01/98 0
410907083 O 07/01/28
0
1
1768860 E22/G02 F 193,600.00 ZZ
360 193,476.55 1
208 BODEGA AVENUE 8.250 1,454.45 80
8.000 1,454.45 242,000.00
PETALUMA CA 94952 1 06/19/98 00
0410859862 05 08/01/98 0
410859862 O 07/01/28
0
1768877 638/G02 F 156,000.00 ZZ
360 155,887.09 1
400 WEST HIGHLAND AVENUE 7.625 1,104.16 60
7.375 1,104.16 260,000.00
SIERRA MADRE CA 91024 2 06/24/98 00
0430892398 05 08/01/98 0
8755620 O 07/01/28
0
1768881 G08/G02 F 140,400.00 ZZ
360 140,064.83 4
11620 CHEMSTRAND ROAD 8.625 1,092.02 90
UNIT 1-4 8.375 1,092.02 156,000.00
PENSACOLA FL 32514 1 03/17/98 14
0430885327 05 05/01/98 25
0005052550 N 04/01/28
0
1768903 455/G02 F 168,000.00 ZZ
360 167,892.87 1
163 JACKSON CHAPEL ROAD 8.250 1,262.13 80
8.000 1,262.13 210,000.00
CAVE SPRINGS GA 30124 1 06/18/98 00
0430903161 05 08/01/98 0
59300 O 07/01/28
0
1768913 455/G02 F 42,000.00 ZZ
360 41,974.55 1
6851 ROSWELL RD UNIT K-2 8.500 322.95 70
8.250 322.95 60,000.00
ATLANTA GA 30328 1 06/30/98 00
0430892661 01 08/01/98 0
59849 N 07/01/28
0
1768923 455/G02 F 41,300.00 ZZ
360 41,274.97 1
1
6851 ROSWELL RD #F-6 8.500 317.57 70
8.250 317.57 59,000.00
ATLANTA GA 30328 1 06/30/98 00
0430892620 01 08/01/98 0
59629 N 07/01/28
0
1768928 E26/G02 F 380,000.00 ZZ
360 379,745.02 1
19871 E COUNTRY HOLLOW DRIVE 8.000 2,788.31 80
7.750 2,788.31 475,000.00
WALNUT CA 91789 5 06/22/98 00
0430892190 05 08/01/98 0
34800504 O 07/01/28
0
1768990 498/G02 F 89,000.00 ZZ
360 88,938.74 1
322 SOUTH HOUSTON SCHOOL ROAD 7.875 645.32 77
7.625 645.32 117,000.00
LANCASTER TX 75146 1 06/26/98 00
0430894089 05 08/01/98 0
1548659 O 07/01/28
0
1768992 E22/G02 F 162,000.00 ZZ
360 161,891.30 1
5232 FERNRIDGE COURT 8.000 1,188.70 75
7.750 1,188.70 216,000.00
CAMARILLO CA 93012 1 06/22/98 00
0410781835 05 08/01/98 0
410781835 O 07/01/28
0
1768998 E22/G02 F 119,200.00 ZZ
360 119,123.99 4
2804 MARLIN AVENUE 8.250 895.51 80
8.000 895.51 149,000.00
LAS VEGAS NV 89104 5 06/16/98 00
0410886477 05 08/01/98 0
410886477 O 07/01/28
0
1769001 E22/G02 F 124,150.00 ZZ
360 124,076.70 4
2782 TREAT STREET 8.625 965.63 65
8.375 965.63 191,000.00
SAN DIEGO CA 92102 1 06/22/98 00
0410900815 05 08/01/98 0
1
410900815 N 07/01/28
0
1769006 B28/G02 F 76,000.00 ZZ
360 75,951.53 1
3101 MARQUETTE 8.250 570.97 80
8.000 570.97 95,000.00
FARMINGTON NM 87401 1 06/26/98 00
0430913145 05 08/01/98 0
05980798 O 07/01/28
0
1769031 E26/G02 F 225,000.00 ZZ
360 224,689.29 1
103 SILVER PINE DRIVE 7.875 1,631.41 73
7.625 1,631.41 311,000.00
HENDERSONVILLE NC 28739 5 05/14/98 00
0430892463 05 07/01/98 0
33800514 O 06/01/28
0
1769049 E22/G02 F 240,000.00 ZZ
360 239,838.97 3
9318 ROSE STREET 8.000 1,761.03 77
7.750 1,761.03 315,000.00
BELLFLOWER CA 90706 2 06/23/98 00
0410885131 05 08/01/98 0
410885131 O 07/01/28
0
1769050 G81/G02 F 123,750.00 T
360 123,750.00 1
713 SAND CREEK CIRCLE 8.375 940.59 75
8.125 940.59 165,000.00
WESTON FL 33327 2 07/17/98 00
0430912154 03 09/01/98 0
021807032 O 08/01/28
0
1769051 E22/G02 F 115,200.00 ZZ
360 115,122.70 1
3402 LADRILLO AISLE 8.000 845.30 80
7.750 845.30 144,000.00
IRVINE CA 92606 1 06/25/98 00
0410923684 01 08/01/98 0
410923684 O 07/01/28
0
1
1769052 H03/G02 F 82,600.00 T
360 82,600.00 1
947 SUGAR MEADOW LANE 8.250 620.55 67
8.000 620.55 124,000.00
SUGAR HILL GA 30518 1 07/14/98 00
0430901819 05 09/01/98 0
00770870 O 08/01/28
0
1769054 E22/G02 F 158,400.00 ZZ
360 158,298.99 1
2667 LAKE AVENUE (ALTADEN AREA 8.250 1,190.01 80
8.000 1,190.01 198,000.00
LOS ANGELES CA 91001 1 06/23/98 00
0410862890 05 08/01/98 0
410862890 O 07/01/28
0
1769060 E22/G02 F 128,000.00 ZZ
360 127,905.01 1
1230 COTTONWOOD STREET 7.500 894.99 80
7.250 894.99 160,000.00
ONTARIO CA 91761 5 06/02/98 00
0410890966 05 08/01/98 0
410890966 O 07/01/28
0
1769061 G81/G02 F 63,000.00 ZZ
360 63,000.00 1
11001 NW 7 STREET UNIT#103-7 8.250 473.30 90
8.000 473.30 70,000.00
MIAMI FL 33172 1 07/23/98 10
0430926337 04 09/01/98 30
21807025 N 08/01/28
0
1769062 E22/G02 F 104,000.00 ZZ
360 103,930.21 1
1119 WEST 66TH STREET 8.000 763.12 80
7.750 763.12 130,000.00
LOS ANGELES CA 90044 5 06/19/98 00
0410911218 05 08/01/98 0
410911218 O 07/01/28
0
1769067 E22/G02 F 169,500.00 ZZ
360 169,374.21 1
19 URBINO 7.500 1,185.17 50
7.250 1,185.17 340,000.00
1
IRVINE CA 92620 2 06/01/98 00
0410798219 03 08/01/98 0
410798219 O 07/01/28
0
1769068 K15/G02 F 483,900.00 ZZ
360 483,900.00 1
13601 MOUNT PROSPECT DRIVE 8.125 3,592.95 79
7.875 3,592.95 615,000.00
ROCKVILLE MD 20850 2 07/16/98 00
0430954040 05 09/01/98 0
630901 O 08/01/28
0
1769070 E22/G02 F 371,800.00 ZZ
360 371,550.53 1
25793 DURRWOOD COURT 8.000 2,728.14 95
7.750 2,728.14 391,453.00
CASTRO VALLEY CA 94552 1 06/26/98 11
0410929483 03 08/01/98 30
410929483 O 07/01/28
0
1769085 E26/G02 F 48,600.00 ZZ
360 48,566.55 1
250 DONNA DRIVE #6A 7.875 352.39 90
7.625 352.39 54,000.00
HENDERSONVILLE TN 37075 1 06/09/98 11
0430892356 01 08/01/98 25
33800624 O 07/01/28
0
1769091 559/G02 F 240,000.00 ZZ
360 239,830.61 1
1930 BRISTOL STREET 7.750 1,719.39 78
7.500 1,719.39 310,000.00
PETALUMA CA 94954 5 06/22/98 00
0430893560 05 08/01/98 0
5477849 O 07/01/28
0
1769104 144/144 F 145,000.00 ZZ
360 145,000.00 1
7 LAUREL STREET 7.625 1,026.30 62
7.375 1,026.30 235,000.00
HARTSDALE NY 10530 5 07/23/98 00
160623397 05 09/01/98 0
160623397 O 08/01/28
0
1
1769114 B75/G02 F 65,000.00 ZZ
360 64,959.60 1
45 BONITA COURT 8.375 494.05 29
8.125 494.05 229,900.00
SEDONA AZ 86336 1 06/01/98 00
0430907998 05 08/01/98 0
7719545 O 07/01/28
0
1769115 624/G02 F 125,100.00 ZZ
360 125,020.23 1
12205 SOUTHEAST 188TH STREET 8.250 939.83 90
8.000 939.83 139,500.00
RENTON WA 98058 1 06/29/98 01
0430885061 05 08/01/98 25
85040881003 O 07/01/28
0
1769118 B75/G02 F 100,000.00 ZZ
360 99,932.91 1
1401 56TH STREET 8.000 733.76 67
7.750 733.76 150,000.00
SACRAMENTO CA 95819 5 06/04/98 00
0430890566 05 08/01/98 0
7982168 O 07/01/28
0
1769127 J99/G02 F 239,000.00 ZZ
360 238,831.31 1
327 THIRTY SIXTH AVENUE 7.750 1,712.23 60
7.500 1,712.23 399,000.00
SANTA CRUZ CA 95062 1 06/22/98 00
0430886242 03 08/01/98 0
961565 N 07/01/28
0
1769128 225/225 F 299,100.00 ZZ
360 298,923.41 1
16313 EAST CHOLLA DRIVE 8.625 2,326.37 77
8.375 2,326.37 391,000.00
FOUNTAIN HILLS AZ 85268 2 06/19/98 00
7029371 05 08/01/98 0
7029371 O 07/01/28
0
1769133 559/G02 F 268,000.00 ZZ
360 267,824.68 1
1
119 WHITNEY STREET 8.125 1,989.90 80
7.875 1,989.90 335,000.00
SAN FRANCISCO CA 94131 5 06/19/98 00
0430893776 05 08/01/98 0
5478854 O 07/01/28
0
1769139 E11/G02 F 66,250.00 ZZ
360 66,206.67 1
215 5TH STREET 8.125 491.90 90
7.875 491.90 73,650.00
HASTINGS MN 55033 1 06/26/98 11
0430890442 05 08/01/98 25
0 N 07/01/28
0
1769142 225/225 F 176,250.00 ZZ
360 176,137.61 1
43 OAKLAND STREET 8.250 1,324.11 75
8.000 1,324.11 235,000.00
BRAINTREE MA 02184 2 06/11/98 00
7028912 05 08/01/98 0
7028912 O 07/01/28
0
1769143 664/G02 F 69,300.00 ZZ
360 69,253.50 1
50390 COLUMBIA RIVER HIGHWAY 8.000 508.50 90
7.750 508.50 77,000.00
SCAPPOOSE OR 97056 1 06/18/98 01
0430887067 05 08/01/98 25
2598126 N 07/01/28
0
1769146 814/G02 F 204,000.00 ZZ
360 203,840.86 1
827 SUNNYDALE AVENUE 7.250 1,391.64 80
7.000 1,391.64 255,000.00
SAN FRANCISCO CA 94134 5 06/24/98 00
0430902700 05 08/01/98 0
0001046861 O 07/01/28
0
1769155 B75/G02 F 45,000.00 ZZ
360 44,966.60 1
5525 EAST THOMAS ROAD 7.500 314.65 90
7.250 314.65 50,000.00
PHOENIX AZ 85018 1 06/04/98 11
0430888024 05 08/01/98 25
1
7982416 N 07/01/28
0
1769159 G52/G02 F 144,550.00 ZZ
360 144,453.01 1
13241 N 98TH PLACE 8.000 1,060.66 80
7.750 1,060.66 182,000.00
SCOTTSDALE AZ 85260 1 06/01/98 00
0430902585 03 08/01/98 0
98500449 O 07/01/28
0
1769171 637/G02 F 42,600.00 ZZ
360 42,550.80 1
1555 WEST 44TH PLACE #328 8.750 335.14 90
8.500 335.14 47,380.00
HIALEAH FL 33012 3 06/01/98 11
0430889485 01 07/01/98 25
0011331873 N 06/01/28
0
1769176 637/G02 F 220,500.00 ZZ
360 220,195.51 1
911 EAST GREEN OAKS DR. 7.875 1,598.78 85
7.625 1,598.78 260,000.00
BOUNTIFUL UT 84010 2 06/01/98 12
0430889600 05 07/01/98 12
0010006096 O 06/01/28
0
1769185 E60/G02 F 163,300.00 ZZ
360 163,190.43 1
2265 MCCABE DRIVE 8.000 1,198.24 72
7.750 1,198.24 228,000.00
CAMBRIA CA 93428 4 06/17/98 00
0430923045 05 08/01/98 0
510883 O 07/01/28
0
1769202 B49/G02 F 142,100.00 ZZ
360 142,100.00 1
959 ELDORADO LANE 8.000 1,042.68 70
7.750 1,042.68 203,000.00
LOUISVILLE CO 80027 1 07/16/98 00
0430919506 05 09/01/98 0
0290661 N 08/01/28
0
1
1769229 882/G02 F 214,400.00 ZZ
360 214,248.68 1
516 MAJORCA AVENUE 7.750 1,535.99 80
7.500 1,535.99 268,000.00
CORAL GABLES FL 33134 1 06/30/98 00
0430918292 05 08/01/98 0
CORTIZAS O 07/01/28
0
1769230 882/G02 F 60,000.00 ZZ
360 59,961.74 1
900 BAY DRIVE #916 8.250 450.76 75
8.000 450.76 80,000.00
MIAMI BEACH FL 33431 1 06/12/98 00
0430905661 06 08/01/98 0
HEEMSEN O 07/01/28
0
1769242 E22/G02 F 53,850.00 ZZ
360 53,816.53 1
2905 COUNTRYWOOD LANE 8.375 409.30 65
8.125 409.30 83,866.00
EDMOND OK 73003 1 06/30/98 00
0410917322 05 08/01/98 0
410917322 O 07/01/28
0
1769245 E22/G02 F 60,500.00 ZZ
360 60,456.21 1
7046 OLD MOORINGSPORT LATEX 7.625 428.22 68
ROAD 7.375 428.22 89,000.00
MOORINGSPORT LA 71060 2 06/22/98 00
0410825335 05 08/01/98 0
410825335 O 07/01/28
0
1769259 E22/G02 F 94,300.00 ZZ
360 94,228.24 1
3019 NW 2ND AVENUE 7.375 651.31 80
7.125 651.31 117,900.00
GAINESVILLE FL 32607 1 06/26/98 00
0410932594 05 08/01/98 0
410932594 O 07/01/28
0
1769260 E22/G02 F 63,000.00 ZZ
360 62,964.68 2
2326 BRYANT AVENUE NORTH 8.875 501.26 90
8.625 501.26 70,000.00
1
MINNEAPOLIS MN 55411 1 06/29/98 04
0410739015 05 08/01/98 25
410739015 N 07/01/28
0
1769261 E22/G02 F 168,000.00 ZZ
360 167,892.87 1
2700 BELVEDERE AVENUE 8.250 1,262.13 80
8.000 1,262.13 210,000.00
CHARLOTTE NC 28205 1 06/25/98 00
0410915151 05 08/01/98 0
410915151 N 07/01/28
0
1769262 E22/G02 F 64,500.00 ZZ
360 64,453.31 1
19707 EAST COLUMBIA AVENU 7.625 456.53 56
7.375 456.53 116,000.00
AURORA CO 80013 2 06/26/98 00
0410908214 05 08/01/98 0
410908214 N 07/01/28
0
1769266 E22/G02 F 89,200.00 ZZ
360 89,148.68 1
18272 E. UNION DRIVE 8.750 701.74 75
8.500 701.74 118,950.00
AURORA CO 80015 1 06/26/98 00
0410910780 03 08/01/98 0
410910780 N 07/01/28
0
1769272 E22/G02 F 127,200.00 ZZ
360 127,114.65 1
1110 NW 78TH AVENUE 8.000 933.35 80
7.750 933.35 159,000.00
FORT LAUDERDALE FL 33322 2 06/23/98 00
0410878466 05 08/01/98 0
410878466 O 07/01/28
0
1769276 E22/G02 F 92,000.00 ZZ
360 91,949.75 4
1008-1010 RALEIGH STREET 9.000 740.25 42
8.750 740.25 220,000.00
DENVER CO 80204 5 06/30/98 00
0410930192 05 08/01/98 0
410930192 N 07/01/28
0
1
1769279 B93/G02 F 450,000.00 ZZ
360 449,682.39 1
5853 E CAMINO DE LA CRUZ DRIVE 7.750 3,223.86 80
7.500 3,223.86 567,715.00
CAVE CREEK AZ 85331 1 06/26/98 00
0430889741 05 08/01/98 0
1000016906 O 07/01/28
0
1769285 A52/G02 F 79,200.00 ZZ
360 79,200.00 1
3258 CALEY MILL COURT 7.750 567.40 80
7.500 567.40 99,000.00
POWDER SPRINGS GA 30073 1 07/24/98 00
0430921015 05 09/01/98 0
980953 O 08/01/28
0
1769301 F18/G02 F 105,700.00 ZZ
360 105,700.00 1
45 CLAYTON AVE 8.750 831.55 41
8.500 831.55 259,000.00
SAN JOSE CA 95110 5 07/15/98 00
0430918003 05 09/01/98 0
1769301 N 08/01/28
0
1769307 927/G02 F 222,000.00 ZZ
360 221,843.31 1
34711 5TH AVENUE SOUTHWEST 7.750 1,590.44 64
7.500 1,590.44 350,000.00
FEDERAL WAY WA 98023 2 06/18/98 00
0430895185 03 08/01/98 0
0 O 07/01/28
0
1769308 F18/G02 F 263,300.00 ZZ
360 263,300.00 1
35 CLAYTON AVE 7.750 1,886.32 73
7.500 1,886.32 365,000.00
SAN JOSE CA 95110 5 07/15/98 00
0430918052 05 09/01/98 0
1769308 O 08/01/28
0
1769319 624/G02 F 45,500.00 ZZ
360 45,500.00 1
1
1352 NORTH FARRIS AVENUE 8.375 345.83 70
8.125 345.83 65,000.00
FRESNO CA 93728 2 07/14/98 00
0430918243 05 09/01/98 0
29500280873 N 08/01/28
0
1769321 766/G02 F 113,250.00 T
360 113,175.92 1
17200 GULF BLVD UNIT 404 8.125 840.88 75
7.875 840.88 151,000.00
NO REDINGTON BE FL 33708 2 06/23/98 00
0430892026 08 08/01/98 0
0000 O 07/01/28
0
1769331 766/G02 F 125,500.00 ZZ
360 125,422.00 1
319 SW 105 PLACE 8.375 953.89 65
8.125 953.89 195,000.00
SWEETWATER FL 33174 5 06/25/98 00
0430893222 05 08/01/98 0
0000 O 07/01/28
0
1769342 F34/G02 F 130,000.00 ZZ
360 129,912.77 1
2300 SW 24TH STREET 8.000 953.90 80
7.750 953.90 163,000.00
MIAMI FL 33145 1 06/30/98 00
0430892273 05 08/01/98 0
9800604 O 07/01/28
0
1769350 K30/G02 F 87,900.00 ZZ
360 87,842.50 1
521 22 1/2 ROAD 8.125 652.66 80
7.875 652.66 109,900.00
GRAND JUNCTION CO 81503 1 06/25/98 00
0430911388 05 08/01/98 0
0057756 N 07/01/28
0
1769367 163/G02 F 188,000.00 ZZ
360 187,856.95 1
1037 EAST 1330 SOUTH 7.375 1,298.47 69
7.125 1,298.47 274,000.00
SPANISH FORK UT 84660 5 06/10/98 00
0430892471 05 08/01/98 0
1
6516224224 O 07/01/28
0
1769383 163/G02 F 30,000.00 ZZ
360 29,856.99 1
1 PHEASANT MEADOW 8.250 225.38 57
8.000 225.38 53,000.00
SMITHVILLE NJ 08201 1 06/19/98 00
0430892406 01 08/01/98 0
373135286 O 07/01/28
0
1769391 A53/G02 F 75,000.00 ZZ
360 74,952.18 1
750 W. DEMPSTER 8.250 563.45 80
8.000 563.45 94,000.00
MT. PROSPECT IL 60056 1 06/26/98 00
0430902452 01 08/01/98 0
0290032770 O 07/01/28
0
1769392 E22/G02 F 112,000.00 ZZ
360 111,820.95 1
1271 DARBY STREET 7.750 802.38 80
7.500 802.38 140,000.00
SPRING VALLEY CA 91977 5 06/24/98 00
0410898936 05 08/01/98 0
410898936 O 07/01/28
0
1769394 E22/G02 F 94,400.00 ZZ
360 94,336.66 1
15248 DICKENS STREET 8.000 692.67 80
UNIT # 303 7.750 692.67 118,000.00
SHERMAN OAKS CA 91403 1 06/23/98 00
0410918924 01 08/01/98 0
410918924 O 07/01/28
0
1769395 E22/G02 F 182,750.00 ZZ
360 182,636.41 1
6881 LAURELTON AVENUE 8.375 1,389.03 85
8.125 1,389.03 215,000.00
GARDEN GROVE CA 92845 2 06/22/98 10
0410888333 05 08/01/98 20
410888333 N 07/01/28
0
1
1769396 E22/G02 F 122,500.00 ZZ
360 122,419.87 1
2695 S. KIHEI ROAD 8.125 909.56 70
UNIT E 7404 7.875 909.56 175,000.00
KIHEI HI 96753 1 06/09/98 00
0410887590 01 08/01/98 0
410887590 N 07/01/28
0
1769397 E22/G02 F 77,400.00 ZZ
360 77,354.30 1
6537 VERNACE WAY 8.625 602.01 90
8.375 602.01 86,000.00
SACRAMENTO CA 95823 2 06/15/98 10
0410905111 05 08/01/98 25
410905111 N 07/01/28
0
1769398 E22/G02 F 356,250.00 ZZ
360 356,039.67 1
3598 MOUNTAIN VIEW AVENUE 8.625 2,770.88 75
8.375 2,770.88 475,000.00
LOS ANGELES CA 90066 5 06/24/98 00
0410780886 05 08/01/98 0
410780886 O 07/01/28
0
1769400 E22/G02 F 158,000.00 ZZ
360 157,888.49 1
18612 MILMORE AVENUE 7.750 1,131.93 80
7.500 1,131.93 197,500.00
CARSON CA 90746 1 06/19/98 00
0410868558 05 08/01/98 0
410868558 O 07/01/28
0
1769401 E22/G02 F 257,000.00 ZZ
360 256,818.61 1
587 NW 9 AVENUE 7.750 1,841.18 80
7.500 1,841.18 325,000.00
BOCA RATON FL 33486 5 06/19/98 00
0410913784 05 08/01/98 0
410913784 O 07/01/28
0
1769402 E22/G02 F 316,200.00 T
360 315,965.33 1
28 LA PLAYA AVENUE 7.500 2,210.92 68
7.250 2,210.92 465,000.00
1
MONTEREY CA 93940 5 06/15/98 00
0410800965 09 08/01/98 0
410800965 O 07/01/28
0
1769409 E22/G02 F 176,000.00 ZZ
360 175,866.08 1
289 TENNYSON STREET 7.375 1,215.59 80
7.125 1,215.59 220,000.00
THOUSAND OAKS CA 91360 1 06/16/98 00
0410889513 05 08/01/98 0
410889513 O 07/01/28
0
1769411 E22/G02 F 97,500.00 ZZ
360 97,432.90 1
3104 BIRCH STREET 7.875 706.94 75
7.625 706.94 130,000.00
BISHOP CA 93514 5 06/15/98 00
0410863849 05 08/01/98 0
410863849 N 07/01/28
0
1769414 E22/G02 F 220,000.00 ZZ
360 219,866.72 1
7809 PAINTED SUNSET 8.500 1,691.61 80
8.250 1,691.61 278,000.00
LAS VEGAS NV 89129 1 06/17/98 00
0410911507 05 08/01/98 0
410911507 N 07/01/28
0
1769430 638/G02 F 197,500.00 ZZ
360 197,357.06 1
1394 SCOTER PLACE 7.625 1,397.89 73
7.375 1,397.89 273,182.00
CARLSBAD CA 92009 1 06/23/98 00
0430916809 01 08/01/98 0
8746818 O 07/01/28
0
1769431 638/G02 F 93,600.00 ZZ
360 93,535.59 2
110 MOUNT HOPE AVENUE 7.875 678.66 80
7.625 678.66 117,000.00
FALL RIVER MA 02724 1 06/19/98 00
0430892422 05 08/01/98 0
8743533 O 07/01/28
0
1
1769432 638/G02 F 89,100.00 ZZ
360 89,040.22 2
231-233 SALEM STREET 8.000 653.78 90
7.750 653.78 99,900.00
LOWELL MA 01854 1 06/16/98 14
0430892612 05 08/01/98 25
8743044 N 07/01/28
0
1769450 638/G02 F 80,100.00 ZZ
360 80,048.93 2
386 REVERE BEACH PARKWAY 8.250 601.76 90
8.000 601.76 89,000.00
REVERE MA 02151 1 06/16/98 14
0430893289 05 08/01/98 25
8757260 N 07/01/28
0
1769482 638/G02 F 76,000.00 ZZ
360 75,951.54 1
3700 DEAN DRIVE NO. 2602 8.250 570.96 90
8.000 570.96 84,500.00
VENTURA CA 93003 1 06/17/98 04
0430892000 01 08/01/98 25
8756779 N 07/01/28
0
1769518 638/G02 F 38,700.00 ZZ
360 38,674.68 1
15 FOSTER AVENUE 8.125 287.35 90
7.875 287.35 43,000.00
LACONIA NH 03246 1 06/16/98 10
0430893263 05 08/01/98 25
8751203 N 07/01/28
0
1769571 163/G02 F 113,200.00 ZZ
360 113,122.10 1
4889 KNOLLCREST DRIVE 7.875 820.78 75
7.625 820.78 151,000.00
ANTIOCH CA 94509 2 06/02/98 00
0430892430 05 08/01/98 0
619837 O 07/01/28
0
1769631 J83/G02 F 71,650.00 ZZ
360 71,558.29 3
1
2869-71 EASTWOOD DR 8.250 538.29 72
8.000 538.29 100,000.00
DECATUR GA 30032 2 06/08/98 00
0430894386 05 07/01/98 0
252591 N 06/01/28
0
1769939 965/G02 F 155,500.00 ZZ
360 155,392.99 1
435 SOUTH 44TH STREET 7.875 1,127.48 78
7.625 1,127.48 200,000.00
BOULDER CO 80303 2 06/23/98 00
0430892935 05 08/01/98 0
0 O 07/01/28
0
1769940 893/G02 F 198,000.00 ZZ
360 197,856.70 1
270 LOS PALMOS WAY 7.625 1,401.43 70
7.375 1,401.43 285,000.00
SAN JOSE CA 95119 5 06/29/98 00
0430895508 05 08/01/98 0
98062226 O 07/01/28
0
1769981 B75/G02 F 49,500.00 ZZ
360 49,465.07 1
2521 KENMORE AVENUE W 7.750 354.62 90
7.500 354.62 55,000.00
TAMPA FL 33614 1 06/16/98 14
0430914051 05 08/01/98 25
7758568 N 07/01/28
0
1769987 A01/G02 F 136,000.00 ZZ
360 135,906.41 1
3741 VIA CABRILLO 7.875 986.09 80
7.625 986.09 170,000.00
OCEANSIDE CA 92056 5 06/26/98 00
0430898734 03 08/01/98 0
0 O 07/01/28
0
1769995 B75/G02 F 40,000.00 ZZ
360 39,972.47 1
657 COVENTRY STREET # 6-B 7.875 290.03 51
7.625 290.03 78,500.00
BOCA RATON FL 33487 5 06/09/98 00
0430903633 01 08/01/98 0
1
7984115 N 07/01/28
0
1769996 830/G02 F 74,400.00 ZZ
360 74,347.49 1
345 WESTLAWN DRIVE 7.750 533.01 80
7.500 533.01 93,000.00
MANSFIELD OH 44906 2 06/26/98 00
0430894832 05 08/01/98 0
538054 O 07/01/28
0
1770009 731/G02 F 147,600.00 ZZ
360 147,495.83 1
3754 SAN ANSELINE AVENUE 7.750 1,057.42 80
7.500 1,057.42 184,500.00
LONG BEACH CA 90808 5 06/25/98 00
0430900985 05 08/01/98 0
411511851 O 07/01/28
0
1770012 E26/G02 F 103,000.00 ZZ
360 102,930.89 1
2200 LIGHT BRIGADE DRIVE 8.000 755.78 74
7.750 755.78 141,000.00
MATTHEWS NC 28105 5 06/15/98 00
0430894881 05 08/01/98 0
33800664 O 07/01/28
0
1770021 731/G02 F 154,500.00 ZZ
360 154,388.18 1
632 SKY RIDGE DRIVE 7.625 1,093.54 80
7.375 1,093.54 193,215.00
CORONA CA 91720 1 06/22/98 00
0430921650 05 08/01/98 0
911681444 O 07/01/28
0
1770023 B75/G02 F 344,000.00 ZZ
360 343,744.70 1
66 BLOOMING GROVE LANE 7.500 2,405.30 80
7.250 2,405.30 430,000.00
HOUSTON TX 77077 1 06/12/98 00
0430897843 03 08/01/98 0
7758295 O 07/01/28
0
1
1770026 624/G02 F 64,800.00 ZZ
360 64,761.74 2
7302 SALT SPRINGS DRIVE 8.625 504.01 90
8.375 504.01 72,000.00
AUSTIN TX 78744 3 06/25/98 11
0430890087 05 08/01/98 30
82005080133 O 07/01/28
0
1770027 225/225 F 255,000.00 ZZ
360 254,824.51 1
42678 CONSTELLATION DRIVE 7.875 1,848.93 78
7.625 1,848.93 330,000.00
BIG BEAR LAKE CA 92315 2 06/10/98 00
7029645 05 08/01/98 0
7029645 O 07/01/28
0
1770033 225/225 F 63,000.00 ZZ
360 62,960.84 1
5642 MAPLE 8.375 478.55 70
8.125 478.55 90,000.00
MISSION KS 66202 5 06/12/98 00
7028925 05 08/01/98 0
7028925 N 07/01/28
0
1770038 E82/G02 F 108,000.00 ZZ
360 108,000.00 1
175 LORING AVENUE 7.625 764.42 75
7.375 764.42 144,000.00
WEST DENNIS MA 02670 2 07/08/98 00
0400126637 05 09/01/98 0
400126637 N 08/01/28
0
1770039 455/G02 F 66,000.00 T
360 66,000.00 1
803 SHEPPARD COVE 9.000 531.06 70
8.750 531.06 94,500.00
STONE MOUNTAIN GA 30083 1 07/07/98 00
0430903062 05 09/01/98 0
59136 O 08/01/28
0
1770042 E26/G02 F 47,200.00 ZZ
360 47,200.00 1
15402 RIVERSIDE GROVE DRIVE 8.125 350.46 80
7.875 350.46 59,000.00
1
HOUSTON TX 77083 1 07/02/98 00
0430897850 05 09/01/98 0
32800342 N 08/01/28
0
1770046 B75/G02 F 148,000.00 ZZ
360 147,905.63 1
1010 SOUTH 1500 E 8.250 1,111.87 80
8.000 1,111.87 186,000.00
SALT LAKE CITY UT 84105 1 06/04/98 00
0430910455 05 08/01/98 0
7967359 N 07/01/28
0
1770061 E09/G02 F 96,000.00 ZZ
360 95,941.84 1
2026 PINTO LANE 8.500 738.16 80
8.250 738.16 120,000.00
LAS VEGAS NV 89106 2 06/26/98 00
0430901298 05 08/01/98 0
03300072 N 07/01/28
0
1770077 F96/G02 F 150,000.00 ZZ
360 149,899.35 1
108 WOODS ROAD 8.000 1,100.65 75
7.750 1,100.65 200,000.00
LITTLE FALLS NJ 07424 5 06/18/98 00
0430897983 05 08/01/98 0
2794 O 07/01/28
0
1770104 766/G02 F 280,000.00 ZZ
360 279,812.13 1
543 SW 29TH RD 8.000 2,054.54 75
7.750 2,054.54 375,000.00
MIAMI FL 33129 5 06/26/98 00
0430894741 05 08/01/98 0
0000 O 07/01/28
0
1770111 225/225 F 132,300.00 ZZ
360 132,051.56 4
7-11 EAST COMO AVENUE 8.375 1,005.58 90
8.125 1,005.58 147,000.00
COLUMBUS OH 43214 1 05/01/98 04
7007051 05 06/01/98 25
7007051 N 05/01/28
0
1
1770120 766/G02 F 72,000.00 ZZ
360 71,955.25 1
3505 SOUTH OCEAN DRIVE #317 8.375 547.25 90
8.125 547.25 80,000.00
HOLLYWOOD FL 33019 1 06/30/98 04
0430894485 06 08/01/98 25
98DA0403 N 07/01/28
0
1770128 G51/G02 F 54,900.00 ZZ
360 54,867.58 1
266 WILLETT STREET 8.625 427.01 90
8.375 427.01 61,000.00
BUFFALO NY 14206 1 06/30/98 01
0430905513 05 08/01/98 25
UNKNOWN N 07/01/28
0
1770155 E58/E58 F 61,200.00 ZZ
360 61,200.00 1
1749 LEICESTER ROAD 8.125 454.41 90
7.875 454.41 68,000.00
RICHMOND VA 23225 1 07/20/98 21
0009416843 05 09/01/98 25
0009416843 N 08/01/28
0
1770181 375/G02 F 49,500.00 ZZ
360 49,057.22 1
2601 S BRAESWOOD 9.000 398.29 90
UNIT 102 8.750 398.29 55,000.00
HOUSTON TX 77025 1 07/24/97 04
0430890350 01 09/01/97 25
650531 O 08/01/27
0
1770183 455/G02 F 56,250.00 ZZ
360 56,217.64 1
50 JEAN COURT 8.750 442.52 90
8.500 442.52 62,500.00
HIRAM GA 30141 1 06/30/98 01
0430903955 05 08/01/98 25
59422 N 07/01/28
0
1770185 F30/G02 F 110,400.00 ZZ
360 110,324.02 1
1
12135 GRIFFIN WAY 7.875 800.48 80
7.625 800.48 138,000.00
AUBURN CA 95602 2 06/12/98 00
0430887646 05 08/01/98 0
80426 O 07/01/28
0
1770186 664/G02 F 210,100.00 ZZ
360 209,944.08 1
139 SOUTH MARINO AVENUE 7.500 1,469.05 69
7.250 1,469.05 305,000.00
PASADENA CA 91107 2 06/22/98 00
0430905281 05 08/01/98 0
2621381 O 07/01/28
0
1770190 E86/G02 F 65,000.00 ZZ
360 65,000.00 1
10207 FLEETWOOD DRIVE 8.000 476.95 86
7.750 476.95 75,900.00
TAMPA FL 33612 1 07/02/98 04
0430908095 05 09/01/98 25
00 N 08/01/28
0
1770192 E26/G02 F 186,000.00 ZZ
360 185,858.46 1
24772 ARGUS DRIVE 7.375 1,284.66 78
7.125 1,284.66 240,000.00
MISSION VIEJO CA 92691 2 06/26/98 00
0430899658 05 08/01/98 0
34800557 O 07/01/28
0
1770195 E22/G02 F 130,500.00 ZZ
240 130,271.47 1
300 MAIN STREET UNIT 814 7.750 1,071.34 75
7.500 1,071.34 174,000.00
LITTLE FALLS NJ 07424 1 06/24/98 00
0410864631 06 08/01/98 0
410864631 O 07/01/18
0
1770203 G52/G02 F 110,200.00 ZZ
360 110,133.24 1
2300 SOUTH APACHE DRIVE 8.500 847.34 95
8.250 847.34 116,000.00
CHANDLER AZ 85248 1 06/25/98 10
0430913087 03 08/01/98 30
1
98500949 O 07/01/28
0
1770219 B75/G02 F 114,800.00 ZZ
360 114,721.00 1
502 CASCADE DRIVE 7.875 832.38 68
7.625 832.38 170,000.00
JASPER GA 30143 1 06/12/98 00
0430896969 05 08/01/98 0
7661598 O 07/01/28
0
1770223 209/G02 F 112,000.00 ZZ
360 111,924.85 1
15 DARTSMOUTH ROAD 8.000 821.82 80
7.750 821.82 140,000.00
NEW MILFORD CT 06776 1 06/24/98 00
0430899419 05 08/01/98 0
987075104 N 07/01/28
0
1770232 E86/G02 F 159,600.00 ZZ
360 159,600.00 2
3 CALAM AVENUE 8.357 1,211.05 80
8.107 1,211.05 199,500.00
OSSINING NY 10562 1 07/02/98 00
0430895169 05 09/01/98 0
28482 O 08/01/28
0
1770240 E86/G02 F 112,500.00 ZZ
360 112,500.00 1
11 COOPER DRIVE 8.500 865.03 90
8.250 865.03 125,000.00
NANUET NY 10954 1 07/07/98 14
0430895128 05 09/01/98 25
0000022503 N 08/01/28
0
1770244 E86/G02 F 160,000.00 ZZ
360 160,000.00 1
49 ASTOR COURT 8.000 1,174.02 80
7.750 1,174.02 200,000.00
COMMACK NY 11725 1 07/03/98 00
0430895094 05 09/01/98 0
0000029137 O 08/01/28
0
1
1770255 A46/G02 F 59,600.00 ZZ
360 59,555.77 1
605 ROSS STREET 7.500 416.73 80
7.250 416.73 74,500.00
BRENHAM TX 77833 1 06/05/98 00
0430895797 05 08/01/98 0
0992337 O 07/01/28
0
1770267 976/976 F 149,600.00 ZZ
360 149,360.01 1
2110 FULHAM COURT 7.125 1,007.89 80
6.875 1,007.89 187,000.00
HOUSTON TX 77063 1 05/11/98 00
5253970 03 07/01/98 0
5253970 N 06/01/28
0
1770269 976/976 F 94,500.00 ZZ
360 94,355.74 1
1347 WEST 78TH STREET 7.375 652.69 75
7.125 652.69 126,000.00
LOS ANGELES CA 90044 2 05/01/98 00
5298261 05 07/01/98 0
5298261 N 06/01/28
0
1770270 976/976 F 111,200.00 ZZ
360 111,034.42 1
94 HOYT AVENUE 7.500 777.53 80
7.250 777.53 139,000.00
LOWELL MA 01852 1 05/15/98 00
5301598 05 07/01/98 0
5301598 N 06/01/28
0
1770271 976/976 F 103,900.00 ZZ
360 103,752.85 1
64 LAKEPINES 7.750 744.36 80
7.500 744.36 129,900.00
IRVINE CA 92620 1 05/12/98 00
5325135 03 07/01/98 0
5325135 N 06/01/28
0
1770272 976/976 F 132,800.00 ZZ
360 132,611.93 1
3874 RADBURN DRIVE 7.750 951.40 80
7.500 951.40 166,000.00
1
SOUTH SAN FRANC CA 94080 1 05/26/98 00
5331161 01 07/01/98 0
5331161 N 06/01/28
0
1770274 976/976 F 73,200.00 ZZ
360 73,098.90 1
587 STODDARD AVENUE 7.875 530.76 80
7.625 530.76 91,500.00
EAST LANSING MI 48823 2 05/21/98 00
5492562 05 07/01/98 0
5492562 N 06/01/28
0
1770275 976/976 F 167,000.00 ZZ
360 166,153.68 1
1519 EAST RIVERVIEW AVENUE 7.625 1,182.02 73
7.375 1,182.02 230,000.00
ORANGE CA 92865 2 05/07/98 00
5495415 05 07/01/98 0
5495415 N 06/01/28
0
1770276 976/976 F 240,000.00 ZZ
360 239,642.67 1
17 QUAIL RUN ROAD 7.500 1,678.11 50
7.250 1,678.11 480,000.00
HENDERSON NV 89014 1 05/15/98 00
7973130 09 07/01/98 0
7973130 N 06/01/28
0
1770282 A46/G02 F 39,600.00 ZZ
360 39,569.86 1
8283 KINGSBROOK #260 7.375 273.51 90
7.125 273.51 44,000.00
HOUSTON TX 77024 1 06/15/98 04
0430903963 01 08/01/98 25
0992275 O 07/01/28
0
1770284 800/G02 F 212,500.00 ZZ
360 212,500.00 4
688-692 MOODY STREET 8.625 1,652.80 85
8.375 1,652.80 250,000.00
WALTHAM MA 02154 1 07/22/98 14
0430926311 05 09/01/98 12
980985 N 08/01/28
0
1
1770296 K72/G02 F 73,500.00 ZZ
360 73,457.71 1
7907 WHITSETT AVENUE 8.750 578.23 70
8.500 578.23 105,000.00
NORTH HOLLYWOOD CA 91605 1 06/23/98 00
0430905679 05 08/01/98 0
VAL401 O 07/01/28
0
1770297 830/G02 F 368,000.00 ZZ
360 367,726.89 1
18901 ARINELL ROAD 7.500 2,573.11 80
7.250 2,573.11 460,000.00
SANTA ANA CA 92705 2 06/26/98 00
0430899369 05 08/01/98 0
537399 O 07/01/28
0
1770303 638/G02 F 66,600.00 ZZ
360 66,562.66 1
15641 SOUTH UNIVERSITY 8.875 529.90 89
8.625 529.90 75,000.00
DOLTON IL 60419 1 06/19/98 10
0430895086 05 08/01/98 25
8730220 N 07/01/28
0
1770305 638/G02 F 55,350.00 ZZ
360 55,314.70 1
9415 NORTH 59TH AVENUE 8.250 415.83 90
8.000 415.83 61,500.00
GLENDALE AZ 85302 1 06/30/98 10
0430903203 01 08/01/98 25
8766052 N 07/01/28
0
1770360 E22/G02 F 74,400.00 ZZ
360 74,348.80 1
218 WEST HOLLAND AVENUE 7.875 539.45 80
7.625 539.45 93,000.00
SPOKANE WA 99218 1 06/24/98 00
0410925564 05 08/01/98 0
410925564 O 07/01/28
0
1770362 E22/G02 F 165,000.00 ZZ
360 164,877.55 1
1
30 HICKORY ROAD 7.500 1,153.70 75
7.250 1,153.70 220,000.00
HAMPSTEAD NH 03841 5 06/17/98 00
0410885867 05 08/01/98 0
410885867 O 07/01/28
0
1770363 E22/G02 F 142,500.00 ZZ
360 142,399.42 1
401 WEST SOUTHWOOD DRIVE 7.750 1,020.89 75
7.500 1,020.89 190,000.00
WOODLAND CA 95695 5 06/24/98 00
0410922108 05 08/01/98 0
410922108 O 07/01/28
0
1770368 E22/G02 F 262,500.00 ZZ
360 262,356.62 4
1237 SOUTH ORANGE GROVE AVENUE 9.000 2,112.13 75
8.750 2,112.13 351,000.00
LOS ANGELES CA 90019 1 06/26/98 00
0410931588 05 08/01/98 0
410931588 N 07/01/28
0
1770369 E22/G02 F 120,000.00 ZZ
360 119,919.48 1
27 EASTMONT 8.000 880.52 80
UNIT # 30 7.750 880.52 150,000.00
IRVINE CA 92604 1 06/29/98 00
0410896351 01 08/01/98 0
410896351 O 07/01/28
0
1770370 E22/G02 F 175,200.00 ZZ
360 175,091.10 1
2006 SWAN STREET 8.375 1,331.65 80
8.125 1,331.65 219,000.00
DANVILLE CA 94506 1 06/25/98 00
0410803894 09 08/01/98 0
410803894 O 07/01/28
0
1770372 E22/G02 F 40,000.00 ZZ
360 39,977.57 2
11827 207TH STREET 8.875 318.26 23
8.625 318.26 175,000.00
LAKEWOOD CA 90715 5 06/11/98 00
0410768790 05 08/01/98 0
1
410768790 O 07/01/28
0
1770376 E22/G02 F 192,000.00 ZZ
360 191,846.46 1
4560 SULLIVAN COURT 7.125 1,293.54 80
6.875 1,293.54 240,000.00
SANTA ROSA CA 95409 1 06/25/98 00
0410855159 05 08/01/98 0
410855159 O 07/01/28
0
1770377 E22/G02 F 300,000.00 ZZ
360 299,803.76 1
1006 HACIENDA DRIVE 8.125 2,227.49 75
7.875 2,227.49 400,000.00
WALNUT CREEK CA 94598 5 06/25/98 00
0410920649 05 08/01/98 0
410920649 O 07/01/28
0
1770378 E22/G02 F 256,000.00 ZZ
360 255,832.54 1
2804 AUGUSTA COURT 8.125 1,900.79 80
7.875 1,900.79 320,000.00
SANTA CLARA CA 95051 1 06/29/98 00
0410910194 05 08/01/98 0
410910194 O 07/01/28
0
1770381 E22/G02 F 198,400.00 ZZ
360 198,256.41 1
24341 SOUTHEAST 42ND PLACE 7.625 1,404.26 80
7.375 1,404.26 248,000.00
ISSAQUAH WA 98029 1 06/19/98 00
0410912679 03 08/01/98 0
410912679 O 07/01/28
0
1770388 E22/G02 F 61,600.00 ZZ
360 61,561.72 1
46 EAGLE CREEK DRIVE 8.375 468.20 80
UNIT #44 8.125 468.20 77,000.00
LAKE OSWEGO OR 97035 1 06/18/98 00
0410899868 01 08/01/98 0
410899868 O 07/01/28
0
1
1770390 E22/G02 F 154,800.00 ZZ
360 154,693.47 1
4356 BUTTERFIELD LANE 7.875 1,122.41 80
7.625 1,122.41 193,500.00
MOORPARK CA 93021 1 06/11/98 00
0410752240 03 08/01/98 0
410752240 O 07/01/28
0
1770392 E22/G02 F 80,750.00 ZZ
360 80,712.32 2
2213 AND 2215 E. WEBB AVENUE 9.750 693.77 95
9.500 693.77 85,000.00
LAS VEGAS NV 89101 1 06/17/98 01
0410911374 05 08/01/98 30
410911374 O 07/01/28
0
1770394 E22/G02 F 217,000.00 ZZ
360 216,834.88 1
1807 EAST AVENUE 7.375 1,498.77 70
7.125 1,498.77 310,000.00
HAYWARD CA 94541 5 06/17/98 00
0410346860 05 08/01/98 0
410346860 O 07/01/28
0
1770404 H84/G02 F 189,000.00 ZZ
360 188,876.37 1
43 KIRKLAND DRIVE 8.125 1,403.32 74
7.875 1,403.32 256,000.00
GREENLAWN NY 11740 1 07/01/98 00
0430899914 05 08/01/98 0
19808088 O 07/01/28
0
1770408 561/561 F 129,200.00 ZZ
240 128,993.94 1
22004 BLADES ROAD 8.500 1,121.23 95
8.250 1,121.23 136,000.00
PRESTON MD 21655 2 06/10/98 12
0009412735 05 08/01/98 30
0009412735 O 07/01/18
0
1770434 025/025 F 164,500.00 ZZ
360 164,149.44 1
13931 24TH ST SW 7.750 1,178.50 74
7.500 1,178.50 222,500.00
1
DAVIE FL 33325 1 04/30/98 00
493600 05 06/01/98 0
493600 O 05/01/28
0
1770455 575/G02 F 48,000.00 ZZ
360 47,970.92 3
3566 WALSH STREET 8.500 369.08 60
8.250 369.08 80,000.00
JACKSONVILLE FL 32205 1 06/26/98 00
0430901108 05 08/01/98 0
0009128885 N 07/01/28
0
1770492 A38/G02 F 79,900.00 ZZ
360 79,900.00 1
8035 RUSTIC PARK 8.125 593.26 90
7.875 593.26 88,795.00
SAN ANTONIO TX 78240 1 07/17/98 10
0430927285 09 09/01/98 25
8120596 N 08/01/28
0
1770494 707/707 F 200,000.00 ZZ
360 199,261.73 1
3149 AKALA DRIVE 7.500 1,398.43 80
7.250 1,398.43 250,000.00
KIHEI HI 96753 1 03/25/98 00
6004229 05 05/01/98 0
6004229 O 04/01/28
0
1770496 707/707 F 200,000.00 ZZ
360 199,851.57 1
76-122 KAMEHAMALU STREET 7.500 1,398.43 75
7.250 1,398.43 270,000.00
KAILUA-KONA HI 96740 1 05/28/98 00
614050 03 08/01/98 0
614050 O 07/01/28
0
1770497 707/707 F 175,000.00 ZZ
360 174,342.43 1
73-4533 KAHANAIKI ROAD #8B 7.500 1,223.63 70
7.250 1,223.63 252,000.00
KAILUA-KONA HI 96740 5 02/12/98 00
6604471 05 04/01/98 0
6604471 O 03/01/28
0
1
1770500 575/G02 F 84,000.00 ZZ
360 83,951.67 1
319 LINCOLN COURT 8.750 660.83 70
8.500 660.83 120,000.00
BRICK NJ 08724 1 06/25/98 00
0430893677 05 08/01/98 0
9049305 N 07/01/28
0
1770502 575/G02 F 191,900.00 ZZ
360 191,757.58 1
1458 OVERHILL ROAD 7.500 1,341.80 80
7.250 1,341.80 239,900.00
WEST CHESTER PA 19382 1 06/26/98 00
0430901116 05 08/01/98 0
0009121559 O 07/01/28
0
1770503 025/025 F 40,600.00 ZZ
360 40,548.06 1
137 CAPRI AVENUE 8.250 305.01 70
8.000 305.01 58,000.00
SEBASTIAN FL 32958 1 05/04/98 00
299117 05 07/01/98 0
299117 O 06/01/28
0
1770504 575/G02 F 34,200.00 ZZ
360 34,179.80 1
1452 S GEORGE ST 8.625 266.01 90
8.375 266.01 38,000.00
YORK PA 17403 1 06/26/98 12
0430899856 05 08/01/98 25
0009134867 N 07/01/28
0
1770518 575/G02 F 48,450.00 ZZ
360 48,419.88 1
1203 JAMESTOWN ROAD 8.375 368.26 95
8.125 368.26 51,000.00
WILLIAMSBURG VA 23185 1 06/30/98 12
0430902908 01 08/01/98 30
0009095423 O 07/01/28
0
1770531 676/G02 F 190,000.00 ZZ
360 189,865.89 1
1
44-560 KANEOHE BAY DRIVE 7.750 1,361.19 80
7.500 1,361.19 240,000.00
KANEOHE HI 96744 5 06/11/98 00
0430897959 05 08/01/98 0
0701300590 O 07/01/28
0
1770533 E82/G02 F 95,000.00 ZZ
360 95,000.00 1
7764 WOODSIDE COURT 7.875 688.82 58
7.625 688.82 165,000.00
MAINEVILLE OH 45039 5 07/02/98 00
0400126421 05 09/01/98 0
12642C3HC O 08/01/28
0
1770540 559/G02 F 380,000.00 ZZ
360 379,731.80 1
10468 FAIRWAY LANE 7.750 2,722.37 80
7.500 2,722.37 475,044.00
CARMEL CA 93923 1 05/29/98 00
0430894691 03 08/01/98 0
418593034 O 07/01/28
0
1770545 559/G02 F 65,000.00 ZZ
360 64,955.26 1
1051 5TH STREET 7.875 471.30 80
7.625 471.30 81,250.00
SPRINGFIELD OR 97477 5 06/08/98 00
0430893859 05 08/01/98 0
9301035581 O 07/01/28
0
1770547 H19/G02 F 108,000.00 ZZ
360 108,000.00 1
6214 COUNTRYSIDE LANE 7.875 783.08 80
7.625 783.08 135,000.00
MADISON WI 53705 1 07/22/98 00
0430921643 05 09/01/98 0
0001866292 O 08/01/28
0
1770552 286/286 F 40,000.00 ZZ
360 39,910.37 2
289-291 LINCOLN WAY WEST 7.500 279.69 80
7.250 279.69 50,000.00
CHAMBERSBERG PA 17201 1 05/05/98 00
8685174 05 06/01/98 0
1
8685174 N 05/01/28
0
1770557 286/286 F 70,200.00 ZZ
360 70,110.17 1
8700 HAMMETT AVE 8.250 527.39 90
8.000 527.39 78,000.00
NORFOLK VA 23503 1 05/21/98 11
8728849 05 07/01/98 25
8728849 N 06/01/28
0
1770558 225/225 F 49,500.00 ZZ
360 49,470.00 4
709 8TH STREET 8.500 380.62 90
8.250 380.62 55,000.00
ROCKFORD IL 61104 1 06/04/98 12
7028553 05 08/01/98 25
7028553 N 07/01/28
0
1770562 286/286 F 76,000.00 ZZ
360 75,838.02 1
69 BATES ST NW 7.750 544.48 95
7.500 544.48 80,000.00
WASHINGTON DC 20003 1 04/13/98 04
8753975 05 06/01/98 30
8753975 O 05/01/28
0
1770565 025/025 F 420,000.00 ZZ
360 419,292.28 1
1315 ALBERTA DRIVE 6.875 2,759.10 70
6.625 2,759.10 600,000.00
WINTER PARK FL 32789 1 05/07/98 00
180604 05 07/01/98 0
180604 O 06/01/28
0
1770567 286/286 F 19,400.00 ZZ
360 19,378.16 1
3361 N 60TH ST 8.875 154.36 90
8.625 154.36 21,600.00
KANSAS CITY KS 66104 1 05/20/98 11
8780823 05 07/01/98 25
8780823 N 06/01/28
0
1
1770570 225/225 F 73,800.00 ZZ
360 73,755.29 3
416 CROWN STREET 8.500 567.46 89
8.250 567.46 83,000.00
MERIDEN CT 06450 1 06/17/98 11
7029234 05 08/01/98 25
7029234 N 07/01/28
0
1770573 286/286 F 120,000.00 ZZ
360 119,587.69 1
7315 YEW ST 7.375 828.82 75
7.125 828.82 160,000.00
EVERETT WA 98203 5 04/25/98 00
8739645 05 06/01/98 0
8739645 O 05/01/28
0
1770578 025/025 F 76,850.00 ZZ
360 76,743.87 1
10530 SW 144 AVENUE 7.875 557.22 75
7.625 557.22 102,500.00
MIAMI FL 33138 1 05/29/98 00
176854 05 07/01/98 0
176854 O 06/01/28
0
1770579 E45/E45 F 56,000.00 ZZ
360 55,961.46 1
149 CARTER ST 7.875 406.04 80
7.625 406.04 70,000.00
CARROLLTON GA 30117 1 06/12/98 00
40656 05 08/01/98 0
40656 O 07/01/28
0
1770580 286/286 F 74,000.00 ZZ
360 73,846.19 1
81 TIMOTHY LANE 7.875 536.56 79
7.625 536.56 94,000.00
LILBURN GA 30247 2 04/09/98 00
8997720 05 06/01/98 0
8997720 O 05/01/28
0
1770582 E45/G02 F 53,000.00 ZZ
360 52,966.21 1
3940 BRIGHT STAR ROAD 8.250 398.17 67
8.000 398.17 80,000.00
1
DOUGLASVILLE GA 30135 5 06/10/98 00
0430892372 05 08/01/98 0
39966 N 07/01/28
0
1770583 286/286 F 327,000.00 ZZ
360 326,320.43 1
1325 MUREX DR 7.875 2,370.98 67
7.625 2,370.98 490,000.00
NAPLES FL 34102 5 04/15/98 00
8743942 05 06/01/98 0
8743942 O 05/01/28
0
1770585 E26/G02 F 82,800.00 ZZ
360 82,749.83 1
726 WEST C STREET 8.500 636.67 90
8.250 636.67 92,000.00
NEWTON NC 28658 1 06/30/98 01
0430897710 05 08/01/98 25
33700617 N 07/01/28
0
1770590 025/025 F 227,150.00 ZZ
360 226,820.15 1
1450 TIMOTHY RD 7.625 1,607.75 80
7.375 1,607.75 285,000.00
ATHENS GA 30606 1 05/22/98 00
467902 05 07/01/98 0
467902 O 06/01/28
0
1770592 286/286 F 80,500.00 ZZ
360 80,360.02 2
4781-4785 SW 43 TERR 8.750 633.30 90
8.500 633.30 89,500.00
DAVIE FL 33314 1 04/27/98 10
8763885 05 06/01/98 25
8763885 N 05/01/28
0
1770594 025/025 F 104,000.00 ZZ
360 103,637.42 1
3409 TALLY COURT 7.875 754.07 80
7.625 754.07 130,000.00
TAMPA FL 33618 1 02/20/98 00
447050 05 04/01/98 0
447050 O 03/01/28
0
1
1770603 025/025 F 100,650.00 ZZ
360 100,584.16 1
4046 EASTRIDGE DRIVE 8.125 747.32 80
7.875 747.32 125,815.00
POMPANO BEACH FL 33064 1 06/04/98 00
176912 03 08/01/98 0
176912 O 07/01/28
0
1770620 883/G02 F 324,000.00 ZZ
360 323,788.05 1
1801 LAKE GROVE LANE 8.125 2,405.70 80
7.875 2,405.70 405,000.00
ORLANDO FL 32806 4 06/30/98 00
0430894402 03 08/01/98 0
05002693 O 07/01/28
0
1770623 450/G02 F 47,000.00 ZZ
360 46,965.12 1
33670 HIVELEY 7.500 328.63 62
7.250 328.63 77,000.00
WESTLAND MI 48186 5 06/18/98 00
0430896704 05 08/01/98 0
4502068 O 07/01/28
0
1770649 A50/A50 F 268,800.00 ZZ
360 268,605.45 1
318 WALTON STREET 7.625 1,902.55 80
7.375 1,902.55 336,000.00
MONROE GA 30655 2 06/11/98 00
109506 05 08/01/98 0
109506 O 07/01/28
0
1770659 K88/G02 F 290,000.00 ZZ
240 290,000.00 1
19 PRIMROSE LANE 8.375 2,493.80 76
8.125 2,493.80 385,000.00
PISCATAWAY NJ 08854 1 07/10/98 00
0430912956 05 09/01/98 0
7679 O 08/01/18
0
1770679 134/G02 F 62,600.00 ZZ
360 62,559.04 1
1
741 E HALIFAX STREET 8.125 464.81 67
7.875 464.81 94,500.00
MESA AZ 85203 2 06/04/98 00
0430897124 05 08/01/98 0
7313221 N 07/01/28
0
1770695 F03/G02 F 116,000.00 ZZ
360 116,000.00 1
1474 SOUTH RICHFIELD WAY 8.125 861.30 80
7.875 861.30 145,000.00
AURORA CO 80017 1 07/31/98 00
0430955237 05 09/01/98 0
DEM12543 O 08/01/28
0
1770714 267/267 F 196,000.00 ZZ
360 195,843.26 1
8 LACONIA 7.125 1,320.49 72
6.875 1,320.49 275,000.00
IRVINE CA 92614 2 06/17/98 00
4261894 03 08/01/98 0
4261894 O 07/01/28
0
1770732 134/G02 F 99,000.00 ZZ
360 98,933.57 1
2923 E. CACTUS ROAD 8.000 726.43 90
7.750 726.43 110,000.00
PHOENIX AZ 85032 1 06/19/98 11
0430909705 05 08/01/98 25
7332833 N 07/01/28
0
1770739 A01/G02 F 159,000.00 ZZ
360 158,875.97 1
71 MEADOWBROOK 7.250 1,084.66 80
7.000 1,084.66 198,800.00
ALISO VIEJO CA 92656 1 06/25/98 00
0430898049 01 08/01/98 0
98062141 O 07/01/28
0
1770749 830/G02 F 78,000.00 ZZ
360 77,947.66 1
32757 BROOKSTONE LANE 8.000 572.34 78
7.750 572.34 100,000.00
N RIDGEVILLE OH 44001 2 06/26/98 00
0430898882 01 08/01/98 0
1
5538189 O 07/01/28
0
1770750 816/G02 F 135,000.00 ZZ
360 134,904.71 1
1660 EAST YALE AVENUE 7.750 967.16 60
7.500 967.16 225,000.00
SALT LAKE CITY UT 84105 5 06/15/98 00
0430908111 05 08/01/98 0
0 O 07/01/28
0
1770751 E84/G02 F 118,800.00 ZZ
360 118,647.98 1
5718 N DRAKE AVENUE 8.250 892.50 55
8.000 892.50 217,000.00
CHICAGO IL 60659 1 05/15/98 00
0430904755 05 07/01/98 0
1047975 O 06/01/28
0
1770752 964/G02 F 219,000.00 ZZ
360 218,849.29 1
23405 FALENA AVENUE 7.875 1,587.90 79
7.625 1,587.90 280,000.00
TORRANCE CA 90501 2 06/25/98 00
0430892182 05 08/01/98 0
38004 O 07/01/28
0
1770754 964/G02 F 184,000.00 ZZ
360 183,866.83 1
215 ALVARADO STREET 7.625 1,302.34 80
7.375 1,302.34 230,000.00
RICHMOND CA 94801 1 06/29/98 00
0430892042 05 08/01/98 0
37764 O 07/01/28
0
1770756 964/G02 F 122,000.00 ZZ
360 121,911.70 1
2371 SAINT JOSEPH AVENUE 7.625 863.51 80
7.375 863.51 152,500.00
LONG BEACH CA 90815 1 06/24/98 00
0430892497 05 08/01/98 0
38356 O 07/01/28
0
1
1770759 H55/G02 F 124,000.00 ZZ
360 124,000.00 1
1617 WEST 13200 SOUTH 8.250 931.57 74
8.000 931.57 169,000.00
RIVERTON UT 84065 5 07/08/98 00
0430927731 05 09/01/98 0
145518 O 08/01/28
0
1770761 H55/G02 F 60,750.00 ZZ
360 60,713.20 1
5126 WILLIAMS FORK TRAIL #208 8.500 467.11 75
8.250 467.11 81,000.00
BOULDER CO 80301 1 07/02/98 00
0430906909 01 08/01/98 0
0288114 N 07/01/28
0
1770763 937/G02 F 117,300.00 ZZ
360 117,300.00 1
1747 EAST 9620 SOUTH 7.750 840.35 59
7.500 840.35 199,000.00
SANDY UT 84092 2 07/02/98 00
0430915157 05 09/01/98 0
24933001 O 08/01/28
0
1770765 664/G02 F 158,700.00 ZZ
360 158,603.85 1
1500 SW 5TH AVENUE #2405 8.500 1,220.27 56
8.250 1,220.27 285,000.00
PORTLAND OR 97201 5 06/22/98 00
0430899120 05 08/01/98 0
2598241 O 07/01/28
0
1770770 964/G02 F 110,000.00 ZZ
360 109,920.39 1
8265 CANYON OAK DRIVE 7.625 778.57 79
7.375 778.57 140,000.00
CITRUS HEIGHTS CA 95610 1 06/26/98 00
0430892380 05 08/01/98 0
37402 O 07/01/28
0
1770771 664/G02 F 92,750.00 ZZ
360 92,695.24 1
3156 QUINCE ST SE 8.625 721.40 90
8.375 721.40 103,100.00
1
OLYMPIA WA 98501 1 06/24/98 04
0430899559 05 08/01/98 25
2527802 O 07/01/28
0
1770792 H22/G02 F 164,500.00 ZZ
360 164,500.00 1
46-14 189TH STREET 7.500 1,150.21 79
7.250 1,150.21 210,000.00
FLUSHING NY 11358 2 07/27/98 00
0430955674 09 09/01/98 0
9806035 O 08/01/28
0
1770819 B75/G02 F 136,000.00 ZZ
360 135,908.75 1
1133 NEWMARK WAY 8.000 997.92 80
7.750 997.92 170,000.00
FOLSOM CA 95630 1 06/16/98 00
0430953901 05 08/01/98 0
7984719 O 07/01/28
0
1770826 025/025 F 36,190.00 ZZ
360 36,143.70 1
1992 HIDGON STREET 8.250 271.88 70
8.000 271.88 51,700.00
AUGUSTA GA 30906 5 05/12/98 00
374499 05 07/01/98 0
374499 O 06/01/28
0
1770831 025/025 F 112,450.00 ZZ
360 112,294.72 1
9 ISLAND AVENUE #410 7.875 815.34 80
7.625 815.34 140,620.00
MIAMI BEACH FL 33139 1 05/11/98 00
176258 06 07/01/98 0
176258 O 06/01/28
0
1770836 025/025 F 43,200.00 ZZ
360 43,147.47 1
1420 PENNSYLVANIA AVENUE 8.500 332.17 80
#408 8.250 332.17 54,000.00
MIAMI BEACH FL 33139 1 05/21/98 00
176628 01 07/01/98 0
176628 O 06/01/28
0
1
1770838 E22/G02 F 114,750.00 ZZ
360 114,676.83 1
7317 PECAN AVENUE UNIT #1 8.250 862.08 90
8.000 862.08 127,500.00
SUNSET BEACH NC 28469 1 06/29/98 04
0410927388 07 08/01/98 25
410927388 N 07/01/28
0
1770839 E22/G02 F 106,400.00 ZZ
360 106,332.15 1
7317 PECAN AVE UNIT #2 8.250 799.35 70
8.000 799.35 152,000.00
SUNSET BEACH NC 28469 5 06/29/98 00
0410931257 07 08/01/98 0
410931257 N 07/01/28
0
1770840 E22/G02 F 165,000.00 ZZ
360 164,886.45 1
431 SHADY KNOLL ROAD 7.875 1,196.36 73
7.625 1,196.36 228,500.00
FRANKLIN NC 28734 5 06/23/98 00
0410866925 05 08/01/98 0
410866925 O 07/01/28
0
1770841 E22/G02 F 169,000.00 ZZ
360 168,874.58 1
30 SUSAN DR. 7.500 1,181.67 78
7.250 1,181.67 219,000.00
READING MA 01867 1 06/26/98 00
0410883433 05 08/01/98 0
410883433 O 07/01/28
0
1770842 025/025 F 217,500.00 ZZ
360 216,946.67 1
540 E MT VERNON DRIVE 7.875 1,577.03 75
7.625 1,577.03 290,000.00
PLANTATION FL 33325 2 04/24/98 00
382966 05 06/01/98 0
382966 O 05/01/28
0
1770843 E22/G02 F 100,300.00 ZZ
360 100,229.21 1
1
551 BLUE RIDGE ROAD 7.750 718.56 85
7.500 718.56 118,000.00
BLACK MOUNTAIN NC 28771 5 06/24/98 04
0410905343 05 08/01/98 12
410905343 O 07/01/28
0
1770846 E22/G02 F 109,800.00 ZZ
360 109,731.75 1
710 COPPER LANE #202 8.375 834.56 90
8.125 834.56 122,000.00
LOUISVILLE CO 80027 1 06/30/98 04
0410928030 01 08/01/98 25
410928030 N 07/01/28
0
1770849 E22/G02 F 41,400.00 ZZ
360 41,376.79 1
1327 SOUTH YALE AVE 8.875 329.40 90
8.625 329.40 46,500.00
TULSA OK 74112 2 06/30/98 10
0410909121 05 08/01/98 25
410909121 N 07/01/28
0
1770856 025/025 F 52,700.00 ZZ
360 52,625.36 2
6023 WOODS STREET 7.750 377.55 79
7.500 377.55 66,750.00
ORLANDO FL 32824 1 05/13/98 00
180678 05 07/01/98 0
180678 N 06/01/28
0
1770858 E22/G02 F 82,800.00 ZZ
360 82,751.12 1
6414 EAST WINDSOR AVENUE 8.625 644.01 90
8.375 644.01 92,000.00
SCOTTSDALE AZ 85257 1 06/29/98 04
0410930416 05 08/01/98 25
410930416 N 07/01/28
0
1770859 025/025 F 70,300.00 ZZ
360 70,107.03 1
2934 ADAMS STREET 8.125 521.98 80
7.875 521.98 87,900.00
HOLLYWOOD FL 33020 1 05/13/98 00
176200 05 07/01/98 0
1
176200 O 06/01/28
0
1770861 025/025 F 123,500.00 ZZ
360 123,236.80 1
16417 SW 1ST STREET 7.750 884.77 80
7.500 884.77 154,417.00
PEMBROKE PINES FL 33027 1 04/21/98 00
176210 03 06/01/98 0
176210 O 05/01/28
0
1770864 E22/G02 F 84,000.00 ZZ
360 83,946.44 1
1133 N. DICKERSON AVE. 8.250 631.06 80
8.000 631.06 105,000.00
SPRINGFIELD MO 65803 2 06/24/98 00
0410926992 05 08/01/98 0
410926992 O 07/01/28
0
1770865 E22/G02 F 124,700.00 ZZ
360 124,628.25 1
3036 RUSTIC COURT 8.750 981.02 80
8.500 981.02 155,900.00
FORT COLLINS CO 80526 1 06/29/98 00
0410934376 05 08/01/98 0
410934376 N 07/01/28
0
1770866 025/025 F 131,250.00 ZZ
360 131,003.57 1
1212 CAMELLIA LANE 8.375 997.59 75
8.125 997.59 175,000.00
WESTON FL 33326 1 04/30/98 00
176214 05 06/01/98 0
176214 O 05/01/28
0
1770869 025/025 F 163,200.00 ZZ
360 162,971.48 1
4708 SCOLLAY COURT 8.250 1,226.07 80
8.000 1,226.07 204,000.00
RALEIGH NC 27609 1 05/14/98 00
571197 05 07/01/98 0
571197 O 06/01/28
0
1
1770871 E22/G02 F 153,000.00 ZZ
360 152,902.44 1
900 NW 15TH ST 8.250 1,149.44 85
8.000 1,149.44 180,000.00
HOMESTEAD FL 33030 5 06/24/98 10
0410907000 05 08/01/98 12
410907000 O 07/01/28
0
1770873 E22/G02 F 151,200.00 ZZ
360 151,095.95 1
506 YEONAS DRIVE 7.875 1,096.30 80
7.625 1,096.30 189,000.00
VIENNA VA 22180 1 06/26/98 00
0410932982 05 08/01/98 0
410932982 O 07/01/28
0
1770877 E22/G02 F 112,500.00 ZZ
360 112,424.51 1
103 SOUTH MANHATTAN AVENUE 8.000 825.49 75
7.750 825.49 150,000.00
TAMPA FL 33609 5 06/23/98 00
0410920524 07 08/01/98 0
410920524 O 07/01/28
0
1770878 025/025 F 71,000.00 ZZ
360 70,896.91 1
5591-B COACH HOUSE CIRCLE 7.625 502.53 75
7.375 502.53 95,000.00
BOCA RATON FL 33433 1 05/12/98 00
562477 01 07/01/98 0
562477 N 06/01/28
0
1770880 E22/G02 F 106,000.00 ZZ
360 105,928.88 1
9999 DETROIT STREET 8.000 777.79 85
7.750 777.79 125,000.00
DENVER CO 80229 5 06/24/98 04
0410928782 05 08/01/98 12
410928782 O 07/01/28
0
1770882 025/025 F 322,500.00 ZZ
360 321,829.79 1
117 KEY HAVEN ROAD 7.875 2,338.35 75
7.625 2,338.35 430,000.00
1
KEY WEST FL 33040 5 04/28/98 00
382465 05 06/01/98 0
382465 O 05/01/28
0
1770888 B28/G02 F 118,800.00 ZZ
360 118,724.24 1
3345 WEST 38TH AVENUE 8.250 892.51 90
8.000 892.51 132,000.00
DENVER CO 80211 1 07/02/98 14
0430914176 05 08/01/98 25
13980087 N 07/01/28
0
1770889 025/025 F 153,750.00 ZZ
360 153,532.28 1
110 SE 12TH STREET 7.750 1,101.48 75
7.500 1,101.48 205,000.00
POMPANO BEACH FL 33060 1 05/29/98 00
176527 05 07/01/98 0
176527 O 06/01/28
0
1770891 025/025 F 39,550.00 ZZ
360 39,473.79 1
2410 CUNNINGHAM DRIVE 8.250 297.13 70
8.000 297.13 56,500.00
AUGUSTA GA 30906 5 04/15/98 00
374575 05 06/01/98 0
374575 N 05/01/28
0
1770895 E22/G02 F 68,500.00 ZZ
360 68,457.42 1
2301 WHITETAIL DRIVE 8.375 520.65 60
8.125 520.65 115,000.00
BROOK PARK MN 55007 2 06/24/98 00
0410895445 05 08/01/98 0
410895445 O 07/01/28
0
1770896 E22/G02 F 62,400.00 ZZ
360 62,355.96 1
223 BLANCO DRIVE 7.750 447.04 80
7.500 447.04 78,000.00
PORTLAND TX 78374 1 06/22/98 00
0410910723 05 08/01/98 0
410910723 O 07/01/28
0
1
1770897 E22/G02 F 224,950.00 ZZ
360 224,830.29 4
2301 HUMBOLDT 9.125 1,830.27 85
8.875 1,830.27 265,000.00
DENVER CO 80205 1 06/05/98 04
0410893465 05 08/01/98 20
410893465 N 07/01/28
0
1770898 E22/G02 F 52,650.00 ZZ
360 52,593.75 1
1410 LAKE POINTE UNIT #8 9.125 428.38 90
8.875 428.38 58,500.00
CENTERVILLE OH 45459 1 05/22/98 04
0410815096 01 07/01/98 25
410815096 N 06/01/28
0
1770903 025/025 F 86,100.00 ZZ
360 85,992.60 1
10981 CYPRESS RUN CIRCLE 8.375 654.42 70
8.125 654.42 123,000.00
CORAL SPRINGS FL 33071 5 05/06/98 00
176056 03 07/01/98 0
176056 O 06/01/28
0
1770905 025/025 F 54,600.00 ZZ
360 54,524.60 1
2243 SE GLOVER STREET 7.875 395.89 70
7.625 395.89 78,000.00
PORT ST. LUCIE FL 34984 5 05/11/98 00
176513 05 07/01/98 0
176513 N 06/01/28
0
1770906 025/025 F 186,000.00 ZZ
360 185,743.16 2
572 49 STREET OCEAN 7.875 1,348.63 60
7.625 1,348.63 310,000.00
MARATHON FL 33050 5 05/15/98 00
176519 05 07/01/98 0
176519 O 06/01/28
0
1770915 025/025 F 62,930.00 ZZ
360 62,795.89 1
1
655 TARA LANE 7.750 450.84 70
7.500 450.84 89,900.00
EVANS GA 30809 1 04/30/98 00
374576 05 06/01/98 0
374576 N 05/01/28
0
1770916 025/025 F 325,000.00 ZZ
360 324,488.37 1
91 AVERY DRIVE NE 7.500 2,272.45 46
7.250 2,272.45 720,000.00
ATLANTA GA 30309 5 05/19/98 00
389199 05 07/01/98 0
389199 O 06/01/28
0
1770920 025/025 F 234,000.00 ZZ
360 233,668.63 1
600 PONTE VEDRA BLVD #302 7.750 1,676.40 80
7.500 1,676.40 292,500.00
PONTE VEDRA BEA FL 32082 1 05/12/98 00
660316 01 07/01/98 0
660316 O 06/01/28
0
1770923 561/561 F 222,100.00 ZZ
360 221,931.00 1
42994 CEDAR SPRINGS COURT 7.375 1,533.99 80
7.125 1,533.99 277,675.00
ASHBURN VA 20148 1 06/26/98 00
0009386095 03 08/01/98 0
0009386095 O 07/01/28
0
1770924 025/025 F 240,000.00 T
360 239,475.59 1
689-A PONTE VEDRA BOULEVARD 7.625 1,698.70 80
7.375 1,698.70 300,000.00
PONTE VEDRA BEA FL 32082 1 04/28/98 00
660366 01 07/01/98 0
660366 O 06/01/28
0
1770926 025/025 F 344,000.00 ZZ
360 343,512.85 1
224 SEA ISLAND DRIVE 7.750 2,464.46 80
7.500 2,464.46 430,000.00
PONTE VEDRA BEA FL 32082 1 05/27/98 00
660409 03 07/01/98 0
1
660409 O 06/01/28
0
1770935 025/025 F 153,000.00 ZZ
360 152,760.21 1
4270 NE 22ND TERRACE 9.250 1,258.69 90
9.000 1,258.69 170,000.00
LIGHTHOUSE POIN FL 33064 1 04/28/98 01
176275 05 06/01/98 25
176275 N 05/01/28
0
1770936 025/025 F 150,000.00 ZZ
360 149,401.19 1
10370 SW 40TH STREET 8.125 1,113.75 58
7.875 1,113.75 260,000.00
DAVIE FL 33328 1 01/30/98 00
381636 05 03/01/98 0
381636 O 02/01/28
0
1770938 227/G02 F 368,000.00 ZZ
360 367,726.89 1
526 FRANKLIN STREET 7.500 2,573.11 80
7.250 2,573.11 460,000.00
DENVER CO 80218 1 06/29/98 00
0430904870 05 08/01/98 0
1788975 O 07/01/28
0
1770942 375/G02 F 230,000.00 ZZ
360 229,690.31 2
1120 GRAND AVENUE 8.000 1,687.66 72
7.750 1,687.66 320,000.00
GLENWOOD SPRING CO 81601 5 05/12/98 00
0430890012 05 07/01/98 0
744584 O 06/01/28
0
1770948 025/025 F 88,000.00 ZZ
360 87,817.12 1
7600 MOKENA COURT 7.875 638.06 44
7.625 638.06 200,000.00
NEW PORT RICHEY FL 34654 5 04/27/98 00
986180 05 06/01/98 0
986180 O 05/01/28
0
1
1770951 375/G02 F 165,000.00 T
360 164,793.68 1
145 N KIHEI ROAD 8.375 1,254.12 75
#530 8.125 1,254.12 220,000.00
KIHEI HI 96753 1 05/28/98 00
0430890590 08 07/01/98 0
0047108329 O 06/01/28
0
1770952 375/G02 F 165,000.00 ZZ
360 164,883.53 1
14378 S E WILLET DRIVE 7.750 1,182.09 74
7.500 1,182.09 225,000.00
PORTLAND OR 97236 1 06/03/98 00
0430890038 03 08/01/98 0
47134119 O 07/01/28
0
1770954 025/025 F 112,700.00 ZZ
360 112,448.25 1
2326 LONGMONT DRIVE 8.000 826.96 70
7.750 826.96 161,000.00
JACKSONVILLE FL 32246 1 05/15/98 00
571206 03 07/01/98 0
571206 O 06/01/28
0
1770964 025/025 F 44,800.00 ZZ
360 43,688.45 1
318 SE 71ST STREET 8.500 344.47 80
8.250 344.47 56,000.00
GAINESVILLE FL 32641 1 05/22/98 00
377039 05 07/01/98 0
377039 O 06/01/28
0
1770965 E22/G02 F 78,750.00 T
360 78,694.42 1
9845 KAMENA CIRCLE 7.750 564.17 75
UNIT #151 7.500 564.17 105,061.00
BOYNTON BEACH FL 33436 1 06/24/98 00
0410840433 09 08/01/98 0
410840433 O 07/01/28
0
1770968 E22/G02 F 275,000.00 ZZ
360 274,810.75 1
1800 SUNSET HARBOR DRIVE 7.875 1,993.94 65
UNIT #1502 7.625 1,993.94 425,000.00
1
MIAMI BEACH FL 33139 1 06/29/98 00
0410813422 06 08/01/98 0
410813422 O 07/01/28
0
1770971 025/025 F 94,000.00 ZZ
360 93,818.94 3
332 NE 3RD STREET 8.250 706.19 65
8.000 706.19 145,000.00
HALLANDALE FL 33009 5 04/10/98 00
176030 05 06/01/98 0
176030 N 05/01/28
0
1770975 025/025 F 364,000.00 ZZ
360 363,471.42 1
2280 SAVANNAH LANE 7.625 2,576.37 80
7.375 2,576.37 455,000.00
LEXINGTON KY 40514 1 05/21/98 00
343250 05 07/01/98 0
343250 O 06/01/28
0
1770986 B49/G02 F 189,500.00 ZZ
360 189,500.00 1
10777 SNOWY TRAIL 7.500 1,325.02 80
7.250 1,325.02 236,900.00
CONIFER CO 80433 1 07/15/98 00
0430912642 05 09/01/98 0
0288125 O 08/01/28
0
1770987 E22/G02 F 247,350.00 ZZ
360 247,188.20 1
18930 NORTHEAST 168TH STREET 8.125 1,836.57 85
7.875 1,836.57 291,000.00
WOODINVILLE WA 98072 5 06/24/98 04
0410928139 05 08/01/98 12
410928139 O 07/01/28
0
1770989 025/025 F 112,000.00 ZZ
360 111,795.01 1
1021 JAYBEE AVENUE 8.500 861.18 80
8.250 861.18 140,000.00
DAVENPORT FL 33837 1 04/29/98 00
351806 03 06/01/98 0
351806 O 05/01/28
0
1
1770991 E22/G02 F 43,650.00 ZZ
360 43,624.89 1
1302 SANFORD AVENUE 8.750 343.39 90
8.500 343.39 48,500.00
RICHLAND WA 99352 1 06/25/98 04
0410934251 05 08/01/98 25
410934251 N 07/01/28
0
1770992 E22/G02 F 168,000.00 ZZ
360 167,875.32 1
5456 BLACK AVENUE 7.500 1,174.68 80
7.250 1,174.68 210,000.00
PLEASANTON CA 94566 1 06/22/98 00
0410913156 09 08/01/98 0
410913156 O 07/01/28
0
1770993 E22/G02 F 268,000.00 ZZ
360 267,806.03 1
2821 2ND AVENUE 7.625 1,896.89 90
UNIT # 701 7.375 1,896.89 297,800.00
SEATTLE WA 98121 1 06/29/98 04
0410946214 06 08/01/98 30
410946214 O 07/01/28
0
1770994 E22/G02 F 118,400.00 ZZ
360 118,314.30 1
1340 BUSCA DRIVE 7.625 838.03 80
7.375 838.03 148,000.00
TRACY CA 95376 1 06/24/98 00
0410911143 05 08/01/98 0
410911143 O 07/01/28
0
1770995 E22/G02 F 185,600.00 ZZ
360 185,455.21 1
4014 WILLALEE AVENUE 7.250 1,266.12 80
7.000 1,266.12 232,000.00
GLENDALE CA 91214 1 06/24/98 00
0410915235 05 08/01/98 0
410915235 O 07/01/28
0
1770997 E22/G02 F 148,300.00 ZZ
360 148,197.94 1
1
8972 BELLEVUE PLACE 7.875 1,075.28 90
7.625 1,075.28 164,807.00
RIVERSIDE CA 92508 1 06/23/98 04
0410831424 05 08/01/98 25
410831424 N 07/01/28
0
1770999 E22/G02 F 122,850.00 ZZ
240 122,634.87 1
2766 NORTH ASHWOOD STREET 7.750 1,008.54 58
7.500 1,008.54 215,000.00
ORANGE CA 92865 2 06/24/98 00
0410915359 05 08/01/98 0
410915359 N 07/01/18
0
1771000 E22/G02 F 171,150.00 ZZ
360 171,019.77 1
1480 VELASQUEZ LANE 7.375 1,182.09 80
7.125 1,182.09 213,969.00
TRACY CA 95376 1 06/23/98 00
0410914881 05 08/01/98 0
410914881 O 07/01/28
0
1771002 025/025 F 112,000.00 ZZ
360 111,795.01 1
1031 JAYBEE AVE 8.500 861.18 80
8.250 861.18 140,000.00
DAVENPORT FL 33837 1 04/29/98 00
351807 03 06/01/98 0
351807 N 05/01/28
0
1771006 E22/G02 F 280,000.00 ZZ
360 279,812.13 1
103 MARLETTE DRIVE 8.000 2,054.54 75
7.750 2,054.54 377,000.00
TAHOE CITY CA 96145 5 06/19/98 00
0410904023 05 08/01/98 0
410904023 O 07/01/28
0
1771010 E22/G02 F 111,750.00 ZZ
360 111,669.12 1
651 GRIDER DRIVE 7.625 790.96 75
7.375 790.96 149,000.00
ROSEVILLE CA 95678 1 06/22/98 00
0410924013 05 08/01/98 0
1
410924013 N 07/01/28
0
1771012 E22/G02 F 116,400.00 ZZ
360 116,323.85 1
1734 CORSICA DRIVE 8.125 864.27 80
7.875 864.27 145,500.00
YUBA CITY CA 95993 1 06/25/98 00
0410931877 05 08/01/98 0
410931877 O 07/01/28
0
1771015 025/025 F 94,000.00 ZZ
360 93,943.05 2
232 NW 23 STREET 8.500 722.78 70
8.250 722.78 135,000.00
FT LAUDERDALE FL 33311 5 06/01/98 00
382578 05 08/01/98 0
382578 O 07/01/28
0
1771019 E22/G02 F 453,750.00 ZZ
360 453,750.00 4
855 BURBANK DRIVE 8.875 3,610.24 75
8.625 3,610.24 605,000.00
SANTA CLARA CA 95051 1 07/01/98 00
0410900443 05 09/01/98 0
410900443 N 08/01/28
0
1771022 E22/G02 F 100,000.00 ZZ
360 99,931.18 1
6421 139TH PLACE NORTHEAST 7.875 725.07 80
UNIT # 50 7.625 725.07 125,000.00
REDMOND WA 98052 5 06/22/98 00
0410910863 01 08/01/98 0
410910863 O 07/01/28
0
1771023 E22/G02 F 136,000.00 ZZ
360 135,911.03 1
RT 3, BOX 123A 8.125 1,009.80 85
7.875 1,009.80 160,000.00
WALLA WALLA WA 99362 2 06/23/98 04
0410852545 05 08/01/98 25
410852545 O 07/01/28
0
1
1771026 E22/G02 F 200,000.00 ZZ
360 199,855.24 1
8300 OLIVE HILL COURT 7.625 1,415.59 80
7.375 1,415.59 250,000.00
FAIR OAKS CA 95628 1 06/24/98 00
0410909568 05 08/01/98 0
410909568 O 07/01/28
0
1771029 E22/G02 F 138,400.00 ZZ
360 138,304.75 1
10601 38TH DRIVE NORTHEAST 7.875 1,003.50 80
7.625 1,003.50 173,000.00
MARYSVILLE WA 98271 2 06/18/98 00
0410929368 05 08/01/98 0
410929368 O 07/01/28
0
1771030 E22/G02 F 76,500.00 ZZ
360 76,447.35 1
2665 HARKNESS STREET 7.875 554.68 90
7.625 554.68 85,000.00
SACRAMENTO CA 95818 1 06/23/98 04
0410931042 05 08/01/98 25
410931042 N 07/01/28
0
1771031 E22/G02 F 360,000.00 ZZ
360 359,739.44 1
820 POINSETTIA WAY 7.625 2,548.06 77
7.375 2,548.06 468,000.00
SANTA BARBARA CA 93101 1 06/26/98 00
0410933667 05 08/01/98 0
410933667 O 07/01/28
0
1771033 E22/G02 F 125,600.00 ZZ
360 125,506.79 1
5825 YAWL STREET 7.500 878.21 80
7.250 878.21 157,000.00
DISCOVERY BAY CA 94514 1 06/17/98 00
0410913487 01 08/01/98 0
410913487 O 07/01/28
0
1771034 E22/G02 F 126,800.00 ZZ
360 126,623.19 1
20590 SOUTHWEST PIKE STRE 8.500 974.98 95
8.250 974.98 133,500.00
1
BEAVERTON OR 97007 1 06/23/98 04
0410905913 05 08/01/98 30
410905913 O 07/01/28
0
1771037 E22/G02 F 747,500.00 ZZ
360 747,035.39 1
13953 NORTHEAST 31ST PLACE 8.375 5,681.54 65
8.125 5,681.54 1,160,000.00
BELLEVUE WA 98005 5 06/18/98 00
0410917454 03 08/01/98 0
410917454 O 07/01/28
0
1771038 E22/G02 F 44,000.00 ZZ
360 43,966.77 2
536-536 1/2 5TH STREET 8.375 334.43 70
8.125 334.43 63,000.00
TWIN FALLS ID 83301 2 06/19/98 00
0410864524 05 08/01/98 0
410864524 N 07/01/28
0
1771039 E22/G02 F 138,000.00 ZZ
360 137,897.58 1
918 HIGHLINE DRIVE 7.500 964.92 80
7.250 964.92 172,500.00
EAST WENATCHEE WA 98802 5 06/03/98 00
0410866370 05 08/01/98 0
410866370 O 07/01/28
0
1771040 E22/G02 F 151,900.00 ZZ
360 151,781.50 1
18814 MADISON AVENUE 7.250 1,036.23 80
7.000 1,036.23 189,900.00
CASTRO VALLEY CA 94546 1 06/19/98 00
0410895791 05 08/01/98 0
410895791 O 07/01/28
0
1771045 025/025 F 86,000.00 ZZ
360 85,825.72 4
1284 BARNWOOD COURT 8.000 631.04 54
7.750 631.04 160,000.00
BOWLING GREEN KY 42104 2 04/24/98 00
342890 05 06/01/98 0
342890 N 05/01/28
0
1
1771049 025/025 F 164,000.00 ZZ
360 163,767.75 1
774 S PENNSYLVANIA AVE 7.750 1,174.92 80
7.500 1,174.92 205,000.00
WINTER PARK FL 32789 1 05/22/98 00
180749 01 07/01/98 0
180749 O 06/01/28
0
1771053 025/025 F 88,000.00 ZZ
360 87,821.69 1
1300 BARNWOOD COURT 8.000 645.71 49
7.750 645.71 183,000.00
BOWLING GREEN KY 42104 2 04/24/98 00
342947 05 06/01/98 0
342947 N 05/01/28
0
1771059 025/025 F 60,000.00 ZZ
360 59,796.00 1
806 HOUNDSTOOTH TRAIL 8.000 440.26 68
7.750 440.26 89,000.00
LILBURN GA 30047 5 04/02/98 00
388650 05 06/01/98 0
388650 O 05/01/28
0
1771064 025/025 F 81,500.00 ZZ
360 81,393.00 1
117 RED CEDAR DR 8.125 605.14 60
7.875 605.14 136,500.00
LONGWOOD FL 32779 5 05/11/98 00
351439 09 07/01/98 0
351439 O 06/01/28
0
1771071 025/025 F 125,600.00 ZZ
360 125,417.61 1
1637 CHESTNUT AVENUE 7.625 888.99 80
7.375 888.99 157,000.00
WINTER PARK FL 32789 1 05/15/98 00
180687 05 07/01/98 0
180687 O 06/01/28
0
1771077 025/025 F 135,750.00 ZZ
360 135,576.29 1
1
350 DEVON PLACE 8.250 1,019.84 75
8.000 1,019.84 181,000.00
HEATHROW FL 32746 1 05/15/98 00
351792 03 07/01/98 0
351792 O 06/01/28
0
1771083 025/025 F 71,000.00 ZZ
360 70,909.14 1
2339 ISLAND CLUB WAY 8.250 533.40 74
8.000 533.40 97,065.00
ORLANDO FL 32822 1 05/20/98 00
351524 03 07/01/98 0
351524 O 06/01/28
0
1771089 025/025 F 400,000.00 ZZ
360 399,286.41 1
11755 SE LAUREL LANE 8.625 3,111.16 69
8.375 3,111.16 580,000.00
HOBE SOUND FL 33455 5 04/24/98 00
382846 05 06/01/98 0
382846 O 05/01/28
0
1771097 025/025 F 132,000.00 ZZ
360 131,755.52 1
1472 NE 57 AVENUE 7.750 945.66 80
7.500 945.66 165,000.00
FORT LAUDERDALE FL 33334 1 05/06/98 00
176379 05 07/01/98 0
176379 O 06/01/28
0
1771102 A52/G02 F 63,750.00 ZZ
360 63,750.00 1
4256 COTTAGE LANE 8.500 490.18 85
8.250 490.18 75,000.00
CONLEY GA 30288 5 07/17/98 23
0430920991 05 09/01/98 0
00000656 O 08/01/28
0
1771218 025/025 F 42,000.00 ZZ
360 41,942.01 1
2205 NORTH AVENUE 7.875 304.53 68
7.625 304.53 62,000.00
COLUMBUS GA 31904 1 05/29/98 00
791174 05 07/01/98 0
1
791174 N 06/01/28
0
1771223 025/025 F 472,500.00 ZZ
360 471,847.53 1
2841 NE 48 STREET 7.875 3,425.95 75
7.625 3,425.95 630,000.00
LIGHTHOUSE POIN FL 33064 1 05/21/98 00
176400 05 07/01/98 0
176400 O 06/01/28
0
1771225 A83/G02 F 220,000.00 ZZ
360 219,832.59 1
2131 BURR COURT 7.375 1,519.49 80
7.125 1,519.49 275,000.00
SANTA CRUZ CA 95062 1 06/01/98 00
0430906651 05 08/01/98 0
3004466 O 07/01/28
0
1771228 A83/G02 F 55,000.00 ZZ
360 54,927.79 1
51 DAVIS AVE 8.125 408.38 74
7.875 408.38 75,000.00
FREEDOM CA 95019 1 05/21/98 00
0430902726 05 07/01/98 0
3004457 O 06/01/28
0
1771229 025/025 F 650,000.00 ZZ
360 649,102.42 1
4901 S ATLANTIC AVENUE 7.875 4,712.95 73
7.625 4,712.95 900,000.00
PONCE INLET FL 32127 1 05/15/98 00
887721 05 07/01/98 0
887721 O 06/01/28
0
1771235 M11/G02 F 41,000.00 ZZ
360 40,973.17 1
2121 HEPBURN 8.125 304.43 90
#913 7.875 304.43 46,000.00
HOUSTON TX 77054 1 06/11/98 04
0430904862 01 08/01/98 25
000091 O 07/01/28
0
1
1771240 A83/G02 F 224,900.00 ZZ
360 224,741.27 1
94 AMBERFIELD LANE 7.750 1,611.21 70
7.500 1,611.21 322,000.00
DANVILLE CA 94506 1 06/03/98 00
0430902478 09 08/01/98 0
3004473 O 07/01/28
0
1771243 H35/G02 F 61,600.00 ZZ
360 61,560.71 1
13700 SW 62 ST #243 8.250 462.79 80
8.000 462.79 77,000.00
MIAMI FL 33183 1 06/15/98 00
0430902718 01 08/01/98 0
00 O 07/01/28
0
1771247 A83/G02 F 100,800.00 ZZ
360 100,540.22 1
1292 BOURET #4 8.250 757.28 80
8.000 757.28 126,000.00
SAN JOSE CA 95118 1 03/19/98 00
0430902882 01 05/01/98 0
3003318 N 04/01/28
0
1771249 025/025 F 40,000.00 ZZ
360 39,943.36 1
2122 ARDENWOOD DRIVE 7.750 286.56 61
7.500 286.56 66,500.00
SPRING HILL FL 34609 1 05/11/98 00
987262 05 07/01/98 0
987262 O 06/01/28
0
1771256 025/025 F 97,000.00 ZZ
360 96,851.94 1
22660 BELL LAKE ROAD 7.375 669.95 43
7.125 669.95 227,000.00
LAND O'LAKES FL 34639 5 05/13/98 00
983767 05 07/01/98 0
983767 O 06/01/28
0
1771258 A83/G02 F 192,000.00 ZZ
360 191,734.75 1
1490 TRIBOROUGH LANE 8.000 1,408.83 80
7.750 1,408.83 240,000.00
1
SAN JOSE CA 95126 1 05/18/98 00
0430902429 01 07/01/98 0
3004619 O 06/01/28
0
1771263 025/025 F 260,000.00 ZZ
360 259,622.45 1
106 LOCUST DRIVE 7.625 1,840.26 73
7.375 1,840.26 360,000.00
BRANDON FL 33511 2 05/01/98 00
811488 05 07/01/98 0
811488 O 06/01/28
0
1771266 A83/G02 F 245,000.00 ZZ
360 244,724.25 1
2766 FLEETWOOD DRIVE 8.875 1,949.33 70
8.625 1,949.33 350,000.00
SAN BRUNO CA 94066 5 05/11/98 00
0430902916 05 07/01/98 0
3004531 N 06/01/28
0
1771274 A83/G02 F 209,600.00 ZZ
360 209,303.18 1
2038 JUNEWOOD AVENUE 7.750 1,501.60 80
7.500 1,501.60 262,000.00
SAN JOSE CA 95132 1 05/22/98 00
0430902924 05 07/01/98 0
3004670 O 06/01/28
0
1771277 498/G02 F 174,300.00 ZZ
360 174,300.00 1
2192 PAGET CIRCLE 7.625 1,233.69 70
7.375 1,233.69 249,000.00
NAPLES FL 34112 1 07/07/98 00
0430898429 05 09/01/98 0
1544340 O 08/01/28
0
1771278 025/025 F 191,000.00 ZZ
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1772589 F30/G02 F 400,000.00 ZZ
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0430894600 05 08/01/98 25
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0430893644 03 08/01/98 12
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0430908244 05 08/01/98 30
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XXX XXXXXXX XX 00000 2 06/24/98 00
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1772674 950/G02 F 56,250.00 ZZ
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1772701 134/G02 F 32,000.00 ZZ
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1772706 E45/G02 F 58,400.00 ZZ
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0430901207 05 08/01/98 25
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1
1772746 766/G02 F 30,000.00 ZZ
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1772748 664/G02 F 197,100.00 ZZ
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1772760 907/907 F 172,000.00 ZZ
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1772767 003/G02 F 104,900.00 ZZ
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1772770 003/G02 F 46,250.00 ZZ
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0430901579 01 09/01/98 25
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0430898056 05 08/01/98 12
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0
1772855 134/G02 F 133,875.00 ZZ
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0430899567 05 08/01/98 12
7302791 O 07/01/28
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1772867 E82/G02 F 130,000.00 ZZ
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1772919 737/G02 F 64,800.00 ZZ
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1772956 721/G02 F 105,000.00 ZZ
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1772973 E22/G02 F 44,500.00 ZZ
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410888036 O 07/01/28
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1
1772974 E22/G02 F 192,000.00 ZZ
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410923817 O 07/01/28
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1772993 E22/G02 F 40,800.00 ZZ
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1772996 E22/G02 F 120,000.00 ZZ
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1772998 E22/G02 F 38,250.00 ZZ
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410897540 O 07/01/28
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1773015 E22/G02 F 68,000.00 ZZ
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0410925325 05 08/01/98 0
410925325 O 07/01/28
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410903165 O 07/01/28
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1773017 E22/G02 F 124,200.00 ZZ
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410917918 N 07/01/28
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410893382 O 07/01/28
0
1773020 E22/G02 F 52,500.00 ZZ
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1
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410918775 O 07/01/28
0
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410922744 O 07/01/28
0
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410907927 N 07/01/28
0
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0
1773044 E22/G02 F 162,000.00 ZZ
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1
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0410936892 03 08/01/98 0
410936892 O 07/01/28
0
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0
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0410922728 05 08/01/98 0
410922728 O 07/01/28
0
1773052 E22/G02 F 56,800.00 ZZ
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0
1773053 E22/G02 F 31,850.00 ZZ
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0430902056 05 09/01/98 25
1
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0
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410899991 O 07/01/28
0
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0
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0410817167 05 08/01/98 25
410817167 N 07/01/28
0
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410878805 N 07/01/28
0
1773064 E22/G02 F 286,000.00 ZZ
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0410935910 03 09/01/98 0
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1
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410918734 O 08/01/28
0
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0
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0410925713 05 08/01/98 0
410925713 O 07/01/28
0
1773070 E22/G02 F 300,000.00 ZZ
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0410941629 05 09/01/98 0
410941629 N 08/01/28
0
1773072 E22/G02 F 136,000.00 ZZ
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0410885917 01 08/01/98 0
410885917 N 07/01/28
0
1773076 E22/G02 F 320,000.00 ZZ
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0410911127 05 08/01/98 0
410911127 O 07/01/28
0
1773077 E22/G02 F 268,000.00 ZZ
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0410923924 05 08/01/98 0
410923924 O 07/01/28
0
1773078 E22/G02 F 204,000.00 ZZ
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0410913735 05 09/01/98 0
410913735 O 08/01/28
0
1773079 E22/G02 F 650,000.00 ZZ
360 649,541.24 1
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0410894554 05 08/01/98 0
410894554 O 07/01/28
0
1773080 E22/G02 F 123,500.00 ZZ
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0410869440 05 08/01/98 12
410869440 O 07/01/28
0
1773082 E22/G02 F 190,000.00 ZZ
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0410900393 05 09/01/98 0
410900393 O 08/01/28
0
1
1773083 E22/G02 F 332,000.00 ZZ
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0410810501 05 08/01/98 0
410810501 O 07/01/28
0
1773088 E26/G02 F 99,000.00 ZZ
360 99,000.00 1
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0430897744 05 09/01/98 25
33800845 N 08/01/28
0
1773113 163/G02 F 248,000.00 ZZ
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0430902338 05 08/01/98 0
623447 O 07/01/28
0
1773120 765/G02 F 155,000.00 ZZ
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0430909655 05 08/01/98 0
334651 O 07/01/28
0
1773124 765/G02 F 289,500.00 ZZ
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0430909564 05 08/01/98 0
335261 O 07/01/28
0
1773134 638/G02 F 134,400.00 ZZ
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1
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0430901678 05 08/01/98 25
8755045 N 07/01/28
0
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0430900175 05 09/01/98 0
98062209 O 08/01/28
0
1773137 638/G02 F 77,500.00 ZZ
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XXX XXXXXXX XX 00000 2 06/18/98 00
0430900233 05 08/01/98 0
8749386 O 07/01/28
0
1773139 E22/G02 F 94,000.00 ZZ
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XXXXXXXXXXX XX 00000 1 06/29/98 00
0410529937 05 08/01/98 0
410529937 O 07/01/28
0
1773141 638/G02 F 54,000.00 ZZ
360 53,965.57 1
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0430900258 05 08/01/98 25
8756670 N 07/01/28
0
1773147 638/G02 F 147,250.00 ZZ
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325 & 000 0/0 XXXXXX XXXXXX 8.750 1,158.42 95
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XXX XXXXXXX XX 00000 1 06/01/98 14
0430900308 05 08/01/98 30
1
8743883 O 07/01/28
0
1773182 E76/G02 F 50,490.00 ZZ
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0430915827 05 08/01/98 25
9805061 N 07/01/28
0
1773213 E22/G02 F 144,000.00 ZZ
360 144,000.00 1
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0410926158 09 09/01/98 0
410926158 O 08/01/28
0
1773216 E22/G02 F 79,200.00 ZZ
360 79,136.66 1
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0410905988 05 08/01/98 0
410905988 O 07/01/28
0
1773222 E26/G02 F 120,000.00 ZZ
360 120,000.00 1
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XXXXXXXXXX XX 00000 5 07/06/98 00
0430902320 05 09/01/98 0
33800863 O 08/01/28
0
1773223 E22/G02 F 153,000.00 ZZ
360 152,894.70 1
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XXXXXXX XX 00000 1 06/26/98 04
0410931067 05 08/01/98 25
410931067 O 07/01/28
0
1
1773225 E22/G02 F 44,800.00 ZZ
360 44,769.17 1
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0410928337 05 08/01/98 0
410928337 N 07/01/28
0
1773239 E26/G02 F 66,300.00 ZZ
360 66,260.85 1
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0430901066 05 08/01/98 0
33800795 N 07/01/28
0
1773241 E26/G02 F 59,800.00 ZZ
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0430901041 05 08/01/98 0
33800823 N 07/01/28
0
1773246 E26/G02 F 71,200.00 ZZ
360 71,200.00 1
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XXXXXXXXX XX 00000 5 06/26/98 00
0430902304 05 09/01/98 0
33800770 O 08/01/28
0
1773286 965/G02 F 66,500.00 ZZ
360 66,461.74 1
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XXXXXX XX 00000 1 06/30/98 00
0430908772 09 08/01/98 0
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0
1773290 664/G02 F 168,750.00 ZZ
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00000 XXXXX XXXXXXX XXXX 8.000 1,238.23 80
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1
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0430927814 05 08/01/98 0
2610582 O 07/01/28
0
1773291 830/G02 F 65,250.00 ZZ
360 65,205.09 1
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XXXXXXXX XX 00000 5 06/30/98 00
0430898874 05 08/01/98 0
536079 O 07/01/28
0
1773298 E67/G02 F 156,800.00 ZZ
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0430920835 03 09/01/98 0
150023075 N 08/01/28
0
1773303 G52/G02 F 124,200.00 ZZ
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9241 E CALLE XXXXXX RAPIDO 7.875 900.54 90
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0430902627 03 08/01/98 25
99000847 N 07/01/28
0
1773305 766/G02 F 65,800.00 T
360 65,800.00 1
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XXXXX XXXXX XX 00000 1 07/10/98 00
0430902213 06 09/01/98 0
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0
1773312 201/G02 F 68,400.00 ZZ
360 68,362.63 2
440 & 000 XXXXXX XXXXXX 9.000 550.37 90
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0430901082 05 08/01/98 25
303929 N 07/01/28
0
1
1773335 561/561 F 80,650.00 ZZ
360 80,602.38 3
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XXXXXXXX XXXXX XX 00000 1 06/10/98 10
9373077 05 08/01/98 30
9373077 O 07/01/28
0
1773337 950/G02 F 124,500.00 ZZ
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0000 000XX XXXXX XXXXXXXXX 8.000 913.54 69
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0430907691 05 07/01/98 0
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0
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0430902858 01 08/01/98 30
000134 O 07/01/28
0
1773342 H35/G02 F 131,600.00 T
360 131,520.27 1
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XXXXXXXXX XX 00000 1 06/30/98 00
0430899393 03 08/01/98 0
0010707 O 07/01/28
0
1773351 H35/G02 F 29,000.00 T
360 28,982.43 1
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XXXXX XXXXX XX 00000 1 06/22/98 00
0430899450 01 08/01/98 0
0011137 O 07/01/28
0
1773355 225/225 F 57,400.00 ZZ
360 57,364.31 2
1
0000 XXXX 00XX XXXXXX 8.375 436.29 70
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0
1773357 498/G02 F 80,000.00 ZZ
360 80,000.00 1
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XXXX XXXX XX 00000 1 07/07/98 11
0430898502 05 09/01/98 25
1542205 N 08/01/28
0
1773358 225/225 F 60,000.00 ZZ
360 59,957.65 1
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XXX XXXXX XX 00000 2 06/22/98 00
7032671 05 08/01/98 0
7032671 O 07/01/28
0
1773363 225/225 F 28,800.00 ZZ
360 28,800.00 1
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XXXXXX XX 00000 1 07/08/98 12
7030573 05 09/01/98 25
7030573 N 08/01/28
0
1773370 225/225 F 71,900.00 ZZ
360 71,857.54 1
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XXXXXXXX XX 00000 1 06/26/98 00
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7035669 N 07/01/28
0
1773375 225/225 F 53,950.00 ZZ
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00 XXXX 00XX XXXXXX 8.375 410.06 65
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XXXXXXXXXXXX XX 00000 2 06/25/98 00
0000 05 08/01/98 0
1
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0
1773378 225/225 F 50,700.00 ZZ
360 50,668.48 2
4050 NORTH XXXXXXXXX 8.375 385.36 65
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0
1773390 904/G02 F 99,800.00 ZZ
360 99,800.00 1
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0430911719 05 09/01/98 0
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0
1773394 B60/G02 F 140,000.00 ZZ
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0
1773400 K88/G02 F 140,000.00 ZZ
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0430915314 05 09/01/98 0
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0
1773416 B60/G02 F 269,600.00 ZZ
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0430914028 05 08/01/98 0
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0
1
1773425 G41/G02 F 96,000.00 ZZ
360 95,935.59 1
000 XXXXX XXXXXXXXXX XXXXXX 8.000 704.41 80
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0430926683 05 08/01/98 0
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0
1773426 B23/G02 F 172,000.00 ZZ
360 172,000.00 1
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0430948794 05 09/01/98 0
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0
1773447 G41/G02 F 114,300.00 ZZ
360 114,223.31 1
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XXX XXXXX XX 00000 1 06/22/98 11
0430914721 05 08/01/98 25
61102510 N 07/01/28
0
1773526 267/267 F 118,000.00 ZZ
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4250128 05 09/01/98 0
4250128 O 08/01/28
0
1773532 450/G02 F 104,650.00 ZZ
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0430899724 05 08/01/98 0
4501573 N 07/01/28
0
1773533 E82/G02 F 112,500.00 ZZ
360 112,500.00 4
0000 XXXXX XXXXXX 8.375 855.08 90
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1
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0400127494 05 09/01/98 25
0400127494 O 08/01/28
0
1773537 B87/G02 F 180,000.00 ZZ
360 180,000.00 1
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0430899864 05 09/01/98 0
0010000005752 O 08/01/28
0
1773544 E22/G02 F 191,000.00 ZZ
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0000 XXXXXX XXXXXX 7.875 1,384.88 80
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XXX XXXX XX 00000 5 06/30/98 00
0410919328 05 09/01/98 0
410919328 O 08/01/28
0
1773545 E22/G02 F 110,000.00 ZZ
360 110,000.00 1
0000 XXXXXXXXXXX XXXX 8.000 807.14 73
7.750 807.14 152,000.00
XXXXXX XXXXXX XX 00000 1 07/06/98 00
0410950828 05 09/01/98 0
410950828 O 08/01/28
0
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1774221 144/144 F 80,823.00 ZZ
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1
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1774250 E22/G02 F 53,000.00 ZZ
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1774260 E22/G02 F 49,600.00 ZZ
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1774264 E22/G02 F 68,600.00 ZZ
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410943138 N 07/01/28
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1
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1774294 E22/G02 F 54,400.00 ZZ
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0410918502 05 09/01/98 25
410918502 O 08/01/28
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1
1774456 G09/G02 F 200,000.00 ZZ
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1774466 561/561 F 53,100.00 ZZ
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1
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410863013 O 08/01/28
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0410863054 05 09/01/98 12
1
410863054 O 08/01/28
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1774517 455/G02 F 135,200.00 ZZ
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1774519 E22/G02 F 156,800.00 T
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410917652 O 07/01/28
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1774520 E22/G02 F 42,750.00 ZZ
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1774525 455/G02 F 135,200.00 ZZ
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1774544 757/G02 F 200,000.00 ZZ
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0430910919 05 09/01/98 25
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1774571 561/561 F 85,000.00 ZZ
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1774596 638/G02 F 61,875.00 ZZ
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0
1774598 003/G02 F 85,500.00 ZZ
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0430903930 05 09/01/98 25
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1774600 638/G02 F 56,050.00 ZZ
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0430908145 01 08/01/98 30
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1
1774603 638/G02 F 121,800.00 ZZ
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1774604 003/G02 F 48,600.00 ZZ
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1774605 638/G02 F 119,000.00 ZZ
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0430906032 05 08/01/98 20
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1774621 E67/G02 F 142,000.00 ZZ
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1774631 J99/G02 F 185,000.00 ZZ
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1
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XXX XXXX XX 00000 1 06/30/98 00
0430905018 09 09/01/98 0
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0
1774634 225/225 F 159,000.00 ZZ
360 158,898.61 4
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7027961 05 08/01/98 25
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0
1774640 912/G02 F 40,450.00 ZZ
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0
1774642 561/561 F 198,400.00 ZZ
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0
1774664 K18/G02 F 103,300.00 T
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0
1774671 K18/G02 F 104,000.00 T
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0430909341 03 08/01/98 0
1
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0
1774680 134/G02 F 49,050.00 ZZ
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0430903229 05 08/01/98 25
7305009 N 07/01/28
0
1774690 926/926 F 135,000.00 ZZ
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163012655 05 08/01/98 0
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0
1774697 965/G02 F 113,400.00 ZZ
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0430916148 05 08/01/98 25
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0
1774707 F96/G02 F 29,600.00 ZZ
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0430909275 05 09/01/98 0
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0
1774716 F96/G02 F 85,500.00 ZZ
360 85,306.11 2
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0
1
1774717 926/926 F 338,700.00 ZZ
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0
1774780 134/G02 F 25,200.00 ZZ
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1774791 882/G02 F 73,000.00 T
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0
1774807 A53/G02 F 81,600.00 ZZ
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1774825 664/G02 F 97,500.00 ZZ
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0
1774829 940/G02 F 77,600.00 ZZ
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0430918854 05 09/01/98 0
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0
1775008 180/G02 F 95,200.00 ZZ
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0430916601 03 08/01/98 0
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0
1775069 G41/G02 F 322,400.00 ZZ
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0430921361 05 08/01/98 0
61102405 O 07/01/28
0
1775119 G41/G02 F 303,000.00 ZZ
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37870 O 08/01/28
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410947444 O 08/01/28
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38766 O 08/01/28
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0430908376 01 09/01/98 25
34163 O 08/01/28
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38376 O 08/01/28
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204302005129 O 08/01/28
0
1775596 B57/G02 F 332,000.00 ZZ
360 332,000.00 1
1436 BONNELL DR 7.375 2,293.05 80
7.125 2,293.05 415,000.00
TOPANGA CA 90290 5 07/10/98 00
0430925503 05 09/01/98 0
9812156 O 08/01/28
0
1775639 E26/G02 F 114,700.00 ZZ
360 114,619.04 1
7647 TIVERTON DRIVE 7.750 821.73 90
7.500 821.73 127,500.00
SPRINGFIELD VA 22152 1 06/26/98 11
0430915587 01 08/01/98 25
44800428 N 07/01/28
0
1775658 964/G02 F 126,400.00 ZZ
360 126,400.00 1
4005 GREY LIVERY WAY 7.375 873.01 80
7.125 873.01 158,000.00
ANTELOPE CA 95843 2 07/08/98 00
0430908251 05 09/01/98 0
37163 O 08/01/28
0
1
1775668 E26/G02 F 105,600.00 ZZ
360 105,600.00 1
9403 GATMERE COURT 7.625 747.44 80
7.375 747.44 132,000.00
SUGARLAND TX 77478 1 07/13/98 00
0430909911 03 09/01/98 0
32800400 O 08/01/28
0
1775674 450/G02 F 85,000.00 ZZ
360 85,000.00 1
283 HIGHLAND 7.375 587.07 79
7.125 587.07 108,500.00
GRASS LAKE TWP MI 49240 5 07/07/98 00
0430908202 05 09/01/98 0
4237822 O 08/01/28
0
1775676 964/G02 F 50,800.00 ZZ
360 50,800.00 1
31943 AVENUE E 7.875 368.34 57
7.625 368.34 90,000.00
YUCAIPA CA 92399 2 07/10/98 00
0430907535 05 09/01/98 0
38313 N 08/01/28
0
1775689 889/G02 F 60,000.00 ZZ
360 60,000.00 2
1019-1021 NORTH VIRGINIA COURT 8.500 461.35 80
8.250 461.35 75,000.00
LONG BEACH CA 90813 1 07/02/98 00
0430919720 05 09/01/98 0
51003369 N 08/01/28
0
1775696 964/G02 F 165,650.00 ZZ
360 165,650.00 1
160 PINDER COURT 7.500 1,158.25 75
7.250 1,158.25 220,899.00
FOLSOM CA 95630 1 07/10/98 00
0430907121 05 09/01/98 0
37822 O 08/01/28
0
1775697 889/G02 F 52,000.00 ZZ
360 52,000.00 2
1
1526 & 1528 E 9TH STREET 8.500 399.84 80
8.250 399.84 65,000.00
LONG BEACH CA 90813 1 07/02/98 00
0430919761 05 09/01/98 0
51003368 N 08/01/28
0
1775732 765/G02 F 104,500.00 ZZ
360 104,500.00 1
44318 COPPER CREEK WAY 8.500 803.52 60
8.250 803.52 175,000.00
COARSEGOLD CA 93614 5 07/01/98 00
0430914523 03 09/01/98 0
333169 O 08/01/28
0
1775763 163/G02 F 155,000.00 ZZ
360 154,898.61 1
43 TERRACE DRIVE 8.125 1,150.87 72
7.875 1,150.87 217,000.00
BRISTOL RI 02809 2 06/19/98 00
0430912261 05 08/01/98 0
3216082333 O 07/01/28
0
1775767 136/136 F 144,500.00 ZZ
360 144,400.55 1
77 VIRGINIA AVE 7.875 1,047.73 85
7.625 1,047.73 170,000.00
DUMONT NJ 07628 5 06/23/98 04
4528830 05 08/01/98 25
4528830 O 07/01/28
0
1775782 163/G02 F 83,000.00 ZZ
360 82,942.88 1
6920 REDONDO PEAK ROAD NE 7.875 601.81 69
7.625 601.81 120,500.00
RIO RANCHO NM 87124 5 06/24/98 00
0430928473 05 08/01/98 0
1816250229 N 07/01/28
0
1775784 134/G02 F 86,000.00 ZZ
360 85,943.74 1
10835 E SAHUARO DRIVE 8.125 638.55 61
7.875 638.55 141,000.00
SCOTTSDALE AZ 85259 2 06/04/98 00
0430905158 05 08/01/98 0
1
7313220 N 07/01/28
0
1775798 H53/G02 F 420,000.00 ZZ
360 420,000.00 1
25 FITZGERALD DRIVE 7.375 2,900.84 80
7.125 2,900.84 525,000.00
ANNAPOLIS MD 21401 1 07/15/98 00
0430911552 05 09/01/98 0
19980728 O 08/01/28
0
1775823 964/G02 F 103,200.00 ZZ
360 102,685.00 1
2937 CLOVERDALE DRIVE 7.000 686.59 80
6.750 686.59 129,000.00
SPARKS NV 89434 5 01/23/98 11
0430920868 05 03/01/98 12
31453 O 02/01/28
0
1775828 163/G02 F 150,000.00 ZZ
360 149,894.13 1
LOONPOINT/WHITLOW WAY 7.750 1,074.62 80
7.500 1,074.62 189,000.00
DEDHAM ME 04429 2 06/26/98 14
0430915678 05 08/01/98 12
373096134 O 07/01/28
0
1775863 136/136 F 562,500.00 ZZ
360 562,112.89 1
291 ROARING BROOK ROAD 7.875 4,078.52 75
7.625 4,078.52 750,000.00
CHAPPAQUA NY 10514 5 06/22/98 00
1206780 05 08/01/98 0
1206780 O 07/01/28
0
1775865 A53/G02 F 108,000.00 ZZ
360 107,927.53 1
1246 NEWBERRY 8.000 792.47 60
7.750 792.47 180,000.00
LA GRANGE IL 60525 5 06/19/98 00
0430923979 05 08/01/98 0
290032027 O 07/01/28
0
1
1775873 168/168 F 70,000.00 ZZ
360 69,950.59 1
39 REGINA DRIVE 7.750 501.49 79
7.500 501.49 89,000.00
GATES NY 14606 2 06/16/98 00
0189350237 05 08/01/98 0
0189350237 O 07/01/28
0
1775934 664/G02 F 192,000.00 ZZ
360 192,000.00 1
32105 BEACHLAKE LANE 7.750 1,375.52 80
7.500 1,375.52 240,000.00
WESTLAKE VILLAG CA 91361 1 07/02/98 00
0430921320 01 09/01/98 0
2684751 O 08/01/28
0
1775950 B35/G02 F 38,000.00 ZZ
360 38,000.00 1
1700 KENTUCKY AVENUE 8.000 278.84 80
7.750 278.84 48,000.00
ST. CLOUD FL 34769 2 07/01/98 00
0430913699 05 09/01/98 0
98001671 O 08/01/28
0
1775989 E22/G02 F 68,750.00 ZZ
360 68,708.35 1
102 OLD MATAWAN ROAD 8.500 528.63 55
8.250 528.63 125,000.00
OLD BRIDGE NJ 08857 5 07/01/98 00
0410855589 05 08/01/98 0
410855589 N 07/01/28
0
1776008 E22/G02 F 64,350.00 ZZ
360 64,350.00 1
6885 JOSE LAKE ROAD 8.375 489.11 55
8.125 489.11 117,500.00
SOUTH BRANCH MI 48761 5 07/01/98 00
0410600647 05 09/01/98 0
410600647 O 08/01/28
0
1776014 E22/G02 F 124,000.00 ZZ
360 124,000.00 2
3010 FRUTH STREET 8.375 942.49 80
8.125 942.49 155,000.00
1
AUSTIN TX 78705 1 07/02/98 00
0410943260 05 09/01/98 0
410943260 N 08/01/28
0
1776016 E22/G02 F 155,900.00 ZZ
360 155,900.00 1
5210 CHAMPAGNE DR 7.625 1,103.45 80
7.375 1,103.45 194,900.00
COLORADO SPRING CO 80919 1 07/13/98 00
0410879803 05 09/01/98 0
410879803 O 08/01/28
0
1776025 E22/G02 F 112,500.00 ZZ
360 112,433.58 1
9860 NORTHWEST 5TH PLACE 8.625 875.01 90
8.375 875.01 125,000.00
PLANTATION FL 33324 1 07/01/98 10
0410937593 03 08/01/98 25
410937593 N 07/01/28
0
1776027 E22/G02 F 80,000.00 ZZ
360 79,897.63 1
10920 PAGELS RD 8.250 601.01 72
8.000 601.01 112,000.00
BIRCH RUN MI 48415 2 05/27/98 00
0410834154 05 07/01/98 0
410834154 O 06/01/28
0
1776031 E22/G02 F 70,000.00 ZZ
360 69,954.21 1
11 RHEA RUN 8.125 519.75 70
7.875 519.75 100,000.00
HAMPTON NJ 07860 2 06/24/98 00
0410836308 01 08/01/98 0
410836308 O 07/01/28
0
1776033 E22/G02 F 70,800.00 ZZ
360 70,757.11 2
9603 ABERDEEN WAY 8.500 544.39 80
8.250 544.39 88,500.00
AUSTIN TX 78753 1 06/18/98 00
0410895205 05 08/01/98 0
410895205 N 07/01/28
0
1
1776035 E22/G02 F 143,200.00 ZZ
360 143,200.00 1
2701 ZENOBIA STREET 7.625 1,013.56 80
7.375 1,013.56 179,000.00
DENVER CO 80212 2 07/06/98 00
0410935183 05 09/01/98 0
410935183 O 08/01/28
0
1776036 E22/G02 F 212,800.00 ZZ
360 212,800.00 1
1121 MERRITT STREET 7.500 1,487.93 80
7.250 1,487.93 266,000.00
STEAMBOAT SPRIN CO 80477 1 07/09/98 00
0410927412 05 09/01/98 0
410927412 O 08/01/28
0
1776037 E22/G02 F 150,000.00 ZZ
360 149,901.87 1
611 S EDGEMERE DRIVE 8.125 1,113.75 56
7.875 1,113.75 270,000.00
OCEAN TOWNSHIP NJ 07711 5 07/02/98 00
0410906424 05 08/01/98 0
410906424 O 07/01/28
0
1776042 E22/G02 F 42,750.00 ZZ
360 42,722.03 1
1240 BARTON HILLS DR UNIT 119 8.125 317.42 95
7.875 317.42 45,000.00
AUSTIN TX 78704 1 06/23/98 01
0410918205 01 08/01/98 30
410918205 O 07/01/28
0
1776052 E22/G02 F 72,000.00 T
360 71,956.38 1
13181 SUMMERTON DRIVE 8.500 553.62 80
8.250 553.62 90,115.00
ORLANDO FL 32824 1 06/30/98 95
0410862163 09 08/01/98 0
410862163 O 07/01/28
0
1776054 E22/G02 F 315,000.00 ZZ
360 315,000.00 1
1
1197 SALT CREEK ISLAND DRIVE 8.250 2,366.49 70
8.000 2,366.49 450,000.00
PONTE VEDRA BEA FL 32082 5 07/07/98 00
0410938971 03 09/01/98 0
410938971 O 08/01/28
0
1776055 E22/G02 F 95,000.00 ZZ
360 94,932.95 1
11353 41ST COURT NORTH 7.750 680.59 80
7.500 680.59 118,800.00
ROYAL PALM BEAC FL 33411 1 06/30/98 00
0410922694 05 08/01/98 0
410922694 O 07/01/28
0
1776057 E22/G02 F 202,300.00 ZZ
360 202,300.00 1
468 ASTOR LANE 8.125 1,502.07 85
7.875 1,502.07 238,000.00
BARTLETT IL 60103 5 07/09/98 10
0410923015 05 09/01/98 12
410923015 O 08/01/28
0
1776069 E22/G02 F 105,100.00 ZZ
360 105,100.00 2
27 LYNN STREET 7.750 752.95 76
7.500 752.95 139,000.00
CHELSEA MA 02150 5 07/08/98 00
0410940357 05 09/01/98 0
410940357 O 08/01/28
0
1776124 575/G02 F 266,000.00 ZZ
360 266,000.00 1
5903 DESERT OAK WAY 7.750 1,905.66 80
7.500 1,905.66 332,500.00
SPRING TX 77379 1 07/10/98 00
0430908830 03 09/01/98 0
9137894 O 08/01/28
0
1776139 575/G02 F 85,000.00 ZZ
360 84,936.91 1
3727 HUNTLEY MEADOWS LANE 7.500 594.34 46
7.250 594.34 185,000.00
ALEXANDRIA VA 22306 1 06/19/98 00
0430908665 05 08/01/98 0
1
9098427 O 07/01/28
0
1776142 E82/G02 F 30,000.00 ZZ
360 30,000.00 1
1751 STANDARD AVENUE 7.875 217.52 75
7.625 217.52 40,000.00
WHITING IN 46394 1 07/20/98 00
0400128427 05 09/01/98 0
400128427 O 08/01/28
0
1776153 E82/G02 F 103,200.00 ZZ
360 103,200.00 1
1936 MOUNT ROYAL TERRACE 8.125 766.26 80
7.875 766.26 129,000.00
BALTIMORE MD 21217 1 07/20/98 00
0400138814 05 09/01/98 0
0400138814 O 08/01/28
0
1776180 964/G02 F 192,000.00 ZZ
360 192,000.00 1
67 MARINER GREEN DRIVE 7.625 1,358.96 80
7.375 1,358.96 240,000.00
CORTE MADERA CA 94925 1 07/13/98 00
0430909242 01 09/01/98 0
37913 O 08/01/28
0
1776215 E23/G02 F 100,000.00 ZZ
360 100,000.00 1
2025 SOUTH 7TH STREET 8.000 733.76 75
7.750 733.76 135,000.00
ALHAMBRA CA 91803 1 07/07/98 00
0430917047 05 09/01/98 0
50503609 O 08/01/28
0
1776217 225/225 F 89,100.00 ZZ
360 89,038.68 1
599 KINGSBRIDGE DRIVE 7.875 646.04 90
7.625 646.04 99,000.00
CAROL STREAM IL 60188 1 06/12/98 12
7028784 07 08/01/98 25
7028784 O 07/01/28
0
1
1776226 225/225 F 176,130.00 ZZ
360 176,011.82 2
25 LYNBROOK AVENUE 8.000 1,292.38 95
7.750 1,292.38 186,000.00
LYNBROOK NY 11563 1 06/29/98 11
7006047 05 08/01/98 30
7006047 O 07/01/28
0
1776231 E56/G02 F 88,600.00 ZZ
360 88,600.00 1
407 SUGARTREE LANE 8.125 657.86 73
7.875 657.86 122,000.00
CLARKSVILLE TN 37043 2 07/14/98 00
0430913764 05 09/01/98 0
99508551 O 08/01/28
0
1776236 225/225 F 41,100.00 ZZ
360 41,075.09 2
2821 WILSON BOULEVARD 8.500 316.02 84
8.250 316.02 49,000.00
SAN ANTONIO TX 78201 1 06/24/98 14
7030522 05 08/01/98 25
7030522 N 07/01/28
0
1776242 624/G02 F 264,000.00 ZZ
360 264,000.00 1
1470 EAST PIMLICO PLACE 7.625 1,868.58 80
7.375 1,868.58 330,000.00
SANDY UT 84092 5 07/13/98 00
0430906677 05 09/01/98 0
65500181526 O 08/01/28
0
1776247 624/G02 F 229,000.00 ZZ
360 229,000.00 1
1577 SONOMA DRIVE 7.750 1,640.58 79
7.500 1,640.58 290,000.00
MILPITAS CA 95035 2 07/01/98 00
0430906834 05 09/01/98 0
87506380106 O 08/01/28
0
1776266 B27/G02 F 245,000.00 ZZ
360 245,000.00 1
7 GLENWOOD AVENUE 7.625 1,734.10 56
7.375 1,734.10 440,000.00
1
NEWTON MA 02159 2 07/10/98 00
0430915843 05 09/01/98 0
110209752 O 08/01/28
0
1776400 140/G02 F 192,000.00 ZZ
360 192,000.00 1
1005 EAST DERBY DRIVE 8.000 1,408.83 77
7.750 1,408.83 250,000.00
TEMPE AZ 85284 5 07/02/98 00
0430932426 05 09/01/98 0
442272 O 08/01/28
0
1776404 M47/G02 F 84,000.00 ZZ
360 83,943.64 1
7167 SIXSHOOTER DRIVE 8.000 616.36 80
7.750 616.36 105,000.00
LAS VEGAS NV 89119 2 06/30/98 00
0430905570 05 08/01/98 0
DJ9129 O 07/01/28
0
1776422 480/G02 F 160,000.00 ZZ
360 159,892.65 1
4230 KRAFT AVENUE 8.000 1,174.02 80
7.750 1,174.02 200,000.00
LOS ANGELES CA 91604 1 06/11/98 00
0430924720 05 08/01/98 0
3531399 O 07/01/28
0
1776423 480/G02 F 82,600.00 ZZ
360 82,551.24 1
4551 DON RICARDO DRIVE 8.625 642.45 70
8.375 642.45 118,000.00
LOS ANGELES CA 90008 5 06/08/98 00
0430924837 01 08/01/98 0
3525482 N 07/01/28
0
1776427 E22/G02 F 102,400.00 ZZ
360 102,400.00 1
6790 HAMMOND AVENUE 7.375 707.25 80
7.125 707.25 128,000.00
LONG BEACH CA 90805 2 07/09/98 00
0410926679 05 09/01/98 0
410926679 O 08/01/28
0
1
1776429 480/G02 F 137,000.00 ZZ
360 136,729.33 1
25077 WHEELER ROAD 8.125 1,017.22 80
7.875 1,017.22 172,000.00
SANTA CLARITA CA 91321 2 04/21/98 00
0430924829 05 06/01/98 0
3520350 O 05/01/28
0
1776433 480/G02 F 266,800.00 ZZ
360 266,634.17 1
13554 CEDAR GROVE LANE 8.375 2,027.87 80
8.125 2,027.87 333,500.00
MOORPARK CA 93021 1 06/02/98 00
0430924803 05 08/01/98 0
3529328 O 07/01/28
0
1776440 480/G02 F 31,800.00 ZZ
360 31,756.09 3
611 AERICK STREET 7.875 230.57 18
7.625 230.57 180,000.00
INGLEWOOD CA 90301 2 05/01/98 00
0430924738 05 07/01/98 0
3526779 N 06/01/28
0
1776449 E22/G02 F 53,500.00 ZZ
360 53,500.00 1
406 BOARDWALK LANE #10 7.375 369.51 69
7.125 369.51 78,000.00
SAN BRUNO CA 94066 2 07/07/98 00
0410893648 01 09/01/98 0
410893648 N 08/01/28
0
1776453 E22/G02 F 326,000.00 ZZ
360 326,000.00 1
20200 CANYON VIEW ROAD 7.500 2,279.44 80
7.250 2,279.44 407,500.00
JACKSON CA 95642 2 07/07/98 00
0410916647 05 09/01/98 0
410916647 O 08/01/28
0
1776553 E22/G02 F 126,750.00 ZZ
360 126,658.26 1
1
1214 FORDHAM STREET 7.625 897.13 75
7.375 897.13 169,000.00
LONGMONT CO 80503 1 06/26/98 00
0410936710 05 08/01/98 0
410936710 O 07/01/28
0
1776556 E22/G02 F 84,000.00 T
360 83,947.79 1
9156 COLLINS AVENUE 8.375 638.46 80
UNIT #104 8.125 638.46 105,000.00
SURFSIDE FL 33154 1 06/30/98 00
0410936280 08 08/01/98 0
410936280 O 07/01/28
0
1776567 E22/G02 F 200,000.00 ZZ
360 199,843.98 1
6030 S.W. 55TH STREET 7.250 1,364.35 58
7.000 1,364.35 350,000.00
DAVIE FL 33314 5 06/26/98 00
0410922124 03 08/01/98 0
410922124 O 07/01/28
0
1776568 E22/G02 F 120,000.00 ZZ
360 119,919.48 1
1904 MAINSAIL CIRCLE 8.000 880.52 78
7.750 880.52 155,000.00
JUPITER FL 33477 1 06/29/98 00
0410919112 01 08/01/98 0
410919112 O 07/01/28
0
1776570 G52/G02 F 100,000.00 ZZ
360 100,000.00 1
6640 NORTH SKYWAY DRIVE 8.000 733.76 43
7.750 733.76 237,000.00
TUCSON AZ 85718 5 07/13/98 00
0430922534 03 09/01/98 0
96500020 O 08/01/28
0
1776571 E22/G02 F 52,250.00 ZZ
360 52,214.94 1
104 POOR FARM ROAD 8.000 383.39 95
7.750 383.39 55,000.00
GREENVILLE TN 37743 1 06/30/98 04
0410939391 05 08/01/98 30
1
410939391 O 07/01/28
0
1776573 E22/G02 F 133,100.00 ZZ
360 133,015.12 1
0146 RASOR DRIVE 8.250 999.94 75
8.000 999.94 177,500.00
KEYSTONE CO 80435 5 06/15/98 00
0410904890 05 08/01/98 0
410904890 O 07/01/28
0
1776592 E22/G02 F 100,300.00 ZZ
360 100,300.00 1
3201 COOK STREET 7.875 727.24 85
7.625 727.24 118,000.00
PIGEON FORGE TN 37863 5 07/08/98 04
0410891329 03 09/01/98 12
410891329 O 08/01/28
0
1776595 E22/G02 F 100,000.00 ZZ
360 99,934.58 1
800 PALISADE AVE # 404 8.125 742.50 58
7.875 742.50 175,000.00
FORT LEE NJ 07024 1 06/26/98 00
0410917637 06 08/01/98 0
410917637 O 07/01/28
0
1776597 E22/G02 F 84,000.00 ZZ
360 83,946.43 1
2702 MIDLAND AVENUE #4-C 8.250 631.07 63
8.000 631.07 134,000.00
GLENWOOD SPRING CO 81601 1 06/26/98 00
0410930010 01 08/01/98 0
410930010 N 07/01/28
0
1776598 E22/G02 F 64,500.00 ZZ
360 64,462.89 1
2757 COUNRTYSIDE BLVD. 8.750 507.42 95
UNIT #106 8.500 507.42 68,000.00
CLEARWATER FL 33761 2 06/25/98 04
0410936850 01 08/01/98 30
410936850 O 07/01/28
0
1
1776600 E22/G02 F 45,000.00 ZZ
360 45,000.00 1
7711 ALVINA STREET 9.000 362.08 90
8.750 362.08 50,000.00
TAMPA FL 33625 1 07/08/98 04
0410887947 05 09/01/98 25
410887947 N 08/01/28
0
1776604 E22/G02 F 71,200.00 ZZ
360 71,200.00 1
3775 NW 91ST LANE 8.250 534.90 80
8.000 534.90 89,000.00
SUNRISE FL 33351 1 07/09/98 00
0410933865 09 09/01/98 0
410933865 O 08/01/28
0
1776605 E22/G02 F 55,000.00 ZZ
360 55,000.00 1
6902 S.W. 88TH STREET UNT E105 7.750 394.03 69
7.500 394.03 80,000.00
PINECREST FL 33156 1 07/09/98 00
0410929954 01 09/01/98 0
410929954 N 08/01/28
0
1776607 E22/G02 F 73,300.00 ZZ
360 73,252.05 1
8159 FRAIM COURT 8.125 544.25 75
7.875 544.25 98,000.00
ORLANDO FL 32825 2 06/19/98 00
0410917017 05 08/01/98 0
410917017 O 07/01/28
0
1776631 375/G02 F 121,920.00 ZZ
360 121,525.93 1
1345 N HIGHWAY A1A #508 8.250 915.94 80
8.000 915.94 152,400.00
INDIALANTIC FL 32903 1 02/20/98 00
0430917179 08 04/01/98 0
730093 O 03/01/28
0
1776641 638/G02 F 80,000.00 ZZ
360 79,944.94 1
2730 BARNARD DRIVE 7.875 580.06 75
7.625 580.06 107,000.00
1
RICHMOND CA 94806 1 06/23/98 00
0430915975 05 08/01/98 0
8747794 N 07/01/28
0
1776642 638/G02 F 160,000.00 ZZ
360 159,887.07 1
27312 PINAVETE 7.750 1,146.26 80
7.500 1,146.26 200,000.00
MISSION VIEJO CA 92691 1 06/26/98 00
0430916056 03 08/01/98 0
8761979 N 07/01/28
0
1776644 638/G02 F 164,000.00 ZZ
360 163,884.25 1
606 EAST CANDLEWOOD STREET 7.750 1,174.92 80
7.500 1,174.92 207,000.00
BREA CA 92821 5 06/03/98 00
0430915991 05 08/01/98 0
8748943 O 07/01/28
0
1776646 638/G02 F 277,500.00 ZZ
360 277,313.80 1
20321 COLONIAL CIRCLE 8.000 2,036.20 75
7.750 2,036.20 370,000.00
HUNTINGTON BEAC CA 92646 5 06/17/98 00
0430916494 05 08/01/98 0
8749759 O 07/01/28
0
1776651 638/G02 F 48,500.00 ZZ
360 48,469.08 1
82490 DOOLITTLE DRIVE 8.250 364.36 50
8.000 364.36 97,000.00
INDIO CA 92201 1 06/05/98 00
0430916726 03 08/01/98 0
8748136 N 07/01/28
0
1776659 638/G02 F 468,000.00 ZZ
360 467,669.69 1
846 WOODSIDE LANE 7.750 3,352.81 80
7.500 3,352.81 585,000.00
ENCINITAS CA 92024 1 06/26/98 00
0430915918 03 08/01/98 0
8758275 O 07/01/28
0
1
1776661 638/G02 F 123,100.00 ZZ
360 123,013.12 1
200 HILLTOP ROAD 7.750 881.90 80
7.500 881.90 153,900.00
OAKVILLE CT 06779 1 06/29/98 00
0430917567 05 08/01/98 0
8739351 O 07/01/28
0
1776662 E22/G02 F 524,000.00 ZZ
360 523,674.30 1
2444 HIGHLAND HILLS DRIVE 8.375 3,982.78 77
8.125 3,982.78 685,000.00
EL DORADO HILLS CA 95762 2 06/15/98 00
0410837868 05 08/01/98 0
410837868 O 07/01/28
0
1776670 638/G02 F 54,950.00 ZZ
360 54,914.96 1
82335 COCHRAN DRIVE 8.250 412.82 50
8.000 412.82 109,900.00
INDIO CA 92201 1 06/05/98 00
0430916460 01 08/01/98 0
8748133 N 07/01/28
0
1776671 638/G02 F 69,300.00 ZZ
360 69,259.08 2
99 HOMESTEAD AVENUE 8.625 539.01 90
8.375 539.01 77,000.00
SPRINGFIELD MA 01109 2 07/01/98 10
0430915959 05 08/01/98 25
8750751 N 07/01/28
0
1776714 M47/G02 F 86,850.00 ZZ
360 86,850.00 1
9561 ORCA STREET 8.125 644.86 67
7.875 644.86 131,290.00
LAS VEGAS NV 89123 1 07/07/98 00
0430907378 05 09/01/98 0
0000 O 08/01/28
0
1776725 721/G02 F 102,600.00 ZZ
360 102,600.00 1
1
46 ROLAND AVENUE 8.625 798.01 90
8.375 798.01 114,000.00
BALLWIN MO 63021 1 07/10/98 14
0430923029 05 09/01/98 25
19981191 O 08/01/28
0
1776740 377/377 F 102,600.00 ZZ
360 102,534.58 1
440 MORRIS STREET 8.250 770.80 95
8.000 770.80 108,000.00
GRIFFIN GA 30223 2 06/25/98 01
6747661 05 08/01/98 30
6747661 O 07/01/28
0
1776764 480/G02 F 181,050.00 ZZ
360 180,840.97 1
806 GOLF COURSE PARKWAY 8.750 1,424.32 80
8.500 1,424.32 226,320.00
DAVENPORT FL 33837 4 05/07/98 00
0430925230 03 07/01/98 0
2291516 O 06/01/28
0
1776768 480/G02 F 84,000.00 ZZ
360 83,942.19 1
309 YOAKUM PARKWAY #4-1709 7.875 609.06 80
7.625 609.06 105,000.00
ALEXANDRIA VA 22304 1 06/26/98 00
0430924910 09 08/01/98 0
2508273 O 07/01/28
0
1776769 480/G02 F 213,750.00 ZZ
360 213,496.69 3
2505A B & C W TEXAS AVE 8.625 1,662.53 95
8.375 1,662.53 225,000.00
TAMPA FL 33629 1 05/15/98 12
0430925149 05 07/01/98 30
2337673 O 06/01/28
0
1776772 B75/G02 F 331,000.00 ZZ
360 330,783.48 1
2 SERNA 8.125 2,457.67 76
7.875 2,457.67 440,000.00
RANCHO SANTAMAR CA 92688 2 06/11/98 00
0430917351 03 08/01/98 0
1
7985690 O 07/01/28
0
1776776 480/G02 F 50,400.00 ZZ
360 50,366.18 1
222 SYLVANIA AVE 8.000 369.82 90
7.750 369.82 56,000.00
CHARLOTTE NC 28206 1 06/25/98 14
0430924902 05 08/01/98 25
2458123 N 07/01/28
0
1776779 480/G02 F 151,150.00 T
360 151,060.76 1
642 GOLF COURSE PARKWAY 8.625 1,175.63 80
8.375 1,175.63 188,950.00
DAVENPORT FL 33837 1 06/17/98 00
0430925289 03 08/01/98 0
2291706 O 07/01/28
0
1776783 480/G02 F 58,400.00 ZZ
360 58,363.70 2
200 & 202 BARRETT PLACE 8.375 443.88 80
8.125 443.88 73,000.00
EDMOND OK 73003 1 06/10/98 00
0430925297 05 08/01/98 0
2438513 N 07/01/28
0
1776785 480/G02 F 159,920.00 ZZ
360 159,807.13 1
185 PIONEER TRAIL 7.750 1,145.69 80
7.500 1,145.69 199,900.00
MARIETTA GA 30068 1 06/24/98 00
0430925420 05 08/01/98 0
2401941 O 07/01/28
0
1776787 G41/G02 F 162,800.00 ZZ
360 162,569.45 1
523 REED COURT 7.750 1,166.32 80
7.500 1,166.32 203,500.00
HEALDSBURG CA 95448 1 05/08/98 00
0430909317 05 07/01/98 0
61102145 O 06/01/28
0
1
1776792 480/G02 F 133,440.00 T
360 133,208.01 1
1379 GOLF COURSE PARKWAY 8.750 1,049.77 80
8.500 1,049.77 166,800.00
DAVENPORT FL 33837 1 04/30/98 00
0430925313 03 06/01/98 0
2291490 O 05/01/28
0
1776813 480/G02 F 153,600.00 T
360 153,506.95 1
17952 SW 33 STREET 8.500 1,181.05 80
8.250 1,181.05 192,400.00
MIRAMAR FL 33029 1 06/30/98 00
0430925131 03 08/01/98 0
2364669 O 07/01/28
0
1776819 480/G02 F 104,800.00 ZZ
360 104,655.29 1
11521 SW 145 AVENUE 7.875 759.87 80
7.625 759.87 131,000.00
MIAMI FL 33186 1 05/27/98 00
0430925107 05 07/01/98 0
2496420 O 06/01/28
0
1776834 731/G02 F 145,000.00 ZZ
360 145,000.00 1
8440 FOOTHILL BOULEVARD 7.500 1,013.86 75
7.250 1,013.86 195,000.00
PINE VALLEY CA 91962 5 07/08/98 00
0430919670 05 09/01/98 0
612411742 O 08/01/28
0
1776843 480/G02 F 179,200.00 ZZ
360 178,987.64 4
1900 NORTH FARWELL LANE 8.625 1,393.80 80
8.375 1,393.80 224,000.00
BOISE ID 83703 2 05/26/98 00
0430925248 03 07/01/98 0
3523818 N 06/01/28
0
1776856 480/G02 F 42,300.00 ZZ
360 42,252.39 4
3556-58 TENNESSEE AVE 8.875 336.56 90
8.625 336.56 47,000.00
1
ST LOUIS MO 63118 1 05/08/98 10
0430925487 05 07/01/98 25
2501930 N 06/01/28
0
1776860 134/G02 F 282,129.00 ZZ
360 281,929.87 1
1912 PALMGREN DRIVE 7.750 2,021.21 60
7.500 2,021.21 471,000.00
GLENVIEW IL 60025 1 06/19/98 00
0430911750 05 08/01/98 0
59334364 O 07/01/28
0
1776867 480/G02 F 62,000.00 ZZ
360 61,963.40 1
2325 LAREDO 8.625 482.23 90
8.375 482.23 68,900.00
O'FALLON MO 63366 1 06/26/98 10
0430925222 05 08/01/98 25
2308542 N 07/01/28
0
1776879 K08/G02 F 89,850.00 ZZ
360 89,850.00 1
6370 MONO COURT 7.875 651.47 78
7.625 651.47 116,000.00
SUN VALLEY NV 89433 2 07/10/98 00
0410939615 03 09/01/98 0
410939615 O 08/01/28
0
1776880 E22/G02 F 133,500.00 ZZ
360 133,500.00 4
4389 CY CLIFFVIEW CIRCLE 8.750 1,050.25 75
8.500 1,050.25 178,000.00
LAS VEGAS NV 89121 1 07/14/98 00
0410957153 05 09/01/98 0
410957153 N 08/01/28
0
1776884 E22/G02 F 177,600.00 ZZ
360 177,600.00 1
6451 DORINDA WAY 7.375 1,226.64 80
7.125 1,226.64 222,000.00
CARMICHAEL CA 95608 5 07/09/98 00
0410931059 05 09/01/98 0
410931059 O 08/01/28
0
1
1776887 E22/G02 F 397,600.00 ZZ
360 397,600.00 1
4818 OAK VISTA DRIVE 7.375 2,746.12 80
7.125 2,746.12 497,000.00
CARMICHAEL CA 95608 5 07/09/98 00
0410946784 05 09/01/98 0
410946784 O 08/01/28
0
1776891 E22/G02 F 119,600.00 ZZ
360 119,600.00 1
33735 37TH PLACE SW 7.500 836.26 80
7.250 836.26 149,500.00
FEDERAL WAY WA 98023 1 07/10/98 00
0410947360 05 09/01/98 0
410947360 O 08/01/28
0
1776893 480/G02 F 195,000.00 ZZ
360 194,875.66 2
8533 SATURN STREET 8.250 1,464.97 59
8.000 1,464.97 335,000.00
LOS ANGELES CA 90035 2 06/05/98 00
0430925370 05 08/01/98 0
3529443 O 07/01/28
0
1776899 E22/G02 F 143,900.00 ZZ
360 143,900.00 1
3242 FAIRMAN ST. 7.750 1,030.92 80
7.500 1,030.92 179,900.00
LAKEWOOD CA 90712 1 07/08/98 00
0410872519 05 09/01/98 0
410872519 O 08/01/28
0
1776910 B75/G02 F 104,000.00 ZZ
360 103,933.68 4
2105 A,B,C & D SOUTHERN STREET 8.250 781.32 80
8.000 781.32 130,000.00
ROME GA 30165 2 06/19/98 00
0430916536 05 08/01/98 0
7979651 N 07/01/28
0
1776911 E22/G02 F 228,750.00 ZZ
360 228,611.42 2
1
607 LAKE AVE 8.500 1,758.89 75
8.250 1,758.89 305,000.00
LYNDHURST NJ 07071 5 07/02/98 00
0410945315 05 08/01/98 0
410945315 O 07/01/28
0
1776929 B75/G02 F 40,000.00 T
360 39,976.38 1
1027 W. BEACH BOULEVARD 8.625 311.12 54
UNIT 202 8.375 311.12 75,000.00
GULF SHORES AL 36542 5 06/18/98 00
0430910661 01 08/01/98 0
7986748 O 07/01/28
0
1776938 480/G02 F 63,000.00 ZZ
360 62,962.80 2
1800-1802 COUSINS CT 8.625 490.01 90
8.375 490.01 70,000.00
ARLINGTON TX 76012 2 06/12/98 12
0430925032 05 08/01/98 25
2269900 N 07/01/28
0
1776943 480/G02 F 149,750.00 ZZ
360 149,585.80 1
811 S LYTLE STREET #509 9.000 1,204.92 90
8.750 1,204.92 166,400.00
CHICAGO IL 60607 1 05/28/98 10
0430925008 08 07/01/98 25
2359156 N 06/01/28
0
1776950 480/G02 F 186,700.00 T
360 186,589.78 1
1986 TERRAZZO LANE 8.625 1,452.13 80
8.375 1,452.13 233,400.00
NAPLES FL 34104 1 06/25/98 00
0430925073 03 08/01/98 0
2293546 O 07/01/28
0
1776960 480/G02 F 131,840.00 T
360 131,610.76 1
1347 GOLF COURSE PARKWAY 8.750 1,037.19 80
8.500 1,037.19 164,800.00
DAVENPORT FL 33837 1 04/23/98 00
0430928358 03 06/01/98 0
1
2292373 O 05/01/28
0
1776968 731/G02 F 137,200.00 ZZ
360 137,200.00 1
5500 RIVERWOOD CT 7.750 982.92 70
7.500 982.92 196,000.00
LAS VEGAS NV 89129 2 07/07/98 00
0430915066 03 09/01/98 0
411511861 N 08/01/28
0
1777005 003/G02 F 46,800.00 ZZ
360 46,800.00 1
4930 FARMSTEAD COURT 8.250 351.60 90
8.000 351.60 52,000.00
WOODSTOCK GA 30188 1 07/15/98 12
0430916338 05 09/01/98 25
10508141 N 08/01/28
0
1777012 003/G02 F 98,100.00 ZZ
360 98,100.00 1
2400 DELANEY AVENUE 8.625 763.02 90
8.375 763.02 109,000.00
ORLANDO FL 32801 1 07/16/98 12
0430916163 05 09/01/98 25
10099125 N 08/01/28
0
1777026 F03/G02 F 296,000.00 ZZ
360 296,000.00 1
2332 EAST NORA STREET 7.250 2,019.24 80
7.000 2,019.24 370,000.00
MESA AZ 85213 5 07/24/98 00
0430930842 05 09/01/98 0
MES10787 O 08/01/28
0
1777037 144/144 F 302,000.00 ZZ
360 302,000.00 1
3 TARGET ROCK DRIVE 7.125 2,034.63 41
6.875 2,034.63 739,500.00
HUNTINGTON NY 11743 4 07/17/98 00
0000 05 09/01/98 0
0000 O 08/01/28
0
1
1777043 E26/G02 F 119,950.00 ZZ
360 119,869.51 1
13729 QUEENSWATER LANE 8.000 880.16 90
7.750 880.16 133,325.00
CHARLOTTE NC 28273 1 06/29/98 11
0430912436 03 08/01/98 25
50801902 N 07/01/28
0
1777049 E26/G02 F 50,000.00 ZZ
360 50,000.00 1
2790 TOLA AVENUE 8.500 384.46 50
8.250 384.46 100,000.00
ALTADENA AREA CA 91001 5 07/02/98 00
0430911602 05 09/01/98 0
34800611 N 08/01/28
0
1777058 E82/G02 F 37,450.00 ZZ
360 37,450.00 2
637-639 NW 12TH STREET 8.000 274.79 55
7.750 274.79 68,150.00
HOMESTEAD FL 33030 1 07/21/98 00
0400128526 05 09/01/98 0
400128526 N 08/01/28
0
1777066 E82/G02 F 42,000.00 ZZ
360 42,000.00 1
305 COLUMBINE AVENUE 8.250 315.53 70
8.000 315.53 60,000.00
MILLVILLE NJ 08332 5 07/21/98 00
0400131975 05 09/01/98 0
400131975 N 08/01/28
0
1777073 F96/G02 F 300,000.00 ZZ
360 300,000.00 1
800 MOTTS COVE ROAD NORTH 7.000 1,995.91 64
6.750 1,995.91 475,000.00
ROSLYN HARBOR NY 11576 5 07/16/98 00
0430914135 05 09/01/98 0
2990 O 08/01/28
0
1777086 561/561 F 68,500.00 ZZ
360 68,500.00 1
41 ROBERT ST 8.125 508.62 63
7.875 508.62 110,000.00
1
WHARTON NJ 07888 2 07/07/98 00
0000 05 09/01/98 0
0000 O 08/01/28
0
1777093 638/G02 F 66,150.00 ZZ
360 66,150.00 1
434 WEST OTTERMAN STREET 8.625 514.51 90
8.375 514.51 73,500.00
GREENSBURG PA 15601 1 07/10/98 04
0430918847 05 09/01/98 25
87578557 N 08/01/28
0
1777098 950/G02 F 129,350.00 ZZ
360 129,269.61 1
19331 74TH AVENUE WEST 8.375 983.15 65
8.125 983.15 199,000.00
LYNNWOOD WA 98036 5 07/01/98 00
0430914192 05 08/01/98 0
051998105 O 07/01/28
0
1777101 638/G02 F 117,000.00 ZZ
360 117,000.00 2
2364-2368 SUMMIT STREET 8.625 910.01 90
8.375 910.01 130,000.00
COLUMBUS OH 43202 1 07/09/98 04
0430922104 05 09/01/98 25
8761844 O 08/01/28
0
1777108 638/G02 F 94,500.00 ZZ
360 94,500.00 2
2320-2322 SUMMIT STREET 8.625 735.01 90
8.375 735.01 105,000.00
COLUMBUS OH 43202 1 07/10/98 04
0430918771 05 09/01/98 25
8761839 N 08/01/28
0
1777119 909/G02 F 149,000.00 ZZ
360 149,000.00 1
1503 ALBANY AVENUE 7.375 1,029.11 79
7.125 1,029.11 190,000.00
CHULA VISTA CA 91911 2 07/13/98 00
0430923748 05 09/01/98 0
6008739 O 08/01/28
0
1
1777145 896/G02 F 77,500.00 ZZ
360 77,500.00 1
851 TRAMORE DRIVE 8.625 602.79 90
8.375 602.79 86,150.00
STOCKBRIDGE GA 30281 1 07/17/98 11
0430913335 05 09/01/98 25
14708 N 08/01/28
0
1777154 B28/G02 F 77,900.00 ZZ
360 77,900.00 1
1601 CLAREMONT AVENUE 7.500 544.69 95
7.250 544.69 82,000.00
PUEBLO CO 81004 2 07/08/98 12
0430939959 05 09/01/98 30
980637 O 08/01/28
0
1777161 638/G02 F 52,200.00 ZZ
360 52,168.38 1
226 PHIPPS AVENUE 8.500 401.37 90
8.250 401.37 58,000.00
RICE LAKE WI 54868 1 06/06/98 10
0430918680 05 08/01/98 25
8754743 N 07/01/28
0
1777166 225/225 F 125,200.00 ZZ
360 125,111.63 1
12933 SOUTH HOOVER STREET 7.750 896.95 80
7.500 896.95 156,500.00
LOS ANGELES CA 90247 1 06/27/98 00
7037163 05 08/01/98 0
7037163 O 07/01/28
0
1777167 225/225 F 94,700.00 ZZ
360 94,700.00 1
1716 KAMELA DR S 7.875 686.65 79
7.625 686.65 120,000.00
SALEM OR 97306 2 06/30/98 00
7028729 05 09/01/98 0
7028729 O 08/01/28
0
1777168 966/G02 F 387,900.00 ZZ
360 387,597.40 1
1
4605 BILTMORE DRIVE 7.250 2,646.16 79
7.000 2,646.16 494,000.00
FRISCO TX 75034 4 07/01/98 00
0430922419 05 08/01/98 0
UNKNOWN O 07/01/28
0
1777177 225/225 F 72,250.00 ZZ
360 72,250.00 1
9130 NORTH DIXIE DRIVE 8.125 536.46 85
7.875 536.46 85,000.00
DAYTON OH 45414 2 07/09/98 04
7035503 05 09/01/98 25
7035503 O 08/01/28
0
1777184 638/G02 F 58,500.00 ZZ
360 58,465.46 1
3 PILGRIM AVENUE 8.625 455.01 90
8.375 455.01 65,000.00
WREHAM MA 02571 1 07/01/98 14
0430918722 05 08/01/98 25
8744214 N 07/01/28
0
1777187 225/225 F 73,350.00 ZZ
360 73,303.22 1
813 12TH STREET 8.250 551.06 90
8.000 551.06 81,500.00
RAPID CITY SD 57701 1 06/23/98 12
7025598 05 08/01/98 25
7025598 O 07/01/28
0
1777188 638/G02 F 136,000.00 ZZ
360 135,904.01 1
6157 ROXCROFT AVENUE 7.750 974.32 85
7.500 974.32 160,000.00
LAS VEGAS NV 89108 5 06/18/98 10
0430917732 05 08/01/98 12
8747189 O 07/01/28
0
1777190 638/G02 F 48,000.00 ZZ
360 47,969.39 1
9151 CALLE DEL DIABLO 8.250 360.61 80
8.000 360.61 60,000.00
DESERT HOT SPRI CA 92240 1 06/02/98 00
0430917310 05 08/01/98 0
1
8750509 O 07/01/28
0
1777191 225/225 F 124,000.00 ZZ
360 124,000.00 1
2215 BENDING OAK DRIVE 7.875 899.09 80
7.625 899.09 155,000.00
CHATTANOOGA TN 37421 1 07/10/98 00
7033102 05 09/01/98 0
7033102 O 08/01/28
0
1777192 638/G02 F 440,000.00 ZZ
360 439,673.46 1
20315 VIA LAS VILLAS 7.500 3,076.54 80
7.250 3,076.54 550,000.00
YORBA LINDA CA 92887 1 06/18/98 00
0430917328 03 08/01/98 0
8760318 O 07/01/28
0
1777197 638/G02 F 67,500.00 ZZ
360 67,460.15 3
188 PARK PLACE 8.625 525.01 90
8.375 525.01 75,000.00
WOONSOCKET RI 02895 1 07/02/98 14
0430917773 05 08/01/98 25
8758810 N 07/01/28
0
1777198 A46/G02 F 318,200.00 ZZ
360 318,200.00 1
2104 NORTH CENTURY CIRCLE 7.500 2,224.90 80
7.250 2,224.90 400,000.00
FRIENDSWOOD TX 77546 4 07/09/98 00
0430915041 03 09/01/98 0
UNKNOWN O 08/01/28
0
1777203 638/G02 F 230,000.00 ZZ
360 229,841.72 1
7530 SPAULDING LANE 7.875 1,667.66 77
7.625 1,667.66 302,000.00
ATLANTA GA 30350 5 06/30/98 00
0430917864 05 08/01/98 0
8763363 O 07/01/28
0
1
1777204 638/G02 F 199,200.00 ZZ
360 199,079.32 1
29 HIGHLAND AVENUE 8.500 1,531.68 80
8.250 1,531.68 249,000.00
ARLINGTON MA 02174 1 06/30/98 00
0430918029 05 08/01/98 0
8763038 O 07/01/28
0
1777208 638/G02 F 119,850.00 ZZ
360 119,850.00 1
6619 BRIARCLIFF DRIVE 7.625 848.29 85
7.375 848.29 141,000.00
DOUGLASVILLE GA 30135 5 07/02/98 10
0430916973 05 09/01/98 17
8765220 O 08/01/28
0
1777211 638/G02 F 116,000.00 ZZ
360 115,929.73 1
18 VIA GARCETA 8.500 891.94 78
8.250 891.94 150,000.00
RANCHO SANTA MA CA 92688 2 06/22/98 00
0430917906 01 08/01/98 0
8745618 O 07/01/28
0
1777212 225/225 F 40,400.00 ZZ
360 40,374.23 2
51-53 DANIEL STREET 8.250 303.52 90
8.000 303.52 44,900.00
DAYTON OH 45404 1 06/26/98 04
7033101 05 08/01/98 25
7033101 N 07/01/28
0
1777217 H44/G02 F 76,400.00 ZZ
360 76,400.00 1
2232 SW PIGEON TERRACE 8.375 580.70 75
8.125 580.70 101,970.00
PORT ST LUCIE FL 34953 1 07/17/98 00
0430912840 05 09/01/98 0
33000190 O 08/01/28
0
1777218 638/G02 F 66,400.00 ZZ
360 66,400.00 1
2750 TERR-MONT STREET 7.500 464.28 80
7.250 464.28 83,000.00
1
WHITE CITY OR 97503 2 07/07/98 00
0430917377 05 09/01/98 0
8758345 O 08/01/28
0
1777223 638/G02 F 58,500.00 ZZ
360 58,500.00 1
1122 HIGHLAND STREET 8.625 455.01 90
8.375 455.01 65,000.00
TARENTUM BOROUG PA 15084 1 07/09/98 04
0430917674 05 09/01/98 25
8765847 N 08/01/28
0
1777228 638/G02 F 187,500.00 T
360 187,386.41 1
1019 NEPTUNE WAY 8.500 1,441.71 75
8.250 1,441.71 250,000.00
OCEANSIDE CA 92054 1 06/10/98 00
0430917021 05 08/01/98 0
8758186 O 07/01/28
0
1777229 375/G02 F 100,000.00 ZZ
360 99,851.10 1
4709 SELWOOD ROAD 7.500 699.22 80
7.250 699.22 125,000.00
RICHMOND VA 23234 1 05/29/98 00
0430911644 05 07/01/98 0
740069 O 06/01/28
0
1777231 638/G02 F 86,000.00 ZZ
360 85,942.29 1
16808 GRAGMONT STREET 8.000 631.04 80
7.750 631.04 107,500.00
COVINA CA 91722 1 06/22/98 00
0430918672 05 08/01/98 0
8759202 N 07/01/28
0
1777232 638/G02 F 66,600.00 ZZ
360 66,600.00 1
108 KRISS STREET 8.250 500.34 90
8.000 500.34 74,000.00
SHALER TOWNSHIP PA 15223 1 07/10/98 04
0430917039 05 09/01/98 25
8765904 N 08/01/28
0
1
1777233 375/G02 F 191,750.00 ZZ
360 191,596.66 2
1173-1179 3RD STREET 7.125 1,291.86 65
6.875 1,291.86 295,000.00
MONTEREY CA 93940 5 06/12/98 00
0430910844 05 08/01/98 0
0047210844 N 07/01/28
0
1777235 375/G02 F 181,600.00 ZZ
360 181,267.60 1
2000 ALASKAN WAY # 442 8.500 1,396.35 80
8.250 1,396.35 227,000.00
SEATTLE WA 98121 1 04/10/98 00
0430912295 08 06/01/98 0
738682 N 05/01/28
0
1777238 375/G02 F 131,000.00 ZZ
360 130,918.57 1
3039 STATE RT. 39 8.375 995.70 80
8.125 995.70 164,000.00
LUCAS OH 44843 1 06/16/98 00
0430916981 05 08/01/98 0
0047199237 O 07/01/28
0
1777241 375/G02 F 76,000.00 ZZ
360 75,849.84 1
36 COUNTRY LANE 8.125 564.30 73
7.875 564.30 105,000.00
WESTAMPTON NJ 08060 5 04/15/98 00
0430916791 05 06/01/98 0
739552 O 05/01/28
0
1777249 375/G02 F 65,000.00 ZZ
240 64,887.91 1
54 HOPKINS STREET 7.875 538.65 29
7.625 538.65 229,000.00
HILLSDALE NJ 07642 5 06/10/98 00
0430917468 05 08/01/98 0
00477156906 O 07/01/18
0
1777252 375/G02 F 28,900.00 ZZ
360 28,866.62 1
1
1316 HARTFORD AVENUE 8.750 227.36 85
8.500 227.36 34,000.00
AKRON OH 44320 1 06/03/98 11
0430917146 05 07/01/98 20
417185756 N 06/01/28
0
1777254 375/G02 F 71,730.00 ZZ
360 71,552.93 1
4708 MOHAWK DRIVE 8.500 551.55 90
8.250 551.55 79,700.00
ROELAND PARK KS 66205 1 04/13/98 04
0430920249 05 06/01/98 25
740229 N 05/01/28
0
1777276 375/G02 F 174,400.00 ZZ
360 174,263.95 1
1575 BRIDGEWATER COURT S.E. 7.250 1,189.72 80
7.000 1,189.72 218,000.00
GRAND RAPIDS MI 49546 5 06/02/98 00
0430916759 05 08/01/98 0
47176169 O 07/01/28
0
1777291 375/G02 F 80,000.00 ZZ
360 79,845.89 1
216 BRIARIDGE DRIVE 8.250 601.02 73
8.000 601.02 110,000.00
TURTLE CREEK PA 15145 1 04/27/98 00
0430911909 05 06/01/98 0
740550 O 05/01/28
0
1777307 A78/G02 F 252,000.00 ZZ
360 251,855.01 1
2389 SOUTH 25 ROAD 8.750 1,982.49 80
8.500 1,982.49 315,000.00
CEDAREDGE CO 81413 1 06/12/98 00
0430918748 05 08/01/98 0
010055658 O 07/01/28
0
1777315 E22/G02 F 117,900.00 ZZ
360 117,832.17 1
34800 COOLEY 8.750 927.52 90
8.500 927.52 131,000.00
EATON TOWNSHIP OH 44028 1 06/30/98 04
0410918106 05 08/01/98 25
1
410918106 N 07/01/28
0
1777317 E22/G02 F 158,300.00 ZZ
360 158,204.10 1
9723 WINGED TRAIL COURT 8.500 1,217.19 90
8.250 1,217.19 176,000.00
CHARLOTTE NC 28227 1 06/26/98 04
0410696975 03 08/01/98 25
410696975 N 07/01/28
0
1777331 E22/G02 F 63,000.00 ZZ
360 62,963.76 1
300 TREY'S WAY 8.750 495.62 90
8.500 495.62 70,000.00
AUSTIN TX 78745 1 07/01/98 04
0410932644 05 08/01/98 25
410932644 N 07/01/28
0
1777333 E22/G02 F 72,250.00 ZZ
360 72,206.23 1
5305 INWOOD DR. 8.500 555.54 90
8.250 555.54 80,850.00
ROWLETT TX 75088 1 07/01/98 04
0410927321 05 08/01/98 25
410927321 N 07/01/28
0
1777335 E22/G02 F 68,850.00 ZZ
360 68,813.36 4
5805 N.W. 23RD TERRACE 9.125 560.19 90
8.875 560.19 76,500.00
GAINESVILLE FL 32606 1 06/30/98 04
0410915623 05 08/01/98 25
410915623 N 07/01/28
0
1777340 E26/G02 F 144,000.00 ZZ
360 144,000.00 1
12501 MARTHA STREET 7.375 994.58 80
7.125 994.58 180,000.00
LOS ANGELES CA 91607 1 07/10/98 00
0430913442 05 09/01/98 0
34800647 O 08/01/28
0
1
1777343 369/G02 F 107,200.00 ZZ
360 106,699.03 1
105 PLUM CIRCLE 8.125 795.96 80
7.875 795.96 134,000.00
LAKE JACKSON TX 77566 1 12/22/97 00
0430916619 05 02/01/98 0
0060979176 O 01/01/28
0
1777345 369/G02 F 67,500.00 ZZ
360 67,382.65 2
725 KNIGHT LANE 8.750 531.02 90
#A & B 8.500 531.02 75,000.00
IRVING TX 75060 1 04/30/98 11
0430918011 05 06/01/98 25
0061388864 N 05/01/28
0
1777347 E22/G02 F 70,600.00 ZZ
360 70,600.00 2
1227 FORT PARK 8.875 561.73 90
8.625 561.73 79,000.00
LINCOLN PARK MI 48146 1 07/02/98 04
0410904932 05 09/01/98 25
410904932 N 08/01/28
0
1777348 E22/G02 F 90,000.00 ZZ
360 89,950.84 1
3499 BACON 9.000 724.16 90
8.750 724.16 100,000.00
BERKLEY MI 48072 1 07/01/98 04
0410923163 05 08/01/98 25
410923163 N 07/01/28
0
1777349 E22/G02 F 100,400.00 ZZ
360 100,400.00 2
11707 ARGONNE FOREST TRAIL 8.625 780.90 80
8.375 780.90 125,500.00
AUSTIN TX 78759 1 07/02/98 00
0410929467 05 09/01/98 0
410929467 N 08/01/28
0
1777350 E22/G02 F 204,400.00 ZZ
360 204,276.17 1
251 SOUTH GARFIELD ST SUITE B 8.500 1,571.66 70
8.250 1,571.66 292,000.00
1
DENVER CO 80209 5 06/24/98 00
0410867006 09 08/01/98 0
410867006 O 07/01/28
0
1777351 E22/G02 F 150,050.00 ZZ
360 149,968.04 1
11680 HAYLOCK 9.000 1,207.34 90
8.750 1,207.34 166,750.00
SPRINGFIELD TWP MI 48350 1 06/30/98 04
0410866263 05 08/01/98 25
410866263 N 07/01/28
0
1777357 180/G02 F 132,300.00 ZZ
360 132,225.83 1
3006 BELMONT BOULEVARD 8.875 1,052.64 90
8.625 1,052.64 147,000.00
NASHVILLE TN 37212 1 06/19/98 04
0430927004 05 08/01/98 25
12782603 N 07/01/28
0
1777363 369/G02 F 67,500.00 ZZ
360 67,382.65 2
725 KNIGHT LANE 8.750 531.02 90
#C & D 8.500 531.02 75,000.00
IRVING TX 75060 1 04/30/98 11
0430917492 05 06/01/98 25
0061565313 N 05/01/28
0
1777364 E22/G02 F 130,000.00 ZZ
360 130,000.00 1
1 S. 285 EUCLID 7.875 942.59 80
7.625 942.59 163,500.00
VILLA PARK IL 60181 1 07/08/98 00
0410905293 05 09/01/98 0
410905293 O 08/01/28
0
1777369 E22/G02 F 67,500.00 ZZ
360 67,465.91 2
3703 SW 13TH CT & 1317 SW 37TH 9.375 561.43 90
AVE 9.125 561.43 75,000.00
FT. LAUDERDALE FL 33316 2 07/06/98 04
0410905434 05 08/01/98 25
410905434 N 07/01/28
0
1
1777376 E22/G02 F 29,750.00 ZZ
360 29,750.00 1
720 S. DOBSON #108 8.500 228.75 70
8.250 228.75 43,000.00
MESA AZ 85202 5 07/13/98 00
0410922678 09 09/01/98 0
410922678 N 08/01/28
0
1777378 E22/G02 F 53,850.00 ZZ
360 53,817.38 1
307 MEADODW COURT 8.500 414.06 90
8.250 414.06 59,850.00
WYLIE TX 75098 1 06/29/98 10
0410936736 05 08/01/98 25
410936736 N 07/01/28
0
1777380 E22/G02 F 69,500.00 ZZ
360 69,457.90 1
149 LAMBERT DRIVE 8.500 534.39 72
8.250 534.39 97,000.00
MANASSAS VA 20111 2 07/06/98 00
0410939045 05 08/01/98 0
410939045 N 07/01/28
0
1777393 180/G02 F 86,400.00 ZZ
360 86,337.47 1
10212 BURGANDY DRIVE 7.625 611.53 80
7.375 611.53 108,000.00
FRISCO TX 75035 1 06/25/98 00
0430923169 05 08/01/98 0
12611158 N 07/01/28
0
1777405 E22/G02 F 79,900.00 ZZ
360 79,900.00 1
3304 CROW ROAD 7.500 558.67 85
7.250 558.67 94,000.00
MONROE NC 28112 5 07/07/98 04
0410939292 05 09/01/98 12
410939292 O 08/01/28
0
1777409 K08/G02 F 255,000.00 ZZ
360 254,837.40 1
1
6835 HIGH RIDGE 8.250 1,915.73 85
8.000 1,915.73 300,000.00
WEST BLOOMFIELD MI 48324 5 06/27/98 04
0410925283 05 08/01/98 12
410925283 O 07/01/28
0
1777424 180/G02 F 77,600.00 ZZ
360 77,543.83 1
11001 TRESTLES ROAD 7.625 549.25 80
7.375 549.25 97,000.00
FRISCO TX 75035 1 06/24/98 00
0430923136 05 08/01/98 0
12611141 N 07/01/28
0
1777429 L02/G02 F 160,000.00 ZZ
360 160,000.00 1
2332 STATE ROUTE 97 8.625 1,244.46 80
8.375 1,244.46 200,000.00
COOKSVILLE MD 21723 1 07/06/98 00
0430916932 05 09/01/98 0
981426 N 08/01/28
0
1777430 561/561 F 140,000.00 ZZ
360 139,910.72 1
340 JACKSON PINES ROAD 8.250 1,051.78 80
8.000 1,051.78 175,000.00
JACKSON NJ 08527 1 06/26/98 00
0009408378 05 08/01/98 0
0009408378 O 07/01/28
0
1777436 J86/G02 F 200,000.00 ZZ
360 200,000.00 4
36-42 HUMBERT STREET 8.625 1,555.58 58
8.375 1,555.58 350,000.00
PRINCETON NJ 08524 5 07/16/98 00
0430916817 05 09/01/98 0
0285323 N 08/01/28
0
1777442 B35/G02 F 201,000.00 ZZ
360 201,000.00 1
17167 WATERLOO ROAD 7.500 1,405.43 70
7.250 1,405.43 287,600.00
AMISSVILLE VA 20106 2 07/10/98 00
0430919647 05 09/01/98 0
1
98001848 O 08/01/28
0
1777453 375/G02 F 135,200.00 ZZ
360 134,919.04 1
1630 S LAFAYETTE STREET 7.875 980.29 80
7.625 980.29 169,000.00
DENVER CO 80210 5 04/08/98 00
0430915009 05 06/01/98 0
733919 O 05/01/28
0
1777455 375/G02 F 151,200.00 ZZ
360 150,974.86 1
908 HIAWATHA PLACE SOUTH # A 7.500 1,057.22 80
7.250 1,057.22 189,000.00
SEATTLE WA 98144 1 05/28/98 00
0430920397 01 07/01/98 0
47098884 O 06/01/28
0
1777456 163/G02 F 131,200.00 ZZ
360 131,116.34 1
45 AUSTIN STREET 8.250 985.66 80
8.000 985.66 164,000.00
PORTLAND ME 04103 1 06/15/98 00
0430914309 05 08/01/98 0
373122943 O 07/01/28
0
1777459 561/561 F 84,800.00 ZZ
360 84,800.00 1
8917 SOUTH CHERRY LANE 7.875 614.86 80
7.625 614.86 106,000.00
UPPER MARLBORO MD 20774 2 07/14/98 00
9435991 05 09/01/98 0
9435991 O 08/01/28
0
1777462 561/561 F 306,000.00 ZZ
360 306,000.00 1
4265 STAR RANCH ROAD 7.500 2,139.60 76
7.250 2,139.60 405,900.00
COLORADO SPRING CO 80906 2 07/02/98 00
9355157 05 09/01/98 0
9355157 O 08/01/28
0
1
1777465 375/G02 F 135,200.00 ZZ
360 135,104.58 1
4188 RIVERVIEW DRIVE 7.750 968.59 80
7.500 968.59 169,000.00
WEST LINN OR 97068 1 06/04/98 00
0430909721 05 08/01/98 0
47168588 O 07/01/28
0
1777467 561/561 F 155,000.00 ZZ
360 154,890.60 1
1800 GRASSMERE DRIVE 7.750 1,110.44 74
7.500 1,110.44 210,000.00
FINKSBURG MD 21048 5 06/25/98 00
9408352 05 08/01/98 0
9408352 O 07/01/28
0
1777468 375/G02 F 50,850.00 ZZ
360 50,781.53 2
114 CRYSTAL ST 8.000 373.12 90
7.750 373.12 56,500.00
LANCASTER PA 17603 1 05/22/98 12
0430910158 05 07/01/98 25
735771 N 06/01/28
0
1777470 E22/G02 F 212,800.00 ZZ
360 212,800.00 1
4154 GOLDTHREAD COURT 8.125 1,580.03 80
7.875 1,580.03 266,000.00
HILLIARD OH 43026 1 07/09/98 00
0410867667 05 09/01/98 0
410867667 O 08/01/28
0
1777472 561/561 F 61,200.00 ZZ
360 61,161.96 2
1431 HART STREET 8.375 465.17 90
8.125 465.17 68,000.00
LAFAYETTE IN 47904 1 06/30/98 10
9408485 05 08/01/98 25
9408485 N 07/01/28
0
1777473 E22/G02 F 50,400.00 ZZ
360 50,344.73 1
8704 NO CLAREMONT 9.000 405.53 90
8.750 405.53 56,000.00
1
SHERWOOD AR 72120 1 05/19/98 04
0410864805 05 07/01/98 25
410864805 N 06/01/28
0
1777488 757/G02 F 220,000.00 ZZ
360 220,000.00 1
102 MAGERTON COURT 7.875 1,595.16 75
7.625 1,595.16 293,500.00
CARY NC 27511 2 07/13/98 00
0430914101 05 09/01/98 0
3507589 O 08/01/28
0
1777496 E82/G02 F 81,250.00 ZZ
360 81,250.00 1
12243 SOUTHWEST 27TH ST 8.000 596.18 65
7.750 596.18 125,000.00
MIAMI FL 33175 5 07/10/98 00
0400128872 05 09/01/98 0
0400128872 O 08/01/28
0
1777520 927/G02 F 110,400.00 ZZ
360 110,400.00 1
16233 14TH AVENUE NORTHEAST 7.750 790.92 80
7.500 790.92 138,000.00
SEATTLE WA 98155 1 07/07/98 00
0430926725 05 09/01/98 0
343250051004 N 08/01/28
0
1777552 A78/G02 F 110,000.00 ZZ
360 109,924.30 1
1304 MORGAN STREET 7.875 797.58 70
7.625 797.58 159,310.00
FORT COLLINS CO 80524 1 06/19/98 00
0430919597 05 08/01/98 0
010055835 N 07/01/28
0
1777555 E45/G02 F 88,000.00 ZZ
360 87,948.05 1
2603 HWY 98 8.625 684.45 80
8.375 684.45 110,000.00
MEXICO BEACH FL 32410 1 06/19/98 00
0430917369 05 08/01/98 0
40211 N 07/01/28
0
1
1777559 A78/G02 F 96,000.00 ZZ
360 95,935.59 1
1716 NORTH DEL NORTE AVENUE 8.000 704.41 80
7.750 704.41 120,000.00
LOVELAND CO 80538 1 06/29/98 00
0430919605 05 08/01/98 0
010056105 N 07/01/28
0
1777580 E23/G02 F 125,400.00 ZZ
360 125,400.00 1
8430 VIA SONOMA #53 8.000 920.14 95
7.750 920.14 132,000.00
LA JOLLA CA 92037 1 07/15/98 12
0430926600 01 09/01/98 30
10503783 O 08/01/28
0
1777585 731/G02 F 310,500.00 ZZ
360 310,500.00 1
3271 KNIGHTSWOOD WAY 8.125 2,305.45 75
7.875 2,305.45 414,000.00
SAN JOSE CA 95148 1 07/01/98 00
0430918912 05 09/01/98 0
114256805 O 08/01/28
0
1777633 664/G02 F 152,800.00 ZZ
360 152,800.00 1
15042 SW 91ST AVENUE 7.875 1,107.91 80
7.625 1,107.91 191,000.00
TIGARD OR 97224 1 07/14/98 00
0430920454 03 09/01/98 0
2600393 O 08/01/28
0
1777641 664/G02 F 135,100.00 ZZ
360 135,100.00 3
613, 615, 617 SW UTAH ST 8.250 1,014.97 70
8.000 1,014.97 193,000.00
CAMAS WA 98607 5 07/01/98 00
0430930453 05 09/01/98 0
2599603 N 08/01/28
0
1777651 267/267 F 176,000.00 ZZ
360 176,000.00 1
1
1912 HEMINGWAY COURT 7.000 1,170.94 80
6.750 1,170.94 220,000.00
ESCONDIDO CA 92027 1 07/03/98 00
4266640 05 09/01/98 0
4266640 O 08/01/28
0
1777655 E66/E66 F 275,000.00 ZZ
360 274,785.48 1
8625 PURNELL RIDGE RD 7.250 1,875.98 74
7.000 1,875.98 375,000.00
WAKE FOREST NC 27587 2 06/18/98 00
600414632 05 08/01/98 0
600414632 O 07/01/28
0
1777664 267/267 F 112,500.00 ZZ
360 112,500.00 1
1346 WESTERN AVENUE 7.000 748.47 38
6.750 748.47 300,000.00
GLENDALE CA 91201 5 07/02/98 00
4269355 05 09/01/98 0
4269355 O 08/01/28
0
1777678 E66/E66 F 292,000.00 ZZ
360 291,543.06 1
134 SARDIS POINTE DRIVE 7.250 1,991.95 80
7.000 1,991.95 365,000.00
MATTHEWS NC 28105 2 05/18/98 00
600404787 05 07/01/98 0
600404787 O 06/01/28
0
1777708 K18/G02 F 121,700.00 T
360 121,700.00 1
15333 GREATER GROVES BOULEVARD 8.375 925.01 80
8.125 925.01 152,135.00
CLERMONT FL 32812 1 07/14/98 00
0430920967 05 09/01/98 0
95400767 O 08/01/28
0
1777709 907/G02 F 108,000.00 ZZ
360 108,000.00 1
728 MILL LANE 7.750 773.73 80
7.500 773.73 135,000.00
HILLSBOROUGH NJ 08853 1 07/16/98 00
0430916213 05 09/01/98 0
1
10003198 O 08/01/28
0
1777713 633/G02 F 175,920.00 ZZ
360 175,920.00 4
626 WEST 3RD STREET 7.500 1,230.06 80
7.250 1,230.06 219,900.00
LOS ANGELES CA 90731 1 07/07/98 00
0430920744 05 09/01/98 0
695327 N 08/01/28
0
1777740 455/G02 F 181,100.00 ZZ
360 181,100.00 1
4966 CEDAR WOOD DRIVE 8.625 1,408.58 95
8.375 1,408.58 190,650.00
LILBURN GA 30047 1 07/16/98 01
0430930719 03 09/01/98 30
74087 O 08/01/28
0
1777749 E22/G02 F 172,000.00 ZZ
360 172,000.00 1
1075 HAGEN COURT 7.875 1,247.12 80
7.625 1,247.12 215,000.00
SIMI VALLEY CA 93065 1 07/15/98 00
0410955330 05 09/01/98 0
410955330 O 08/01/28
0
1777751 E22/G02 F 176,000.00 ZZ
360 176,000.00 1
103 OAKVUE ROAD 7.625 1,245.72 80
7.375 1,245.72 220,000.00
PLEASANT HILL CA 94523 1 07/14/98 00
0410908503 05 09/01/98 0
410908503 O 08/01/28
0
1777752 E22/G02 F 180,000.00 ZZ
360 180,000.00 1
16497 FIDDLETOWN ROAD 7.875 1,305.12 79
7.625 1,305.12 230,000.00
FIDDLETOWN CA 95629 5 07/09/98 00
0410904171 05 09/01/98 0
410904171 O 08/01/28
0
1
1777756 134/G02 F 58,650.00 ZZ
360 58,615.37 1
1929 E MULBERRY STREET 8.625 456.18 90
8.375 456.18 65,205.00
EVANSVILLE IN 47714 1 07/01/98 14
0430923359 05 08/01/98 25
7333699 N 07/01/28
0
1777757 E22/G02 F 155,000.00 ZZ
360 155,000.00 1
1400 SCHUMAN LANE 7.875 1,123.86 50
7.625 1,123.86 310,000.00
PETALUMA CA 94952 2 07/15/98 00
0410959324 05 09/01/98 0
410959324 O 08/01/28
0
1777810 455/G02 F 148,500.00 ZZ
360 148,500.00 1
206 RIDLEY LANE 7.375 1,025.66 68
7.125 1,025.66 218,500.00
DECATUR GA 30030 1 07/17/98 00
0430919167 03 09/01/98 0
74085 O 08/01/28
0
1777814 575/G02 F 85,500.00 ZZ
360 85,500.00 1
754 WINDWARD LANE 7.875 619.94 80
7.625 619.94 107,000.00
GAHANNA OH 43230 1 07/14/98 00
0430919225 01 09/01/98 0
0006528525 O 08/01/28
0
1777816 575/G02 F 70,100.00 ZZ
360 70,100.00 1
1838 ROOSEVELT DRIVE 8.625 545.24 90
8.375 545.24 77,900.00
GREENFIELD IN 46140 1 07/15/98 04
0430921437 05 09/01/98 25
0009127317 N 08/01/28
0
1777827 757/G02 F 60,000.00 ZZ
360 60,000.00 1
2955 BALDWIN BROOK DRIVE 8.375 456.05 64
8.125 456.05 94,000.00
1
MONTGOMERY AL 36116 5 07/17/98 00
0430918953 05 09/01/98 0
3567641 N 08/01/28
0
1777828 180/G02 F 114,000.00 ZZ
360 113,934.41 4
3109 CORCORAN ROAD 8.750 896.84 80
8.500 896.84 143,000.00
DOE RUN MO 63640 5 07/01/98 00
0430954867 05 08/01/98 0
12903480 N 07/01/28
0
1777832 180/G02 F 150,000.00 ZZ
360 149,906.77 1
14709 26TH AVENUE NORTHEAST 8.375 1,140.11 89
8.125 1,140.11 169,000.00
SHORELINE WA 98155 1 06/25/98 04
0430931568 05 08/01/98 25
12717203 N 07/01/28
0
1777837 H22/G02 F 285,000.00 ZZ
360 285,000.00 4
75-01 61ST STREET 8.500 2,191.40 95
- 8.250 2,191.40 300,000.00
GLENDALE NY 11385 1 07/21/98 10
0430921544 05 09/01/98 30
9804001 O 08/01/28
0
1777867 A37/G02 F 120,000.00 ZZ
360 120,000.00 1
7117 CREST ROAD 7.750 859.69 73
7.500 859.69 165,000.00
DARIEN IL 60561 5 07/15/98 00
0430931287 05 09/01/98 0
98P122 O 08/01/28
0
1777871 K56/G02 F 123,750.00 T
360 123,750.00 1
69258 LARIAT 7.875 897.27 75
7.625 897.27 165,000.00
SISTERS OR 97759 1 07/10/98 00
0430911008 03 09/01/98 0
DW0128 O 08/01/28
0
1
1777899 E22/G02 F 62,900.00 ZZ
360 62,900.00 1
1702 CAMARA COURT 8.125 467.03 90
7.875 467.03 69,900.00
GRAND PRAIRIE TX 75051 1 07/17/98 04
0410963417 05 09/01/98 25
410963417 N 08/01/28
0
1777909 K08/G02 F 216,800.00 ZZ
360 216,432.53 1
1218 HEATHERLOCH DRIVE 8.125 1,609.73 80
7.875 1,609.73 271,000.00
GASTONIA NC 28054 5 05/27/98 00
0410874481 05 07/01/98 0
410874481 O 06/01/28
0
1777913 E22/G02 F 98,700.00 ZZ
360 98,700.00 1
26805 FARMBROOK VILLA DRI 8.250 741.50 80
8.000 741.50 123,415.00
SOUTHFIELD MI 48034 1 07/08/98 04
0410866578 01 09/01/98 12
410866578 O 08/01/28
0
1777914 E22/G02 F 117,000.00 ZZ
360 117,000.00 1
9509 REGAL RIDGE DRIVE N.E. 7.875 848.33 68
7.625 848.33 173,000.00
ALBUQUERQUE NM 87111 5 07/15/98 00
0410904627 05 09/01/98 0
410904627 O 08/01/28
0
1777916 E22/G02 F 104,500.00 ZZ
360 104,500.00 4
111 N. WINNETKA AVE. 8.875 831.45 95
8.625 831.45 110,000.00
DALLAS TX 75208 1 07/17/98 10
0410923668 05 09/01/98 30
410923668 O 08/01/28
0
1777930 E22/G02 F 76,500.00 ZZ
360 76,448.67 1
1
614 EAST 100 & 2ND STREET 8.000 561.33 85
7.750 561.33 90,000.00
CHICAGO IL 60628 5 06/29/98 10
0410878995 05 08/01/98 12
410878995 O 07/01/28
0
1777934 E22/G02 F 49,250.00 ZZ
360 49,223.80 2
615 & 617 ROBERTS STREET 9.125 400.71 90
8.875 400.71 54,750.00
DENTON TX 76201 1 06/30/98 04
0410925408 05 08/01/98 25
410925408 N 07/01/28
0
1777935 E22/G02 F 93,100.00 T
360 93,100.00 1
818 SE 4TH STREET UNIT #403 8.500 715.86 70
8.250 715.86 133,000.00
FT LAUDERDALE FL 33301 5 07/17/98 00
0410799993 08 09/01/98 0
410799993 O 08/01/28
0
1777937 E22/G02 F 99,000.00 ZZ
360 99,000.00 1
411 SOUTH 14TH AVENUE 8.375 752.47 70
8.125 752.47 142,000.00
BOZEMAN MT 59715 5 07/13/98 00
0410934962 05 09/01/98 0
410934962 O 08/01/28
0
1777941 E22/G02 F 171,200.00 ZZ
360 171,076.09 1
1590 LAKE BLAINE ROAD 7.625 1,211.74 79
7.375 1,211.74 219,000.00
KALISPELL MT 59901 2 07/01/98 00
0410905459 05 08/01/98 0
410905459 O 07/01/28
0
1777987 180/G02 F 75,600.00 ZZ
360 75,555.37 1
13115 LOGAN LANE 8.625 588.01 90
8.375 588.01 84,000.00
LENEXA KS 66215 1 06/30/98 04
0430954693 05 08/01/98 25
1
13000336 N 07/01/28
0
1778006 B35/G02 F 143,000.00 ZZ
360 143,000.00 1
12030 FINGERBOARD ROAD 7.750 1,024.47 78
7.500 1,024.47 184,500.00
MONROVIA MD 21770 2 07/14/98 00
0430921759 05 09/01/98 0
98001792 O 08/01/28
0
1778007 B35/G02 F 140,000.00 ZZ
240 140,000.00 1
6638 PINE TOP ROAD 7.250 1,106.53 85
7.000 1,106.53 165,000.00
HURLOCK MD 21643 5 07/10/98 01
0430918557 05 09/01/98 12
98001839 O 08/01/18
0
1778011 561/561 F 127,100.00 ZZ
360 127,005.67 1
4616 ROANOKE WAY 7.500 888.71 78
7.250 888.71 165,000.00
NAGS HEAD NC 27959 2 06/24/98 00
0009208869 03 08/01/98 0
0009208869 O 07/01/28
0
1778113 830/830 F 264,000.00 ZZ
360 264,000.00 1
2221 EAST DEBEERS DRIVE 8.000 1,937.14 80
7.750 1,937.14 330,000.00
SANDY UT 84093 1 07/14/98 00
538044 05 09/01/98 0
538044 O 08/01/28
0
1778133 B57/G02 F 180,000.00 T
360 180,000.00 1
35 14TH STREET 7.875 1,305.13 75
7.625 1,305.13 242,000.00
CAYUCOS CA 93430 5 07/20/98 00
0430931832 05 09/01/98 0
9812409 O 08/01/28
0
1
1778148 F60/G02 F 111,200.00 ZZ
360 111,200.00 1
53 MADRID AVENUE 8.000 815.95 80
7.750 815.95 139,000.00
KENNER LA 70065 1 07/17/98 00
0430920538 05 09/01/98 0
443927 O 08/01/28
0
1778156 A80/G02 F 44,200.00 ZZ
360 44,200.00 1
345 MICHIGAN AVENUE 8.250 332.06 85
UNIT 26 8.000 332.06 52,000.00
MIAMI BEACH FL 33139 5 07/14/98 01
0430914648 01 09/01/98 12
9816552 O 08/01/28
0
1778170 664/G02 F 336,000.00 ZZ
360 336,000.00 1
12821 VIEW RIDGE DRIVE 8.625 2,613.38 80
8.375 2,613.38 420,000.00
SANTA ANA CA 92705 1 07/07/98 00
0430927863 05 09/01/98 0
2623924 O 08/01/28
0
1778183 H93/G02 F 177,150.00 ZZ
360 177,150.00 1
5566 BIG EAST FORK ROAD 7.625 1,253.86 74
7.375 1,253.86 240,000.00
FRANKLIN TN 37064 2 07/08/98 00
0430947630 05 09/01/98 0
9845213 O 08/01/28
0
1778207 E22/G02 F 132,000.00 ZZ
360 132,000.00 1
8280 NORTHWIND WAY 7.375 911.69 80
7.125 911.69 165,000.00
ORANGEVALE CA 95662 1 07/08/98 00
0410945026 05 09/01/98 0
410945026 O 08/01/28
0
1778220 E22/G02 F 116,400.00 ZZ
360 116,400.00 1
720 N. ISABEL 7.625 823.87 80
UNIT # 4 7.375 823.87 145,500.00
1
GLENDALE CA 91206 1 07/10/98 00
0410944367 01 09/01/98 0
410944367 O 08/01/28
0
1778226 E22/G02 F 107,550.00 ZZ
360 107,550.00 1
4023 PALASADES PLACE WEST 8.375 817.46 90
8.125 817.46 119,500.00
UNIVERSITY PLAC WA 98466 1 07/10/98 04
0410937049 05 09/01/98 25
410937049 N 08/01/28
0
1778227 E22/G02 F 300,000.00 ZZ
360 300,000.00 1
3360 LA COSTA WAY 7.750 2,149.24 79
7.500 2,149.24 380,950.00
SAN JOSE CA 95135 1 07/06/98 00
0410719744 05 09/01/98 0
410719744 O 08/01/28
0
1778235 E22/G02 F 144,950.00 ZZ
360 144,950.00 1
11240 GREYCLIFF AVENUE 7.625 1,025.95 80
7.375 1,025.95 181,225.00
MONTCLAIR CA 91763 1 07/10/98 00
0410930317 05 09/01/98 0
410930317 O 08/01/28
0
1778238 E22/G02 F 192,000.00 ZZ
360 192,000.00 1
1660 WYNDHAM WAY 7.875 1,392.13 80
7.625 1,392.13 240,000.00
EL DORADO HILLS CA 95762 5 07/08/98 00
0410923890 05 09/01/98 0
410923890 O 08/01/28
0
1778240 E22/G02 F 97,000.00 ZZ
360 97,000.00 1
12005 WASHINGTON BOULEVARD 8.000 711.75 80
7.750 711.75 122,000.00
WHITTIER AREA CA 90606 1 07/02/98 00
0410917215 05 09/01/98 0
410917215 O 08/01/28
0
1
1778244 E22/G02 F 201,600.00 ZZ
360 201,600.00 1
1231 CLEVELAND ROAD 8.625 1,568.02 80
8.375 1,568.02 252,000.00
GLENDALE CA 91202 1 07/15/98 00
0410954853 05 09/01/98 0
410954853 N 08/01/28
0
1778245 E22/G02 F 224,500.00 ZZ
360 224,500.00 1
5116 COLONY DRIVE 7.625 1,589.00 74
7.375 1,589.00 305,000.00
CAMARILLO CA 93012 5 07/10/98 00
0410863385 03 09/01/98 0
410863385 O 08/01/28
0
1778247 E22/G02 F 48,750.00 ZZ
360 48,750.00 1
1900 LONGFITT STREET 8.500 374.85 75
8.250 374.85 65,000.00
RICHLAND WA 99352 5 07/09/98 00
0410932537 05 09/01/98 0
410932537 N 08/01/28
0
1778250 E22/G02 F 56,700.00 ZZ
360 56,700.00 1
3205 SOUTH 2ND STREET 8.875 451.13 90
8.625 451.13 63,000.00
UNION GAP WA 98903 1 07/16/98 04
0410938880 05 09/01/98 25
410938880 N 08/01/28
0
1778252 E22/G02 F 84,500.00 ZZ
360 84,500.00 1
6325 95TH PLACE NORTHEAST 7.875 612.68 62
7.625 612.68 138,000.00
MARYSVILLE WA 98270 5 07/15/98 00
0410939458 05 09/01/98 0
410939458 N 08/01/28
0
1778255 E22/G02 F 143,000.00 ZZ
360 143,000.00 1
1
11241 NORTH VENTURA AVENUE 7.500 999.88 70
7.250 999.88 205,000.00
OJAI CA 93023 2 07/07/98 00
0410922140 05 09/01/98 0
410922140 O 08/01/28
0
1778257 E22/G02 F 130,000.00 ZZ
360 130,000.00 1
747 MICHELTORENA STREET 8.250 976.65 73
UNIT #B 8.000 976.65 180,000.00
LOS ANGELES CA 90026 2 07/15/98 00
0410940167 01 09/01/98 0
410940167 N 08/01/28
0
1778261 E22/G02 F 122,000.00 ZZ
360 122,000.00 1
2217 CHESTNUT DRIVE 7.875 884.58 80
7.625 884.58 152,500.00
PITTSBURG CA 94565 5 07/13/98 00
0410895734 05 09/01/98 0
410895734 O 08/01/28
0
1778263 E22/G02 F 166,500.00 ZZ
360 166,500.00 1
6 POKOA PLACE 7.375 1,149.97 75
7.125 1,149.97 222,000.00
HAIKU HI 96708 2 07/14/98 00
0410920060 05 09/01/98 0
410920060 O 08/01/28
0
1778282 975/G02 F 312,000.00 ZZ
360 312,000.00 1
9781 STAR DRIVE 7.875 2,262.22 80
7.625 2,262.22 390,000.00
HUNTINGTON BEAC CA 92646 5 07/15/98 00
0430919969 05 09/01/98 0
982119 O 08/01/28
0
1778285 E22/G02 F 44,000.00 ZZ
360 44,000.00 2
183 EAST THIRD STREET 9.250 361.98 90
9.000 361.98 48,900.00
XENIA OH 45385 1 07/16/98 04
0410937262 05 09/01/98 25
1
410937262 N 08/01/28
0
1778288 E22/G02 F 84,000.00 ZZ
360 83,945.05 1
253 SOUTH 800 WEST 8.125 623.70 74
7.875 623.70 115,000.00
PAYSON UT 84651 2 06/23/98 00
0410887673 05 08/01/98 0
410887673 N 07/01/28
0
1778290 E22/G02 F 41,150.00 ZZ
360 41,150.00 1
109 NORTH 16TH STREET 8.875 327.41 90
8.625 327.41 45,750.00
RICHMOND IN 47374 1 07/16/98 04
0410917942 05 09/01/98 25
410917942 N 08/01/28
0
1778295 E22/G02 F 135,600.00 ZZ
360 135,600.00 1
508 BELLFLOWER ROAD 8.000 994.98 80
7.750 994.98 169,500.00
BAYFIELD CO 81122 1 07/16/98 00
0410965545 05 09/01/98 0
410965545 O 08/01/28
0
1778325 F96/G02 F 216,000.00 ZZ
360 216,000.00 1
239 RIDGEDALE AVENUE 7.500 1,510.30 80
7.250 1,510.30 270,000.00
FLORHAM PARK NJ 07932 2 07/17/98 00
0430913657 05 09/01/98 0
2885 O 08/01/28
0
1778339 B28/G02 F 147,700.00 ZZ
360 147,700.00 1
619 COUNTRY ROAD 281 7.125 995.09 70
6.875 995.09 211,000.00
WOODLAND PARK CO 80863 5 07/10/98 00
0430959403 05 09/01/98 0
981089 N 08/01/28
0
1
1778344 450/G02 F 240,000.00 ZZ
290 239,693.85 1
38888 CHESIRE DR 7.250 1,756.15 72
7.000 1,756.15 334,000.00
FARMINGTON HILL MI 48167 5 06/26/98 00
0430954248 05 08/01/98 0
4384848 O 09/01/22
0
1778378 B28/G02 F 80,600.00 ZZ
360 80,600.00 1
914 SPRING VALLEY LANE 8.625 626.90 65
8.375 626.90 124,000.00
FLORISSANT CO 80816 5 07/16/98 00
0430927665 05 09/01/98 0
980685 N 08/01/28
0
1778425 E26/G02 F 182,000.00 ZZ
360 181,789.80 1
622 MT HOLLY-HUNTERSVILLE RD 8.750 1,431.80 95
8.500 1,431.80 192,000.00
CHARLOTTE NC 28214 2 06/01/98 23
0430923961 05 07/01/98 0
33800663 O 06/01/28
0
1778456 E82/G02 F 109,600.00 ZZ
360 109,600.00 1
2018 MOUNTAIN VISTA WAY 7.625 775.74 80
7.375 775.74 137,000.00
RENO NV 89509 1 07/21/98 00
0400130001 03 09/01/98 0
0400130001 O 08/01/28
0
1778462 E82/G02 F 86,000.00 ZZ
360 86,000.00 1
RR 4 BOX 4444 8.375 653.66 61
8.125 653.66 142,000.00
BERWICK PA 18603 5 07/20/98 00
0400129284 05 09/01/98 0
0400129284 O 08/01/28
0
1778477 624/G02 F 176,000.00 ZZ
360 176,000.00 1
548 CURLEW ROAD 7.500 1,230.62 80
7.250 1,230.62 220,000.00
1
LIVERMORE CA 94550 1 07/02/98 00
0430915462 05 09/01/98 0
87506380096 O 08/01/28
0
1778542 E22/G02 F 280,000.00 ZZ
360 280,000.00 1
5708 WEST 129TH STREET 8.375 2,128.20 70
8.125 2,128.20 400,000.00
OVERLAND PARK KS 66209 5 07/10/98 00
0410952972 03 09/01/98 0
410952972 O 08/01/28
0
1778543 E22/G02 F 175,550.00 ZZ
360 175,550.00 1
2008 LONGFELLOW LANE 7.750 1,257.66 80
7.500 1,257.66 219,450.00
FLOWER MOUND TX 75028 1 07/15/98 00
0410960389 03 09/01/98 0
410960389 O 08/01/28
0
1778546 E22/G02 F 106,400.00 ZZ
360 106,326.78 1
3317 PEBBLE BEACH DRIVE 7.875 771.47 80
7.625 771.47 133,000.00
FARMERS BRANCH TX 75234 1 07/01/98 00
0410908164 05 08/01/98 0
410908164 O 07/01/28
0
1778553 E22/G02 F 45,900.00 ZZ
360 45,900.00 1
2117 N. HOOD AVENUE 8.500 352.93 90
8.250 352.93 51,000.00
WICHITA KS 67203 2 07/17/98 04
0410912570 05 09/01/98 25
410912570 N 08/01/28
0
1778554 E22/G02 F 137,300.00 ZZ
360 137,300.00 1
199 14TH STREET, UNIT #905 8.250 1,031.49 75
8.000 1,031.49 183,100.00
ATLANTA GA 30309 1 07/09/98 00
0410956494 06 09/01/98 0
410956494 N 08/01/28
0
1
1778555 E22/G02 F 76,000.00 ZZ
360 76,000.00 1
2577 CORAL RIDGE AVE 8.625 591.12 80
8.375 591.12 95,000.00
GROVE CITY OH 43123 2 07/09/98 00
0410941074 05 09/01/98 0
410941074 N 08/01/28
0
1778556 E22/G02 F 124,000.00 ZZ
360 124,000.00 1
505 ROSINANTE ROAD 8.250 931.57 80
8.000 931.57 155,000.00
EL PASO TX 79932 1 07/02/98 00
0410844419 03 09/01/98 0
410844419 O 08/01/28
0
1778558 E22/G02 F 152,000.00 ZZ
360 151,905.52 1
5329 N. 33RD STREET 8.375 1,155.31 80
8.125 1,155.31 190,000.00
PHOENIX AZ 85018 1 07/02/98 00
0410927032 05 08/01/98 0
410927032 N 07/01/28
0
1778567 E22/G02 F 93,650.00 T
360 93,650.00 1
120 HANGING MOSS DRIVE 8.375 711.81 80
8.125 711.81 117,105.00
OVIEDO FL 32765 1 07/14/98 00
0410959936 03 09/01/98 0
410959936 O 08/01/28
0
1778569 E22/G02 F 143,000.00 ZZ
360 143,000.00 4
1302 4TH STREET SOUTH 9.250 1,176.43 55
9.000 1,176.43 260,000.00
JACKSONVILLE BE FL 32250 5 07/13/98 00
0410953772 05 09/01/98 0
410953772 N 08/01/28
0
1778570 J95/J95 F 283,500.00 T
360 283,289.60 1
1
3827 DYER ROAD 7.500 1,982.28 90
7.250 1,982.28 315,000.00
BIG PINE KEY FL 33043 1 06/12/98 12
0010494391 05 08/01/98 25
0010494391 O 07/01/28
0
1778575 J95/J95 F 434,450.00 ZZ
360 433,569.63 1
8351 SOUTH HOMESTEAD LANE 8.000 3,187.84 90
7.750 3,187.84 482,762.00
CHANDLER AZ 85224 4 04/01/98 04
0004938288 03 06/01/98 25
0004938288 O 05/01/28
0
1778580 E22/G02 F 89,750.00 ZZ
360 89,750.00 3
861 S.W. 7TH STREET 8.750 706.06 90
8.500 706.06 99,750.00
POMPANO BEACH FL 33060 1 07/07/98 04
0410943773 05 09/01/98 25
410943773 N 08/01/28
0
1778586 E22/G02 F 131,600.00 T
360 131,520.28 1
100 THOUSAND OAKS BLVD 8.500 1,011.89 80
8.250 1,011.89 164,600.00
DAVENPORT FL 33837 1 06/30/98 00
0410654248 03 08/01/98 0
410654248 O 07/01/28
0
1778598 E22/G02 F 400,000.00 ZZ
360 400,000.00 1
23 HOLLAND HILLS ROAD 8.125 2,969.99 69
7.875 2,969.99 580,000.00
BASALT CO 81621 5 07/10/98 00
0410929277 05 09/01/98 0
410929277 O 08/01/28
0
1778609 E22/G02 F 89,750.00 ZZ
360 89,750.00 3
851 S.W. 7TH STREET 8.750 706.06 90
8.500 706.06 99,750.00
POMPANO BEACH FL 33060 1 07/07/98 10
0410943856 05 09/01/98 25
1
410943856 N 08/01/28
0
1778611 K08/G02 F 100,400.00 ZZ
360 100,335.98 1
517 7TH AVENUE NORTH 8.250 754.27 62
8.000 754.27 164,000.00
JACKSONVILLE BE FL 32250 2 07/01/98 00
0410932560 05 08/01/98 0
410932560 O 07/01/28
0
1778612 E22/G02 F 122,800.00 ZZ
360 122,719.67 1
572 CRIMSON DRIVE 8.125 911.79 80
7.875 911.79 153,500.00
CRYSTAL LAKE IL 60014 1 06/25/98 00
0410905608 03 08/01/98 0
410905608 O 07/01/28
0
1778616 E22/G02 F 126,000.00 ZZ
360 125,921.69 1
100 CLINTON STREET, UNIT #4B 8.375 957.69 80
8.125 957.69 157,500.00
HOBOKEN NJ 07030 1 06/30/98 00
0410836498 08 08/01/98 0
410836498 O 07/01/28
0
1778626 E22/G02 F 49,950.00 ZZ
360 49,950.00 1
912 MILLS DRIVE 8.375 379.66 90
8.125 379.66 55,500.00
EULESS TX 76040 1 07/01/98 04
0410901664 05 09/01/98 25
410901664 N 08/01/28
0
1778627 E22/G02 F 63,750.00 ZZ
360 63,750.00 1
65 COUNTRY ROAD, UNIT #093 7.875 462.23 75
7.625 462.23 85,000.00
ABERDEEN NJ 07747 2 07/10/98 00
0410917421 01 09/01/98 0
410917421 N 08/01/28
0
1
1778658 E22/G02 F 80,150.00 T
360 80,150.00 1
RT 1 BOX 26 8.375 609.20 90
8.125 609.20 89,087.00
CIBOLO TX 78108 1 07/06/98 10
0410924187 05 09/01/98 25
410924187 O 08/01/28
0
1778659 E22/G02 F 108,000.00 ZZ
360 108,000.00 1
218 N. 17TH STREET 7.750 773.73 80
7.500 773.73 135,000.00
WILLMINGTON NC 28401 5 07/10/98 00
0410944060 05 09/01/98 0
410944060 O 08/01/28
0
1778662 E22/G02 F 192,500.00 ZZ
360 192,374.08 1
319 BURNS LANE 8.125 1,429.31 60
7.875 1,429.31 325,000.00
WILLIAMSBURG VA 23185 2 06/30/98 00
0410912380 05 08/01/98 0
410912380 O 07/01/28
0
1778664 E22/G02 F 129,000.00 ZZ
360 129,000.00 1
6251 S.W. 27TH STREET 7.375 890.97 79
7.125 890.97 165,000.00
MIAMI FL 33155 5 07/09/98 00
0410929939 05 09/01/98 0
410929939 O 08/01/28
0
1778667 E22/G02 F 150,000.00 ZZ
360 150,000.00 1
0570 SUMMIT COUNTY RD #980 8.125 1,113.75 61
7.875 1,113.75 248,500.00
BRECKENRIDGE CO 80424 4 07/08/98 00
0410885206 05 09/01/98 0
410885206 O 08/01/28
0
1778673 E22/G02 F 68,000.00 ZZ
360 67,956.64 1
3592 SW SUNSET TRACE CIRCLE 8.250 510.86 80
8.000 510.86 85,000.00
1
PALM CITY FL 34990 1 07/01/98 00
0410910368 09 08/01/98 0
410910368 O 07/01/28
0
1778688 E22/G02 F 204,000.00 ZZ
360 204,000.00 2
144 13TH STREET SE 7.625 1,443.90 73
7.375 1,443.90 282,000.00
WASHINGTON DC 20003 2 07/09/98 00
0410937627 05 09/01/98 0
410937627 O 08/01/28
0
1778690 J95/J95 F 438,300.00 ZZ
360 437,647.40 1
3308 PURDUE AVENUE 7.500 3,064.66 65
7.250 3,064.66 675,000.00
UNIVERSITY PARK TX 75225 5 05/14/98 00
12768495 05 07/01/98 0
12768495 O 06/01/28
0
1778691 561/561 F 74,700.00 ZZ
360 74,700.00 2
600 WEST ST 8.500 574.38 90
8.250 574.38 83,000.00
WINONA LAKE IN 46590 1 07/20/98 10
9428525 05 09/01/98 25
9428525 N 08/01/28
0
1778696 J95/J95 F 459,000.00 ZZ
360 458,659.35 1
20 SHELDRAKE LANE 7.500 3,209.40 90
7.250 3,209.40 510,000.00
PALM BEACH GARD FL 33418 1 06/12/98 04
0010487577 03 08/01/98 25
0010487577 O 07/01/28
0
1778702 E22/G02 F 118,350.00 T
360 118,268.55 1
1251 CANYON ROAD UNIT #27 7.875 858.12 90
7.625 858.12 131,500.00
WISCONSIN DELLS WI 53965 1 07/01/98 04
0410941108 01 08/01/98 25
410941108 O 07/01/28
0
1
1778736 E22/G02 F 135,000.00 ZZ
360 134,926.26 1
8200 SURF DRIVE, UNIT #B106 9.000 1,086.24 90
8.750 1,086.24 150,000.00
PAMAMA CITY BEA FL 32408 1 06/30/98 04
0410927198 08 08/01/98 25
410927198 N 07/01/28
0
1778781 K08/G02 F 71,100.00 ZZ
360 71,100.00 1
2528 FUNSTON STREET 9.125 578.49 90
8.875 578.49 79,000.00
HOLLYWOOD FL 33020 1 07/08/98 04
0410939094 05 09/01/98 25
410939094 N 08/01/28
0
1778807 105/G02 F 43,200.00 ZZ
360 43,200.00 2
1087 WILMINGTON AVENUE 8.000 316.99 90
7.750 316.99 48,000.00
BALTIMORE MD 21223 1 07/08/98 14
0430926139 05 09/01/98 30
1192319 N 08/01/28
0
1778810 J95/J95 F 376,000.00 ZZ
360 375,713.89 1
5083 U STREET 7.375 2,596.94 80
7.125 2,596.94 470,000.00
WASHOUGAL WA 98671 5 06/01/98 00
0016003386 05 08/01/98 0
0016003386 O 07/01/28
0
1778815 E82/G02 F 212,000.00 ZZ
360 212,000.00 1
653 MILWOOD AVENUE 7.875 1,537.15 80
7.625 1,537.15 265,000.00
VENICE CA 90291 1 07/09/98 00
0400126504 05 09/01/98 0
0400126504 O 08/01/28
0
1778825 957/G02 F 63,000.00 ZZ
360 63,000.00 1
1
310 PITTMAN STREET 7.875 456.80 90
7.625 456.80 70,000.00
RICHARDSON TX 75081 1 07/14/98 10
0430923656 05 09/01/98 25
0180035685 N 08/01/28
0
1778830 637/G02 F 192,350.00 ZZ
360 192,070.66 1
3221 NE 30TH AVENUE 7.625 1,361.45 75
7.375 1,361.45 256,500.00
PORTLAND OR 97212 5 05/12/98 00
0430924944 05 07/01/98 0
0011728227 O 06/01/28
0
1778833 731/G02 F 234,000.00 ZZ
360 234,000.00 1
18611 PARK RIDGE LANE 7.375 1,616.18 80
7.125 1,616.18 293,000.00
HUNTINGTON BEAC CA 92648 1 07/08/98 00
0430921775 09 09/01/98 0
411511824 O 08/01/28
0
1778837 J83/G02 F 141,300.00 ZZ
360 141,202.75 4
5264 HAGEMAN LANE 7.875 1,024.53 76
7.625 1,024.53 188,000.00
LAS VEGAS NV 89110 2 06/02/98 00
0430925347 05 08/01/98 0
253737 N 07/01/28
0
1778855 E26/G02 F 72,315.00 ZZ
360 72,315.00 1
1118 JONES BLVD 8.625 562.46 90
8.375 562.46 80,350.00
MURFREESBORO TN 37129 1 07/17/98 01
0430926113 05 09/01/98 25
33800848 N 08/01/28
0
1778858 E09/G02 F 178,500.00 ZZ
360 178,500.00 1
7733 PURPLE SKY DRIVE 7.625 1,263.41 70
7.375 1,263.41 255,000.00
LAS VEGAS NV 89129 1 07/22/98 00
0430920900 03 09/01/98 0
1
01003345 O 08/01/28
0
1778863 637/G02 F 203,500.00 ZZ
360 203,204.49 1
3522 WEST 227TH PLACE 7.625 1,440.36 75
7.375 1,440.36 274,000.00
TORRANCE CA 90505 5 05/27/98 00
0430925875 05 07/01/98 0
8752867 O 06/01/28
0
1778883 G10/G02 F 51,800.00 T
360 51,800.00 1
5212 WORLEY DRIVE 8.375 393.72 70
8.125 393.72 74,000.00
THE COLONY TX 75056 5 07/08/98 00
0430917476 05 09/01/98 0
XB8069030 O 08/01/28
0
1778884 964/G02 F 144,800.00 ZZ
360 144,800.00 1
160 CORDOBA WAY 7.875 1,049.90 80
7.625 1,049.90 181,000.00
WINDSOR CA 95492 1 07/07/98 00
0430916833 05 09/01/98 0
38900 O 08/01/28
0
1778897 G10/G02 F 80,000.00 ZZ
360 80,000.00 1
222 STILMEADOW DRIVE 8.000 587.02 80
7.750 587.02 100,000.00
GARLAND TX 75040 5 07/02/98 00
0430922898 05 09/01/98 0
XB8060032 O 08/01/28
0
1778976 134/G02 F 100,000.00 ZZ
360 100,000.00 1
14816 MILLICENT COURT 8.375 760.08 80
8.125 760.08 125,000.00
CENTERVILLE VA 20120 2 07/10/98 00
0430954164 09 09/01/98 0
7334112 N 08/01/28
0
1
1778980 134/G02 F 39,900.00 ZZ
360 39,871.12 2
922 MAIN STREET 7.625 282.41 74
7.375 282.41 54,000.00
COSHOCTON OH 43812 5 06/29/98 00
0430923797 05 08/01/98 0
7300991 N 07/01/28
0
1778988 163/G02 F 242,500.00 ZZ
360 242,315.47 1
43A ATWOOD STREET 7.375 1,674.89 74
7.125 1,674.89 330,000.00
WELLESLEY MA 02181 2 06/12/98 00
0430926220 05 08/01/98 0
373070037 O 07/01/28
0
1779001 163/G02 F 97,200.00 ZZ
360 97,141.12 4
119 & 121 ELLIOT STREET 8.500 747.38 90
8.250 747.38 108,000.00
BROCKTON MA 02402 1 06/11/98 10
0430924555 05 08/01/98 25
216211304 N 07/01/28
0
1779008 225/225 F 168,000.00 ZZ
360 168,000.00 1
12 WILLARD ROAD 8.125 1,247.40 53
7.875 1,247.40 319,000.00
RED HOOK NY 12571 2 07/09/98 00
7026021 05 09/01/98 0
7026021 O 08/01/28
0
1779014 225/225 F 600,000.00 ZZ
360 600,000.00 1
609 AVENIDA MIROLA 7.750 4,298.48 73
7.500 4,298.48 830,000.00
PALOS VERDES ES CA 90274 5 06/26/98 00
7034660 05 09/01/98 0
7034660 O 08/01/28
0
1779032 168/168 F 252,000.00 ZZ
360 251,830.91 3
1502 N HUDSON AVENUE 8.000 1,849.09 70
7.750 1,849.09 360,000.00
1
CHICAGO IL 60610 5 06/23/98 00
0189364432 05 08/01/98 0
0189364432 O 07/01/28
0
1779054 E26/G02 F 108,000.00 ZZ
360 108,000.00 1
37 FOREST KNOLL DRIVE 7.750 773.73 80
7.500 773.73 135,200.00
LAUREL DE 19956 1 07/16/98 00
0430926527 05 09/01/98 0
33800607 O 08/01/28
0
1779077 H86/G02 F 252,000.00 ZZ
360 252,000.00 1
10351 EAST BERRY DRIVE 7.875 1,827.17 70
7.625 1,827.17 360,000.00
GREENWOOD VILLA CO 80111 2 07/17/98 00
0430961920 05 09/01/98 0
149761 O 08/01/28
0
1779079 B28/G02 F 195,800.00 ZZ
360 195,800.00 1
4690 WEST EVANS AVENUE 7.500 1,369.07 56
7.250 1,369.07 350,000.00
DENVER CO 80219 1 07/21/98 00
0430927186 03 09/01/98 0
10980273 N 08/01/28
0
1779082 B98/G02 F 227,150.00 ZZ
360 227,150.00 1
198 ORSI CIRCLE 7.875 1,647.00 80
7.625 1,647.00 285,000.00
SAN FRANCISCO CA 94124 1 07/02/98 00
0430924258 09 09/01/98 0
0 O 08/01/28
0
1779114 B75/G02 F 40,500.00 ZZ
360 40,500.00 1
3710NORRIS AVENUE 8.125 300.71 90
7.875 300.71 45,000.00
MEMPHIS TN 38111 1 07/02/98 01
0430918458 05 09/01/98 25
7663644 N 08/01/28
0
1
1779191 K08/G02 F 112,500.00 ZZ
360 112,500.00 4
3115 TOULON 8.500 865.03 90
8.250 865.03 125,000.00
BATON ROUGE LA 70816 1 07/17/98 04
0410957815 05 09/01/98 25
410957815 N 08/01/28
0
1779195 E22/G02 F 93,900.00 ZZ
360 93,900.00 1
217 NORTH BOWEN STREET 8.000 689.00 80
7.750 689.00 118,000.00
JACKSON MI 49202 5 07/13/98 00
0410933105 05 09/01/98 0
410933105 O 08/01/28
0
1779197 E22/G02 F 54,000.00 ZZ
360 54,000.00 1
5035 FOREST GROVE STREET 8.750 424.82 90
8.500 424.82 60,000.00
LOVES PARK IL 61111 1 07/14/98 04
0410951933 05 09/01/98 25
410951933 N 08/01/28
0
1779199 E22/G02 F 162,650.00 T
360 162,548.90 1
7958 GOLDEN POND COURT 8.375 1,236.26 80
8.125 1,236.26 203,338.00
KISSIMMEE FL 34747 1 07/06/98 95
0410787170 03 08/01/98 0
410787170 O 07/01/28
0
1779200 E22/G02 F 159,600.00 ZZ
360 159,600.00 2
303-305 SHOREVIEW DRIVE 8.625 1,241.35 95
8.375 1,241.35 168,000.00
ROCKWALL TX 75087 1 07/16/98 10
0410959795 05 09/01/98 30
410959795 O 08/01/28
0
1779204 E82/G02 F 41,400.00 ZZ
360 41,400.00 1
1
400 SOUTH SALIMAN, UNIT # 124 8.000 303.78 83
7.750 303.78 50,000.00
CARSON CITY NV 89701 2 07/22/98 04
0400124244 01 09/01/98 25
0400124244 N 08/01/28
0
1779208 E22/G02 F 135,900.00 ZZ
360 135,900.00 1
17553 EAST WESLEY PLACE 8.250 1,020.97 80
8.000 1,020.97 169,900.00
AURORA CO 80013 1 07/15/98 00
0410905798 05 09/01/98 0
410905798 O 08/01/28
0
1779223 E22/G02 F 176,850.00 ZZ
360 176,850.00 2
3180-3182 CLEVELAND AVE N 8.625 1,375.52 90
8.375 1,375.52 196,500.00
ARDEN HILLS MN 55112 1 07/17/98 04
0410969356 05 09/01/98 25
410969356 N 08/01/28
0
1779226 E22/G02 F 103,000.00 ZZ
360 103,000.00 1
6097 W. 900 N. 7.250 702.64 77
7.000 702.64 135,000.00
DELPHI IN 46923 5 07/10/98 00
0410937296 05 09/01/98 0
410937296 O 08/01/28
0
1779227 K08/G02 F 281,250.00 ZZ
360 281,250.00 1
5594 DIXBORO 7.875 2,039.26 75
7.625 2,039.26 375,000.00
SALEM TOWNSHIP MI 48105 5 07/13/98 00
0410940753 05 09/01/98 0
410940753 O 08/01/28
0
1779229 K08/G02 F 230,600.00 ZZ
360 230,445.27 1
2692 DUNMOORE DRIVE 8.000 1,692.06 80
7.750 1,692.06 288,310.00
SNELLVILLE GA 30078 1 07/06/98 00
0410947998 03 08/01/98 0
1
410947998 O 07/01/28
0
1779233 E22/G02 F 83,700.00 ZZ
360 83,700.00 4
254 NICHOLSON STREET 8.875 665.95 90
8.625 665.95 93,000.00
JOLIET IL 60435 1 07/21/98 04
0410922454 05 09/01/98 25
410922454 N 08/01/28
0
1779237 K08/G02 F 120,450.00 ZZ
360 120,450.00 1
4460 GREYSTONE DRIVE 8.750 947.58 90
8.500 947.58 133,840.00
CONCORD NC 28027 1 07/10/98 04
0410953129 05 09/01/98 25
410953129 N 08/01/28
0
1779256 K08/G02 F 150,300.00 ZZ
360 150,300.00 4
11105 TOWNER AVENUE NE 8.750 1,182.41 90
8.500 1,182.41 167,000.00
ALBUQUERQUE NM 87112 1 07/21/98 04
0410948343 05 09/01/98 25
410948343 N 08/01/28
0
1779261 E22/G02 F 90,750.00 ZZ
360 90,750.00 1
1725 ASHLAND 8.375 689.77 55
8.125 689.77 165,000.00
SAINT JOSEPH MO 64506 5 07/07/98 00
0410911200 05 09/01/98 0
410911200 O 08/01/28
0
1779262 E22/G02 F 229,500.00 ZZ
360 229,500.00 1
95 STAR WEST DRIVE 7.875 1,664.03 87
7.625 1,664.03 265,000.00
AFTON WY 83110 2 07/07/98 04
0410826309 05 09/01/98 25
410826309 O 08/01/28
0
1
1779272 E22/G02 F 173,350.00 ZZ
360 173,350.00 1
13427 BRANDING IRON 7.875 1,256.91 80
7.625 1,256.91 216,700.00
CHINO CA 91710 1 07/20/98 00
0410955256 03 09/01/98 0
410955256 O 08/01/28
0
1779274 E22/G02 F 76,500.00 ZZ
360 76,500.00 1
8488 SOUTHWEST MOHAWK STREET 8.500 588.22 90
8.250 588.22 85,000.00
TUALATIN OR 97062 1 07/10/98 04
0410918122 01 09/01/98 30
410918122 N 08/01/28
0
1779276 E22/G02 F 91,950.00 ZZ
360 91,950.00 1
808 WEST MANSON ROAD 8.000 674.70 80
UNIT # D103 7.750 674.70 114,950.00
CHELAN WA 98816 1 07/20/98 00
0410963979 01 09/01/98 0
410963979 N 08/01/28
0
1779336 E48/G02 F 291,500.00 ZZ
360 291,266.89 1
1804 STARLING 7.125 1,963.89 93
6.875 1,963.89 315,000.00
JONESBORO AR 72401 2 06/19/98 10
0430924472 05 08/01/98 30
010698WO187 O 07/01/28
0
1779344 K08/G02 F 327,750.00 ZZ
360 327,750.00 1
3568 LA MESA DRIVE 8.375 2,491.14 95
8.125 2,491.14 345,000.00
HAYWARD CA 94542 1 06/30/98 04
0410871545 05 09/01/98 30
410871545 O 08/01/28
0
1779362 638/G02 F 42,750.00 ZZ
360 42,750.00 1
305 CHRISTOPHER DRIVE 8.250 321.17 90
8.000 321.17 47,500.00
1
ATHENS AL 35611 1 07/13/98 10
0430924217 05 09/01/98 25
8766528 N 08/01/28
0
1779368 638/G02 F 44,900.00 ZZ
360 44,872.80 2
1514 15TH STREET 8.500 345.24 90
8.250 345.24 49,900.00
GALVESTON TX 77550 1 06/30/98 10
0430923987 05 08/01/98 25
8765764 N 07/01/28
0
1779371 638/G02 F 22,500.00 ZZ
360 22,500.00 1
1224 SHARON DRIVE 8.625 175.00 90
8.375 175.00 25,000.00
INDIANAPOLIS IN 46222 1 07/13/98 10
0430922328 05 09/01/98 25
8767438 N 08/01/28
0
1779375 638/G02 F 44,100.00 ZZ
360 44,100.00 1
283/21 SAUNDERS COURT 8.625 343.01 89
8.375 343.01 50,000.00
LEHMAN TOWNSHIP PA 18324 1 07/17/98 10
0430921676 03 09/01/98 25
8772475 N 08/01/28
0
1779381 638/G02 F 45,000.00 ZZ
360 45,000.00 1
1338 WEST 49TH PLACE 8.625 350.01 90
8.375 350.01 50,000.00
CHICAGO IL 60609 1 07/13/98 10
0430921742 05 09/01/98 25
8763766 N 08/01/28
0
1779383 638/G02 F 55,100.00 ZZ
360 55,064.86 1
18515 EGRET BAY UNIT 1111 8.250 413.95 95
8.000 413.95 58,000.00
HOUSTON TX 77058 1 06/30/98 10
0430922195 01 08/01/98 30
8758117 O 07/01/28
0
1
1779386 638/G02 F 30,875.00 ZZ
360 30,855.32 1
3300 PEBBLEBROOK DRIVE UT. 106 8.250 231.95 95
8.000 231.95 32,500.00
SEABROOK TX 77586 1 06/26/98 10
0430922070 01 08/01/98 30
8757621 O 07/01/28
0
1779415 B75/G02 F 85,500.00 ZZ
360 85,448.20 1
4533 - 4535 ALTA MESA 8.500 657.42 60
BOULEVARD 8.250 657.42 142,500.00
FORT WORTH TX 76133 5 06/22/98 00
0430922393 07 08/01/98 0
7350333 N 07/01/28
0
1779423 E26/G02 F 82,600.00 ZZ
360 82,600.00 1
6685 FIELDING TERRACE 7.500 577.56 70
7.250 577.56 119,000.00
COLORADO SPRING CO 80911 5 07/23/98 00
0430928820 05 09/01/98 0
32800366 N 08/01/28
0
1779425 B57/G02 F 168,000.00 ZZ
360 168,000.00 1
22019 CRESPI STREET 8.250 1,262.13 80
(WOODLAND HILLS AREA) 8.000 1,262.13 210,000.00
LOS ANGELES CA 91364 1 07/16/98 00
0430924530 05 09/01/98 0
9812398 N 08/01/28
0
1779426 822/G02 F 18,000.00 ZZ
360 17,988.22 1
5003 COTTAGE STREET 8.125 133.65 90
7.875 133.65 20,000.00
PHILADELPHIA PA 19124 1 06/23/98 01
0430922013 05 08/01/98 25
3636002124 N 07/01/28
0
1779436 E26/G02 F 67,900.00 ZZ
360 67,900.00 1
1
9580 MOHAWK TRAIL 7.500 474.77 62
7.250 474.77 110,000.00
GREEN MOUNTAIN CO 80819 5 07/23/98 00
0430928713 05 09/01/98 0
32800364 N 08/01/28
0
1779437 964/G02 F 180,000.00 ZZ
360 180,000.00 1
3818 CANEHILL AVENUE 7.500 1,258.59 80
7.250 1,258.59 225,000.00
LONG BEACH AREA CA 90808 2 07/08/98 00
0430919555 05 09/01/98 0
38468 O 08/01/28
0
1779438 966/G02 F 397,300.00 ZZ
360 396,765.06 1
16011 RANCHITA DRIVE 8.000 2,915.25 80
7.750 2,915.25 500,000.00
DALLAS TX 75248 2 05/27/98 00
0430920140 05 07/01/98 0
30006529 O 06/01/28
0
1779439 136/136 F 340,000.00 ZZ
360 340,000.00 1
7 POND EDGE ROAD 7.875 2,465.24 80
7.625 2,465.24 425,000.00
WESTPORT CT 06880 1 07/09/98 00
4530860 05 09/01/98 0
4530860 O 08/01/28
0
1779450 964/G02 F 202,400.00 ZZ
360 202,400.00 1
139 ARLENE TERRACE 7.750 1,450.02 80
7.500 1,450.02 253,000.00
SAN RAFAEL CA 94903 1 07/21/98 00
0430930339 01 09/01/98 0
39664 O 08/01/28
0
1779486 822/G02 F 72,000.00 ZZ
360 71,952.90 1
2925 DUNCAN ROAD 8.125 534.60 90
7.875 534.60 80,000.00
WILMINGTON DE 19808 1 06/26/98 01
0430923342 05 08/01/98 25
1
0136087008 N 07/01/28
0
1779489 225/225 F 228,000.00 ZZ
360 227,449.76 1
8604 HOWREY COURT 7.125 1,536.08 80
6.875 1,536.08 285,000.00
ANNANDALE VA 22003 5 04/09/98 00
7006315 05 06/01/98 0
7006315 O 05/01/28
0
1779490 E82/G02 F 159,200.00 T
360 159,200.00 1
4949 FALLCREST CIRCLE 7.875 1,154.31 8
7.625 1,154.31 2,227,500.00
SARASOTA FL 34233 1 07/22/98 00
0400138327 05 09/01/98 0
0400138327 O 08/01/28
0
1779496 225/225 F 160,000.00 ZZ
360 160,000.00 1
234 TRUMBULL HIGHWAY 8.125 1,188.00 80
7.875 1,188.00 200,000.00
LEBANON CT 06249 1 07/08/98 00
7028820 05 09/01/98 0
7028820 O 08/01/28
0
1779558 225/225 F 160,000.00 ZZ
360 160,000.00 1
348 HIGATE DRIVE 7.375 1,105.09 63
7.125 1,105.09 255,000.00
DALY CITY CA 94015 5 07/10/98 00
8082449 05 09/01/98 0
8082449 O 08/01/28
0
1779560 225/225 F 55,620.00 ZZ
360 55,586.30 1
32 MANNING AVENUE 8.500 427.67 90
8.250 427.67 61,800.00
TROY NY 12180 1 06/18/98 10
7024546 05 08/01/98 25
7024546 N 07/01/28
0
1
1779579 K08/G02 F 560,000.00 ZZ
360 560,000.00 1
3830 E. CALIFORNIA BLVD. 7.625 3,963.64 79
(PASADENA) 7.375 3,963.64 715,000.00
LOS ANGELES CA 91107 5 07/14/98 00
0410902720 05 09/01/98 0
410902720 O 08/01/28
0
1779583 E22/G02 F 301,000.00 ZZ
360 301,000.00 1
6004 106TH AVENUE NORTHEAST 7.875 2,182.46 70
7.625 2,182.46 430,000.00
KIRKLAND WA 98033 5 07/17/98 00
0410960777 05 09/01/98 0
410960777 N 08/01/28
0
1779602 757/G02 F 109,000.00 ZZ
360 109,000.00 1
16 OLD CANTON ROAD 8.375 828.48 74
8.125 828.48 148,000.00
CANTON CT 06019 5 07/15/98 00
0430921569 05 09/01/98 0
3556057 O 08/01/28
0
1779605 A39/G02 F 650,000.00 ZZ
360 650,000.00 1
1400 BRAERIDGE DRIVE 7.375 4,489.39 75
7.125 4,489.39 870,000.00
BEVERLY HILLS CA 90210 5 07/01/98 00
0430931303 05 09/01/98 0
9800346 O 08/01/28
0
1779655 G41/G02 F 131,750.00 ZZ
360 131,649.75 1
16 ONIONTOWN STREET 7.375 909.96 85
7.125 909.96 155,000.00
MEDFORD NJ 08055 5 06/24/98 06
0430961938 05 08/01/98 12
62000998 O 07/01/28
0
1779672 K08/G02 F 76,500.00 ZZ
360 76,500.00 1
9500 SOPHINE ST. 8.875 608.67 90
8.625 608.67 85,000.00
1
SAINT LOUIS MO 63123 1 07/14/98 04
0410964506 05 09/01/98 25
410964506 N 08/01/28
0
1779677 K08/G02 F 66,200.00 ZZ
360 66,200.00 1
2511 DANDELION LANE 8.500 509.02 80
8.250 509.02 82,780.00
ROWLETT TX 75088 1 07/22/98 00
0410936777 05 09/01/98 0
410936777 N 08/01/28
0
1779680 K08/G02 F 192,600.00 ZZ
360 192,464.06 1
103 WILLOW WAY 7.750 1,379.81 80
7.500 1,379.81 243,000.00
VICTORIA TX 77904 1 06/30/98 00
0410944771 03 08/01/98 0
410944771 O 07/01/28
0
1779686 K08/G02 F 37,200.00 ZZ
360 37,200.00 2
1616-1618 E LIVINGSTON AVE 8.625 289.34 75
8.375 289.34 50,000.00
COLUMBUS OH 43205 2 07/07/98 00
0410932735 05 09/01/98 0
410932735 N 08/01/28
0
1779687 K08/G02 F 70,500.00 ZZ
360 70,500.00 1
22322 GOLDSTONE DRIVE 8.875 560.93 75
8.625 560.93 94,000.00
KATY TX 77450 2 07/20/98 00
0410956437 03 09/01/98 0
410956437 N 08/01/28
0
1779692 K08/G02 F 76,500.00 ZZ
360 76,500.00 1
9716 GUEHRING 8.875 608.67 90
8.625 608.67 85,000.00
SAINT LOUIS MO 63123 1 07/14/98 04
0410963524 05 09/01/98 25
410963524 N 08/01/28
0
1
1779694 K08/G02 F 38,000.00 ZZ
360 38,000.00 2
645-647 RHOADS AVE 8.625 295.56 76
8.375 295.56 50,000.00
COLUMBUS OH 43205 2 07/07/98 00
0410932438 05 09/01/98 0
410932438 N 08/01/28
0
1779707 K08/G02 F 107,000.00 ZZ
360 106,922.56 1
7119 CLAUDE AVE. E, 7.625 757.34 79
7.375 757.34 136,000.00
INVER GROVE HEI MN 55076 2 07/02/98 00
0410915961 05 08/01/98 0
410915961 O 07/01/28
0
1779729 K08/G02 F 136,500.00 ZZ
360 136,421.46 1
9 STAGECOACH DRIVE 8.750 1,073.85 70
8.500 1,073.85 195,000.00
HOLMDEL NJ 07733 5 07/01/98 00
0410891246 01 08/01/98 0
410891246 N 07/01/28
0
1779732 K08/G02 F 152,000.00 ZZ
360 151,895.39 1
3822 MARTIN ROAD 7.875 1,102.11 78
7.625 1,102.11 196,000.00
DULUTH MN 55803 5 06/08/98 00
0410892731 05 08/01/98 0
410892731 O 07/01/28
0
1779734 K08/G02 F 163,400.00 ZZ
360 163,400.00 4
931/933/935/937 HIDDEN ACRES C 9.500 1,373.96 90
9.250 1,373.96 181,598.00
COLUMBUS OH 43224 1 07/09/98 10
0410931729 05 09/01/98 25
410931729 N 08/01/28
0
1779739 K08/G02 F 51,300.00 ZZ
360 51,300.00 2
1
4100 32ND STREET NORTH 9.000 412.77 90
8.750 412.77 57,000.00
ST. PETERSBURG FL 33714 1 07/13/98 04
0410897649 05 09/01/98 25
410897649 N 08/01/28
0
1779744 E22/G02 F 154,700.00 ZZ
360 154,700.00 1
15210 CC HWY 7.750 1,108.29 65
7.500 1,108.29 238,000.00
HOLT MO 64048 5 07/06/98 00
0410929756 05 09/01/98 0
410929756 O 08/01/28
0
1779745 E22/G02 F 81,600.00 ZZ
360 81,600.00 2
12706 OLD SAN ANTONIO RD 8.250 613.03 80
8.000 613.03 102,000.00
MANCHACA TX 78652 1 07/09/98 00
0410931984 05 09/01/98 0
410931984 O 08/01/28
0
1779746 K08/G02 F 108,000.00 ZZ
360 108,000.00 1
10470 INCA ST 7.750 773.73 80
7.500 773.73 135,000.00
NORTH GLENN CO 80234 1 07/06/98 00
0410927966 05 09/01/98 0
410927966 O 08/01/28
0
1779752 K08/G02 F 132,000.00 ZZ
360 132,000.00 1
4420 RANKIN RD 8.125 980.10 80
7.875 980.10 165,000.00
OKLAHOMA CITY OK 73162 1 07/08/98 00
0410951412 03 09/01/98 0
410951412 O 08/01/28
0
1779771 375/G02 F 89,500.00 ZZ
360 89,435.22 1
6201 WEST CHOLLA STREET 7.625 633.48 78
7.375 633.48 115,000.00
GLENDALE AZ 85304 2 06/25/98 00
0430919340 05 08/01/98 0
1
0047243480 O 07/01/28
0
1779775 420/G02 F 50,000.00 ZZ
360 49,968.11 1
24143 PAIPU ROAD 8.250 375.64 41
8.000 375.64 124,000.00
MI WUK VILLAGE CA 95346 5 06/29/98 00
0430920462 05 08/01/98 0
0000380956 O 07/01/28
0
1779788 638/G02 F 51,100.00 ZZ
360 51,100.00 1
844 DUQUESNE AVENUE 8.250 383.90 70
8.000 383.90 73,000.00
NORTH LAS VEGAS NV 89030 5 07/08/98 00
0430924993 05 09/01/98 0
8767564 N 08/01/28
0
1779793 638/G02 F 93,500.00 ZZ
360 93,500.00 1
1028 LINCOLN AVENUE 7.500 653.77 78
7.250 653.77 120,000.00
LODI CA 95240 5 06/30/98 00
0430925081 05 09/01/98 0
8759816 O 08/01/28
0
1779796 638/G02 F 57,000.00 ZZ
360 57,000.00 3
2501 UNION AVENUE 8.000 418.25 64
7.750 418.25 90,000.00
WESLEYVILLE BOR PA 16510 2 07/16/98 00
0430925156 05 09/01/98 0
8754245 N 08/01/28
0
1779797 638/G02 F 111,920.00 ZZ
360 111,920.00 1
324 ACACIA PLACE 8.125 831.00 80
7.875 831.00 139,900.00
ESCONDIDO CA 92026 1 07/05/98 00
0430932020 05 09/01/98 0
8744125 O 08/01/28
0
1
1779802 J83/G02 F 74,700.00 ZZ
360 74,700.00 1
2808 DOVE 8.250 561.20 90
8.000 561.20 83,000.00
FAYETTEVILLE AR 72704 1 07/01/98 04
0430931139 05 09/01/98 25
257011 N 08/01/28
0
1779808 638/G02 F 44,460.00 ZZ
360 44,460.00 1
1338 NORTH CONCORD AVENUE 8.500 341.86 90
8.250 341.86 49,400.00
SPRINGFIELD MO 65802 1 07/10/98 10
0430923946 05 09/01/98 25
8764012 N 08/01/28
0
1779811 638/G02 F 30,000.00 ZZ
360 30,000.00 2
7532 NORTH 21ST AVENUE 8.250 225.38 53
8.000 225.38 57,000.00
PHOENIX AZ 85021 2 07/08/98 00
0430923557 05 09/01/98 0
8755563 N 08/01/28
0
1779817 K08/G02 F 192,000.00 ZZ
360 192,000.00 1
4971 NORTH HOLLYGLEN CT. 7.750 1,375.51 80
7.500 1,375.51 240,000.00
MOORPARK CA 93021 1 07/23/98 00
0410961916 05 09/01/98 0
410961916 O 08/01/28
0
1780020 K13/G02 F 300,000.00 ZZ
360 300,000.00 4
4532 WEST 17TH STREET 8.500 2,306.75 94
8.250 2,306.75 320,000.00
LOS ANGELES CA 90019 1 07/15/98 10
0430927202 05 09/01/98 30
39807184 O 08/01/28
0
1780036 940/G02 F 172,800.00 ZZ
360 172,800.00 1
1536 NORTH LAUREL AVENUE 7.875 1,252.92 80
7.625 1,252.92 216,000.00
1
UPLAND CA 91786 1 07/21/98 00
0430951558 05 09/01/98 0
53577 O 08/01/28
0
1780039 A35/G02 F 169,600.00 ZZ
360 169,600.00 1
40-01 172ND STREET 8.125 1,259.28 80
7.875 1,259.28 212,000.00
FLUSHING NY 11358 1 07/08/98 00
0430921973 05 09/01/98 0
FWW3995 O 08/01/28
0
1780064 637/G02 F 225,000.00 ZZ
360 224,863.69 1
2608 SW 52ND LANE 8.500 1,730.06 75
8.250 1,730.06 300,000.00
CAPE CORAL FL 33914 5 06/05/98 00
0430921668 05 08/01/98 0
0012104899 O 07/01/28
0
1780077 G51/G02 F 49,500.00 ZZ
360 49,500.00 1
527 TWENTY FIRST STREET 8.875 393.85 90
8.625 393.85 55,500.00
NIAGARA FALLS NY 14301 1 07/23/98 10
0430925388 05 09/01/98 25
UNKNOWN N 08/01/28
0
1780078 F30/G02 F 212,600.00 ZZ
360 212,600.00 1
682 ANVIL COURT 7.250 1,450.31 79
7.000 1,450.31 272,500.00
SAN JOSE CA 95133 1 07/17/98 00
0430920819 05 09/01/98 0
80553 O 08/01/28
0
1780085 G51/G02 F 52,200.00 ZZ
360 52,200.00 1
41 TODD AVE 8.750 410.66 90
8.500 410.66 58,000.00
JAMESTOWN NY 14701 1 07/21/98 04
0430925024 05 09/01/98 25
283089 N 08/01/28
0
1
1780092 637/G02 F 46,800.00 ZZ
360 46,773.07 1
225 BLATCHLEY AVENUE 8.750 368.18 90
8.500 368.18 52,000.00
NEW HAVEN CT 06513 1 06/09/98 11
0430928176 05 08/01/98 30
0011422367 O 07/01/28
0
1780093 E45/G02 F 32,000.00 ZZ
360 31,978.53 1
2049 W GARDENIA DR 8.000 234.80 80
7.750 234.80 40,000.00
CITREUS SPGS FL 34434 1 06/30/98 00
0430922377 05 08/01/98 0
40651 O 07/01/28
0
1780095 637/G02 F 70,155.00 ZZ
360 70,112.49 1
717 SPRINGLAKE DRIVE 8.500 539.44 90
8.250 539.44 77,950.00
GARLAND TX 75043 3 06/05/98 11
0430928168 05 08/01/98 25
0011743267 N 07/01/28
0
1780097 A50/A50 F 36,400.00 ZZ
360 36,372.99 1
8580 OLYMPIA ROAD 7.500 254.51 70
7.250 254.51 52,000.00
PENSACOLA FL 32514 5 06/10/98 00
108759 05 08/01/98 0
108759 N 07/01/28
0
1780098 637/G02 F 83,000.00 ZZ
360 82,939.93 1
299 PALISADES ROAD 7.625 587.47 55
7.375 587.47 152,000.00
PALISADES WA 98845 5 06/10/98 00
0430930214 05 08/01/98 0
0010462513 O 07/01/28
0
1780099 H93/G02 F 44,000.00 ZZ
360 43,973.35 1
1
2304 GREENWOOD DRIVE 8.500 338.32 80
8.250 338.32 55,000.00
PORTSMOUTH VA 23702 1 07/01/98 00
0430923417 05 08/01/98 0
9845226 N 07/01/28
0
1780101 637/G02 F 83,500.00 ZZ
240 83,310.20 4
285 PINE STREET 7.500 672.67 76
7.250 672.67 110,000.00
BANGOR ME 04401 2 06/17/98 00
0430924605 05 08/01/98 0
0012314134 N 07/01/18
0
1780102 E45/G02 F 63,900.00 ZZ
360 63,861.28 2
3334-3336 CLARK ROAD 8.500 491.34 90
8.250 491.34 71,000.00
SARASOTA FL 34231 1 06/30/98 04
0430921528 05 08/01/98 35
40052 N 07/01/28
0
1780103 B75/G02 F 105,600.00 ZZ
360 105,525.47 1
1814 OAKEDGE DRIVE 7.750 756.53 80
7.500 756.53 132,000.00
PEARLAND TX 77581 1 06/19/98 00
0430926576 05 08/01/98 0
B75 O 07/01/28
0
1780104 637/G02 F 144,000.00 ZZ
360 143,881.96 1
2206 BONAR STREET 7.000 958.04 80
6.750 958.04 180,000.00
BERKELEY CA 94702 5 06/01/98 00
0430924498 05 08/01/98 0
9081746 O 07/01/28
0
1780105 E09/G02 F 130,500.00 ZZ
360 130,500.00 1
1246 EMERALD CREST STREET 7.625 923.67 80
7.375 923.67 163,140.00
HENDERSON NV 89012 1 07/23/98 00
0430922872 05 09/01/98 0
1
01003352 O 08/01/28
0
1780108 E45/G02 F 63,250.00 ZZ
360 63,250.00 2
3728 VILLA FRANCA AVENUE 8.000 464.11 55
7.750 464.11 115,000.00
SARASOTA FL 34239 1 07/03/98 00
0430921585 05 09/01/98 0
40539 N 08/01/28
0
1780112 B75/G02 F 153,750.00 T
360 153,651.96 1
4583 CORRALES ROAD 8.250 1,155.07 65
8.000 1,155.07 237,000.00
CORRALES NM 87048 2 06/22/98 00
0430923755 05 08/01/98 0
7361017 O 07/01/28
0
1780123 B75/G02 F 96,400.00 ZZ
360 96,331.96 1
534 IVES CIRCLE 7.750 690.62 80
7.500 690.62 120,510.00
LILBURN GA 30047 1 06/18/98 00
0430929059 03 08/01/98 0
7987951 O 07/01/28
0
1780124 964/G02 F 224,950.00 ZZ
360 224,950.00 1
5 TOMASINI CANYON ROAD 7.750 1,611.57 69
7.500 1,611.57 330,000.00
POINT REYES STA CA 94956 5 07/01/98 00
0430924332 05 09/01/98 0
38445 O 08/01/28
0
1780171 267/267 F 176,000.00 ZZ
360 176,000.00 1
315 WISTERIA DRIVE 7.000 1,170.94 80
6.750 1,170.94 220,000.00
EAST PALO ALTO CA 94303 1 06/29/98 00
4261195 05 09/01/98 0
4261195 O 08/01/28
0
1
1780195 E22/G02 F 49,300.00 ZZ
360 49,300.00 1
706 SCEPTRE CIRCLE 8.625 383.45 90
8.375 383.45 54,800.00
GARLAND TX 75043 1 07/14/98 10
0410962245 05 09/01/98 25
410962245 N 08/01/28
0
1780197 E22/G02 F 117,000.00 ZZ
360 117,000.00 4
131 CHURCH 9.125 951.95 89
8.875 951.95 132,000.00
MT CLEMENS MI 48043 1 07/03/98 04
0410899819 05 09/01/98 25
410899819 N 08/01/28
0
1780200 K08/G02 F 56,000.00 ZZ
360 56,000.00 1
307 EAGLE AVENUE 8.625 435.56 70
8.375 435.56 80,000.00
KREMMLING CO 80459 5 07/24/98 00
0410947378 05 09/01/98 0
410947378 N 08/01/28
0
1780212 737/G02 F 100,000.00 ZZ
360 100,000.00 1
617 CHERRY ST 8.000 733.76 80
7.750 733.76 125,000.00
FORT COLLINS CO 80521 2 07/14/98 00
0430958447 05 09/01/98 0
587301 O 08/01/28
0
1780226 225/225 F 110,000.00 ZZ
360 110,000.00 1
4347 WEST ROSCOE 8.250 826.40 85
8.000 826.40 130,000.00
CHICAGO IL 60641 5 07/06/98 12
7038454 05 09/01/98 12
7038454 O 08/01/28
0
1780232 225/225 F 91,500.00 ZZ
360 91,500.00 1
635 STONEQUARRY ROAD 8.125 679.39 75
7.875 679.39 122,000.00
1
DAYTON OH 45414 2 07/09/98 00
7035510 05 09/01/98 0
7035510 N 08/01/28
0
1780244 H84/G02 F 196,000.00 ZZ
360 196,000.00 1
3046 ANN STREET 8.500 1,507.08 80
8.250 1,507.08 245,000.00
BALDWIN NY 11510 1 07/16/98 00
0430927624 05 09/01/98 0
19808096 O 08/01/28
0
1780253 822/G02 F 252,000.00 ZZ
360 251,847.33 1
1511 ROLLER ROAD 8.500 1,937.67 80
8.250 1,937.67 318,000.00
WAYSIDE NJ 07712 2 06/24/98 00
0430923326 05 08/01/98 0
3656000627 O 07/01/28
0
1780254 721/G02 F 61,600.00 ZZ
360 61,561.72 1
41054 SOUTHWIND DRIVE 8.375 468.20 70
8.125 468.20 88,000.00
CANTON MI 48188 5 06/30/98 00
0430949180 01 08/01/98 0
980963DF N 07/01/28
0
1780280 K08/G02 F 110,000.00 ZZ
360 109,926.19 1
1021 BLUFFS CIRCLE 8.000 807.14 80
7.750 807.14 137,500.00
DUNEDIN FL 34698 1 07/02/98 00
0410926182 03 08/01/98 0
410926182 O 07/01/28
0
1780282 K08/G02 F 116,910.00 T
360 116,910.00 1
2744 CHINCHILLA DRIVE 8.500 898.94 90
8.250 898.94 129,900.00
WILMINGTON DE 19810 1 07/17/98 11
0410914626 05 09/01/98 25
410914626 O 08/01/28
0
1
1780287 K08/G02 F 78,400.00 ZZ
360 78,353.71 1
12931 TREE WAY LANE 8.625 609.79 70
8.375 609.79 112,000.00
JACKSONVILLE FL 32223 5 07/01/98 00
0410905517 05 08/01/98 0
410905517 N 07/01/28
0
1780293 K08/G02 F 110,800.00 ZZ
360 110,800.00 1
29 BIRNAMWOOD DRIVE 7.875 803.38 80
7.625 803.38 138,500.00
BURNSVILLE MN 55337 1 07/22/98 00
0410967137 03 09/01/98 0
410967137 O 08/01/28
0
1780297 K08/G02 F 180,000.00 ZZ
360 180,000.00 3
1509 SEDGWICK 8.625 1,400.02 31
8.375 1,400.02 590,000.00
CHICAGO IL 60610 5 07/13/98 00
0410961866 05 09/01/98 0
410961866 O 08/01/28
0
1780298 K08/G02 F 111,120.00 ZZ
360 111,120.00 1
19523 BARWICK DRIVE 7.625 786.50 80
7.375 786.50 138,900.00
SPRING TX 77373 1 07/20/98 00
0410956452 03 09/01/98 0
410956452 O 08/01/28
0
1780299 K08/G02 F 93,600.00 ZZ
360 93,600.00 1
24 KENDAL RD. 8.625 728.01 90
8.375 728.01 104,000.00
AMARILLO TX 79124 1 07/13/98 10
0410946289 05 09/01/98 25
410946289 N 08/01/28
0
1780302 E22/G02 F 128,800.00 ZZ
360 128,800.00 1
1
110 LARKSPUR ROAD 7.750 922.74 80
7.500 922.74 161,000.00
COLUMBIA SC 29212 1 07/17/98 00
0410959514 05 09/01/98 0
410959514 O 08/01/28
0
1780303 K08/G02 F 140,400.00 ZZ
360 140,400.00 1
13924 TANGLEWOOD PLACE 8.125 1,042.47 80
7.875 1,042.47 175,500.00
FARMERS BRANCH TX 75234 1 07/22/98 00
0410970784 05 09/01/98 0
410970784 O 08/01/28
0
1780319 K08/G02 F 50,400.00 ZZ
360 50,373.17 1
3301 BRIARWOOD 9.125 410.08 90
8.875 410.08 56,000.00
FLINT MI 48507 1 06/18/98 04
0410925911 05 08/01/98 25
410925911 N 07/01/28
0
1780322 K08/G02 F 87,200.00 ZZ
360 87,200.00 1
387 FRED SUTTON ROAD 7.125 587.48 80
6.875 587.48 109,000.00
WHITTIER NC 28789 5 07/13/98 00
0410902639 05 09/01/98 0
410902639 O 08/01/28
0
1780324 E22/G02 F 68,000.00 ZZ
360 68,000.00 1
36 LAKE VIEW TERRACE 8.125 504.90 80
7.875 504.90 85,000.00
OAKLAND NJ 07436 1 07/20/98 00
0410922116 05 09/01/98 0
410922116 N 08/01/28
0
1780328 K08/G02 F 48,100.00 ZZ
360 48,067.73 1
3349 CIMARRON DRIVE 8.000 352.94 62
7.750 352.94 78,500.00
ORLANDO FL 32829 5 06/26/98 00
0410925937 05 08/01/98 0
1
410925937 O 07/01/28
0
1780348 K08/G02 F 64,800.00 ZZ
360 64,800.00 1
89 DEER CREEK ROAD K-110 8.500 498.26 90
8.250 498.26 72,000.00
DEERFIELD BEACH FL 33442 2 07/17/98 04
0410948764 01 09/01/98 25
410948764 N 08/01/28
0
1780351 K08/G02 F 90,000.00 ZZ
360 90,000.00 1
1808 GREYSON DRIVE 8.125 668.25 94
7.875 668.25 96,000.00
ROUND ROCK TX 78664 1 07/07/98 04
0410943401 05 09/01/98 30
410943401 O 08/01/28
0
1780352 K08/G02 F 157,600.00 ZZ
360 157,600.00 1
118 HERMAN HARRISON DRIVE 7.750 1,129.07 80
7.500 1,129.07 197,050.00
HENDERSONVILLE TN 37075 1 07/15/98 00
0410913834 05 09/01/98 0
410913834 O 08/01/28
0
1780353 K08/G02 F 52,800.00 ZZ
360 52,800.00 1
3021 SEABROOK AVENUE 8.000 387.43 80
7.750 387.43 66,000.00
ORLANDO FL 32805 1 07/13/98 00
0410910640 05 09/01/98 0
410910640 N 08/01/28
0
1780354 K08/G02 F 112,000.00 T
360 112,000.00 1
415 EAST BEACH DRIVE #302 7.625 792.73 80
7.375 792.73 140,000.00
GALVESTON TX 77550 1 07/09/98 00
0410930812 22 09/01/98 0
410930812 O 08/01/28
0
1
1780358 E22/G02 F 210,000.00 ZZ
360 210,000.00 4
3373 SOUTH ALCOTT STREET 9.000 1,689.71 75
8.750 1,689.71 280,000.00
ENGLEWOOD CO 80110 1 07/23/98 00
0410936843 05 09/01/98 0
410936843 N 08/01/28
0
1780461 K08/G02 F 178,000.00 ZZ
360 178,000.00 1
4206 SWEETBAY DRIVE 8.125 1,321.64 80
7.875 1,321.64 222,500.00
BETHEL PARK PA 15102 1 07/16/98 00
0410948400 05 09/01/98 0
410948400 O 08/01/28
0
1780471 E22/G02 F 184,000.00 ZZ
360 184,000.00 1
1431 NUSBAUM ROAD 7.875 1,334.13 80
7.625 1,334.13 230,000.00
DURANGO CO 81301 2 07/22/98 00
0410938039 05 09/01/98 0
410938039 O 08/01/28
0
1780484 163/G02 F 138,500.00 ZZ
360 138,500.00 1
4433 83RD AVE 7.750 992.23 66
7.500 992.23 210,000.00
CORAL SPRINGS FL 33065 2 07/02/98 00
0430929166 05 09/01/98 0
0216224612 O 08/01/28
0
1780496 480/G02 F 114,750.00 ZZ
360 114,678.68 1
6709 MELODY LANE 8.375 872.18 90
8.125 872.18 127,500.00
CHARLOTTE NC 28215 4 06/17/98 14
0430924746 05 08/01/98 25
2065803 N 07/01/28
0
1780497 638/G02 F 161,250.00 ZZ
360 161,250.00 4
771 GRAY ROAD 8.500 1,239.87 85
8.250 1,239.87 189,750.00
1
GORHAM ME 04038 1 07/08/98 14
0430927350 05 09/01/98 20
8765298 N 08/01/28
0
1780498 638/G02 F 116,000.00 ZZ
360 116,000.00 2
650-652 SOUTH COUNTY TRAIL 8.500 891.94 90
8.250 891.94 130,000.00
NORTH KINGSTOWN RI 02852 1 07/08/98 14
0430927384 05 09/01/98 25
8762976 N 08/01/28
0
1780501 638/G02 F 300,000.00 ZZ
360 300,000.00 3
1523 PRINCE STREET 7.875 2,175.21 73
7.625 2,175.21 414,000.00
BERKELEY CA 94703 5 07/06/98 00
0430926295 05 09/01/98 0
8751878 O 08/01/28
0
1780502 638/G02 F 120,000.00 ZZ
360 120,000.00 1
123 BURBANK AVENUE 8.250 901.52 80
8.000 901.52 150,000.00
STRATFORD CT 06497 1 07/08/98 00
0430927269 05 09/01/98 0
8762941 N 08/01/28
0
1780503 638/G02 F 81,900.00 ZZ
360 81,900.00 1
14547 CHEVALIER AVENUE 8.500 629.74 90
8.250 629.74 91,000.00
BALDWIN PARK CA 91706 1 07/16/98 04
0430954297 05 09/01/98 25
8770438 O 08/01/28
0
1780504 638/G02 F 96,100.00 ZZ
360 96,100.00 3
216-218 LAUREL STREET 8.625 747.46 90
8.375 747.46 106,800.00
MANCHESTER NH 03103 1 07/08/98 14
0430927319 05 09/01/98 25
8755505 N 08/01/28
0
1
1780509 638/G02 F 142,800.00 ZZ
360 142,800.00 3
135 WASHINGTON AVENUE 8.250 1,072.81 85
8.000 1,072.81 168,000.00
OAKMONT BOROUGH PA 15139 2 07/14/98 04
0430927228 05 09/01/98 12
8760750 O 08/01/28
0
1780511 638/G02 F 75,200.00 ZZ
360 75,200.00 3
15 SHANNON STREET 8.625 584.90 80
8.375 584.90 94,000.00
WORCESTER MA 01604 1 07/09/98 00
0430926923 05 09/01/98 0
8745552 N 08/01/28
0
1780530 003/G02 F 113,400.00 ZZ
360 113,400.00 1
17 RED FOX TRAIL 8.500 871.95 90
8.250 871.95 126,000.00
KINGSTON GA 30145 1 07/21/98 12
0430950642 05 09/01/98 25
0010519387 N 08/01/28
0
1780622 940/G02 F 108,000.00 ZZ
360 108,000.00 1
24507 CAMINO MERIDIANA 7.750 773.73 80
7.500 773.73 135,000.00
MURRIETA CA 92562 1 07/21/98 00
0430929927 05 09/01/98 0
62137 O 08/01/28
0
1780637 E23/G02 F 114,400.00 ZZ
360 114,400.00 1
24576 NORTH PALM AVENUE 7.875 829.48 80
7.625 829.48 143,000.00
HEMET CA 92543 1 07/22/98 00
0430930271 05 09/01/98 0
50503491 O 08/01/28
0
1780641 907/G02 F 168,000.00 ZZ
360 168,000.00 1
1
5 BELVEDERE ROAD 8.125 1,247.40 80
7.875 1,247.40 210,000.00
COLD SPRING NY 10516 1 07/22/98 00
0430931949 05 09/01/98 0
10003213 O 08/01/28
0
1780657 225/225 F 51,750.00 ZZ
360 51,715.27 1
3733 EAST SHEPHERD PLACE 8.000 379.73 90
7.750 379.73 57,500.00
TUCSON AZ 85713 1 06/16/98 04
7032344 05 08/01/98 25
7032344 N 07/01/28
0
1780658 676/676 F 368,000.00 ZZ
360 367,712.92 1
1164 KEALAOLU AVENUE 7.250 2,510.41 43
7.000 2,510.41 865,000.00
HONOLULU HI 96816 5 06/24/98 00
860100301291 05 08/01/98 0
860100301291 O 07/01/28
0
1780687 225/225 F 94,500.00 T
360 94,500.00 1
7 OAK PLACE 8.250 709.95 70
8.000 709.95 135,000.00
LAKE PEEKSKILL NY 10537 5 07/22/98 00
7035833 05 09/01/98 0
7035833 O 08/01/28
0
1780748 225/225 F 94,500.00 ZZ
360 94,259.01 4
5500-02 WEST THOMAS 8.375 718.27 90
8.125 718.27 105,000.00
CHICAGO IL 60651 1 03/23/98 04
7009679 05 05/01/98 25
7009679 N 04/01/28
0
1780769 830/G02 F 128,100.00 ZZ
360 128,100.00 1
219-225 WEST FOXBRIDGE DRIVE 8.000 939.95 61
7.750 939.95 211,000.00
MIDVALE UT 84047 1 07/08/98 00
0430953927 05 09/01/98 0
1
538337 N 08/01/28
0
1780772 225/225 F 98,400.00 ZZ
360 98,400.00 1
147 SHOREWOOD DRIVE UNIT 29-7 8.000 722.03 80
7.750 722.03 123,000.00
GLENDALE HEIGHT IL 60139 2 07/10/98 00
0000 01 09/01/98 0
0000 O 08/01/28
0
1780775 624/G02 F 117,850.00 ZZ
360 117,850.00 1
44231 FIR ROAD 8.000 864.74 90
7.750 864.74 130,950.00
GOLD BAR WA 98251 1 07/17/98 01
0430925115 03 09/01/98 25
85040881043 O 08/01/28
0
1780779 927/G02 F 210,000.00 ZZ
360 210,000.00 1
1011 224TH AVENUE NORTHEAST 7.500 1,468.36 79
7.250 1,468.36 267,000.00
REDMOND WA 98053 2 07/10/98 00
0430926493 03 09/01/98 0
386060 O 08/01/28
0
1780787 950/G02 F 127,500.00 ZZ
360 127,500.00 1
7820 SAPPHIRE DRIVE SOUTHWEST 8.250 957.86 85
8.000 957.86 150,000.00
TACOMA WA 98498 2 07/14/98 11
0430925594 05 09/01/98 12
401980709046 O 08/01/28
0
1780790 470/G02 F 270,000.00 ZZ
360 269,809.43 1
3118 WAVERLY DRIVE 7.750 1,934.32 80
7.500 1,934.32 339,000.00
LOS ANGELES CA 90027 5 06/26/98 00
0430928648 05 08/01/98 0
01181998 O 07/01/28
0
1
1780799 225/225 F 96,000.00 ZZ
360 96,000.00 1
RR 1 BOX 166 7.625 679.49 80
7.375 679.49 120,000.00
BUTLER KY 41006 2 07/01/98 00
7028957 05 09/01/98 0
7028957 O 08/01/28
0
1780801 A53/G02 F 161,500.00 ZZ
360 161,500.00 1
12748 SO. ELIZABETH DRIVE 8.125 1,199.14 95
7.875 1,199.14 170,000.00
PLAINFIELD IL 60544 2 07/01/98 04
0430954081 05 09/01/98 25
0290033005 O 08/01/28
0
1780806 757/G02 F 74,700.00 ZZ
360 74,700.00 1
114 COUNTY ROAD 723 8.000 548.13 65
7.750 548.13 115,000.00
ATHENS TN 37303 5 07/24/98 00
0430928069 05 09/01/98 0
3568060 N 08/01/28
0
1780848 A35/G02 F 105,300.00 ZZ
360 105,300.00 1
70 CRAVEN STREET 8.250 791.08 90
8.000 791.08 117,000.00
HUNTINGTON STAT NY 11746 1 07/22/98 10
0430925560 05 09/01/98 25
FWW3998 N 08/01/28
0
1780902 964/G02 F 208,000.00 ZZ
360 208,000.00 1
1875 VIRGINIA AVNEUE 7.625 1,472.21 80
7.375 1,472.21 260,000.00
NOVATO CA 94945 1 07/20/98 00
0430927418 05 09/01/98 0
39465 O 08/01/28
0
1780955 E86/G02 F 178,600.00 ZZ
360 178,238.10 3
374 BLEEKER STREET 8.000 1,310.50 95
7.750 1,310.50 188,000.00
1
BROOKLYN NY 11237 1 04/30/98 04
0430947572 05 06/01/98 30
0000 O 05/01/28
0
1780986 K08/G02 F 35,000.00 ZZ
360 35,000.00 1
2606 LYNCH STREET 8.625 272.23 88
8.375 272.23 40,000.00
CORPUS CHRISTI TX 78404 2 07/23/98 10
0410841753 05 09/01/98 25
410841753 N 08/01/28
0
1781016 E22/G02 F 1,000,000.00 ZZ
360 1,000,000.00 1
1143 EAST 7TH STREET 8.750 7,867.00 35
8.500 7,867.00 2,900,000.00
BROOKLYN NY 11223 5 07/07/98 00
0410924385 05 09/01/98 0
410924385 O 08/01/28
0
1781017 K08/G02 F 135,000.00 ZZ
360 135,000.00 1
600 SW 106 AVENUE 8.250 1,014.21 75
8.000 1,014.21 181,000.00
SWEETWATER FL 33174 5 07/13/98 00
0410927586 05 09/01/98 0
410927586 O 08/01/28
0
1781087 830/G02 F 64,800.00 ZZ
360 64,800.00 1
1274 ASHWORTH DRIVE 7.625 458.65 90
7.375 458.65 72,000.00
APOPKA FL 32703 2 07/18/98 11
0430952754 03 09/01/98 25
538319 N 08/01/28
0
1781142 B57/G02 F 250,000.00 ZZ
360 250,000.00 1
22419 GILMORE STREET 7.875 1,812.68 65
WEST HILLS AREA 7.625 1,812.68 385,000.00
LOS ANGELES CA 91307 5 07/08/98 00
0430953067 05 09/01/98 0
9811133 O 08/01/28
0
1
1781174 904/G02 F 92,000.00 ZZ
360 92,000.00 1
722 EAST 1000 NORTH WILLOW WAY 7.750 659.10 52
7.500 659.10 178,000.00
HEBER CITY UT 84032 5 07/27/98 00
0430931527 05 09/01/98 0
UNKNOWN O 08/01/28
0
1781180 A14/G02 F 54,810.00 ZZ
360 54,810.00 1
2807 BOATNER STREET 8.250 411.77 90
8.000 411.77 60,900.00
TALLAHASSEE FL 32310 1 07/23/98 10
0430929109 05 09/01/98 25
109916 N 08/01/28
0
1781181 B57/G02 F 135,000.00 ZZ
360 135,000.00 1
989 EAST CALIFORNIA BOULEVARD 7.750 967.16 79
#9 7.500 967.16 172,000.00
PASADENA CA 91106 2 07/21/98 00
0430929679 01 09/01/98 0
9830433 N 08/01/28
0
1781185 B57/G02 F 150,000.00 T
360 150,000.00 1
4709 SANDYLAND ROAD #12 7.875 1,087.61 20
7.625 1,087.61 750,000.00
CARPINTERIA CA 93013 5 07/08/98 00
0430929646 01 09/01/98 0
9812616 O 08/01/28
0
1781196 575/G02 F 50,000.00 ZZ
240 50,000.00 2
58-60 HALDY AVENUE 8.375 429.97 67
8.125 429.97 75,000.00
COLUMBUS OH 43204 5 07/20/98 00
0430954024 05 09/01/98 0
661403 N 08/01/18
0
1781214 E86/G02 F 196,800.00 ZZ
360 196,800.00 1
1
3192 VALHALLA DRIVE 8.000 1,444.05 80
7.750 1,444.05 246,000.00
BRONX NY 10465 1 07/28/98 00
0430932384 05 09/01/98 0
28859 O 08/01/28
0
1781262 J33/G02 F 45,000.00 ZZ
360 45,000.00 1
508 OLDE MILL ROAD 8.125 334.13 90
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NORCROSS GA 30093 1 07/16/98 10
0430953620 01 09/01/98 30
9803030472 N 08/01/28
0
1781415 E82/G02 F 83,700.00 ZZ
360 83,700.00 4
4203 NORENE LANE 8.500 643.58 90
8.250 643.58 93,000.00
LOUISVILLE KY 40219 1 07/31/98 04
0400137220 05 09/01/98 25
13722C3HC N 08/01/28
0
1781489 637/G02 F 98,700.00 ZZ
360 98,637.06 3
406 SARATOGA STREET 8.250 741.50 70
8.000 741.50 141,000.00
EAST BOSTON MA 02128 5 06/12/98 00
0430955625 05 08/01/98 0
8535635 N 07/01/28
0
1781527 E82/G02 F 83,250.00 ZZ
360 83,250.00 2
2433 GARFIELD AVENUE SOUTH 8.375 632.76 90
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MINNEAPOLIS MN 55405 1 07/30/98 04
0400131561 05 09/01/98 25
0400131561 N 08/01/28
0
1781542 637/G02 F 99,200.00 ZZ
360 99,133.43 2
238 EVERETT STREET 8.000 727.90 80
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EAST BOSTON MA 02128 2 06/12/98 00
0430955369 05 08/01/98 0
1
8535627 N 07/01/28
0
1781547 637/G02 F 290,500.00 ZZ
360 290,067.47 1
30710 NW NORTHRUP ROAD 7.500 2,031.22 66
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HILLSBORO OR 97124 2 05/15/98 00
0430955732 05 07/01/98 0
0010852028 O 06/01/28
0
1781550 387/387 F 135,000.00 ZZ
360 133,861.74 1
53710 EAST HIGHWAY 36 8.250 1,014.21 57
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BENNETT CO 80102 2 08/29/97 00
0001168293 05 10/01/97 0
0001168293 N 09/01/27
0
1781566 420/G02 F 223,250.00 ZZ
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1042-1046 ELGIN STREET 8.000 1,638.13 95
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SAN LORENZO CA 94580 1 07/01/98 10
0430927129 05 09/01/98 30
0000381442 O 08/01/28
0
1781577 666/G02 F 192,000.00 ZZ
360 192,000.00 1
1564 ACAPULCO COURT 6.875 1,261.30 80
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SIMI VALLEY CA 93065 2 07/10/98 00
0430926501 05 09/01/98 0
592021 O 08/01/28
0
1781605 765/G02 F 256,000.00 ZZ
360 256,000.00 1
5207 SCOTT STREET 7.875 1,856.18 80
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TORRANCE CA 90503 5 07/15/98 00
0430948885 05 09/01/98 0
335447 O 08/01/28
0
1
1781652 K08/G02 F 66,600.00 ZZ
360 66,600.00 1
1157 CEDAR COURT UNIT # 2B 7.625 471.39 90
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GLENDALE HEIGHT IL 60139 2 07/25/98 10
0410959670 01 09/01/98 25
410959670 N 08/01/28
0
1781691 K08/G02 F 145,800.00 ZZ
360 145,800.00 4
4108 DELAWARE AVE. 8.750 1,147.01 90
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KENNER LA 70065 1 07/28/98 04
0410964837 05 09/01/98 25
410964837 N 08/01/28
0
1781733 A39/G02 F 262,400.00 ZZ
360 262,400.00 1
23327 WELLER PLACE 7.875 1,902.58 80
7.625 1,902.58 328,000.00
WOODLAND HILLS CA 91367 1 07/14/98 00
0430932368 05 09/01/98 0
9801125 O 08/01/28
0
1781735 822/G02 F 184,000.00 ZZ
360 184,000.00 3
330 ACADEMY STREET 8.125 1,366.20 80
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SOUTH ORANGE NJ 07079 1 07/10/98 00
0430932798 05 09/01/98 0
1206009740 N 08/01/28
0
1781739 K08/G02 F 33,600.00 ZZ
360 33,600.00 1
2021 DUNBAR DRIVE 8.750 264.33 80
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COLUMBUS OH 43224 2 07/16/98 00
0410934467 05 09/01/98 0
410934467 N 08/01/28
0
1781811 M31/G02 F 28,000.00 ZZ
360 28,000.00 1
1412 LONG AVENUE 8.375 212.82 70
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1
XXXX XXXXX XX 00000 5 07/22/98 00
0430952382 05 09/01/98 0
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0
1781825 225/225 F 99,900.00 ZZ
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7030008 05 09/01/98 25
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1781868 K88/G02 F 109,000.00 ZZ
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XXX XXXXXXXXX XX 00000 1 07/31/98 04
0430958579 05 09/01/98 20
8090 N 08/01/28
0
1781908 E82/G02 F 221,000.00 ZZ
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XXXXXXXXXX XX 00000 5 07/29/98 00
0400135588 05 09/01/98 0
0400135588 O 08/01/28
0
1782021 E23/G02 F 138,000.00 ZZ
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0430948505 05 09/01/98 0
50503769 O 08/01/28
0
1782022 168/168 F 62,000.00 ZZ
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0189350245 05 09/01/98 0
0189350245 N 08/01/28
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1
1782048 003/G02 F 156,000.00 ZZ
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0430953372 05 09/01/98 0
10507952 O 08/01/28
0
1782070 E22/G02 F 50,000.00 ZZ
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0410911879 05 09/01/98 0
410911879 N 08/01/28
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1782136 575/G02 F 86,500.00 ZZ
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0430929158 03 09/01/98 0
9113994 N 08/01/28
0
1782137 575/G02 F 86,500.00 ZZ
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0430929174 03 09/01/98 0
9071606 N 08/01/28
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1782139 575/G02 F 76,500.00 ZZ
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0430929182 05 09/01/98 25
9134578 N 08/01/28
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1782141 637/G02 F 107,900.00 ZZ
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0430958199 05 08/01/98 25
4245312 O 07/01/28
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1782165 638/G02 F 171,900.00 ZZ
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630 NORTH XXXXX COURT 7.875 1,246.39 80
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8691931 O 08/01/28
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1782175 638/G02 F 123,300.00 ZZ
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0430944363 05 09/01/98 25
8761679 N 08/01/28
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1782300 168/168 F 63,900.00 ZZ
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2665762 286/286 F 100,000.00 ZZ
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2665764 286/286 F 45,000.00 ZZ
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0000 XXXX XXXX XX 8.000 591.05 90
7.750 591.05 89,500.00
XX XXXX XX 00000 1 07/06/98 11
0008640479 01 09/01/98 25
0008640479 N 08/01/28
0
2665767 286/286 F 132,000.00 ZZ
360 131,902.03 4
1352 XXXXX XXXXXX DR 7.500 922.97 80
7.250 922.97 165,000.00
XX XXXX XX 00000 1 06/05/98 00
0008640487 05 08/01/98 0
0008640487 N 07/01/28
0
2665768 286/286 F 132,000.00 ZZ
360 131,902.03 4
1344 XXXXX XXXXXX DR 7.500 922.97 80
7.250 922.97 165,000.00
XX XXXX XX 00000 1 06/05/98 00
0008640488 05 08/01/98 0
0008640488 N 07/01/28
0
2665771 286/286 F 96,800.00 ZZ
360 96,413.56 1
000 XXXXXXXX XX 8.125 718.74 80
7.875 718.74 121,000.00
PANAMA CITY FL 32404 2 01/28/98 00
0008645975 05 03/01/98 0
0008645975 O 02/01/28
0
2665773 286/286 F 65,250.00 ZZ
360 65,210.47 1
1913 DEWITT ST 8.500 501.72 90
8.250 501.72 72,500.00
PANAMA CITY FL 32401 1 07/01/98 11
0008646137 05 08/01/98 25
0008646137 N 07/01/28
0
2665775 286/286 F 130,000.00 ZZ
360 129,610.45 1
3839 JEFFERSON BLVD 7.500 908.98 55
7.250 908.98 240,000.00
1
VIRGINIA BEACH VA 23455 2 03/23/98 00
0008648268 05 05/01/98 0
0008648268 O 04/01/28
0
2665777 286/286 F 126,000.00 ZZ
360 125,838.75 3
178 PARK ST 8.250 946.60 90
8.000 946.60 140,000.00
ATTLEBORO MA 02703 1 05/28/98 11
0008649743 05 07/01/98 25
0008649743 N 06/01/28
0
2665778 286/286 F 97,200.00 ZZ
360 97,141.11 1
14207 NE RUSSELL ST 8.500 747.39 72
8.250 747.39 136,000.00
PORTLAND OR 97230 2 06/30/98 00
0008650683 05 08/01/98 0
0008650683 N 07/01/28
0
2665782 286/286 F 349,400.00 ZZ
360 348,879.76 1
5462 EVALINE LN 7.500 2,443.06 54
7.250 2,443.06 650,000.00
LAS VEGAS NV 89120 2 05/28/98 00
0008651800 05 07/01/98 0
0008651800 O 06/01/28
0
2665784 286/286 F 95,000.00 ZZ
360 94,932.94 1
2412 TEABERRY GLEN 7.750 680.60 80
7.500 680.60 120,000.00
ESCONDIDO CA 92027 2 06/29/98 00
0008654810 03 08/01/98 0
0008654810 O 07/01/28
0
2665787 286/286 F 117,000.00 ZZ
360 116,929.12 3
134 FOREST AVE 8.500 899.63 90
8.250 899.63 130,000.00
BROCKTON MA 02401 2 06/15/98 11
0008677044 05 08/01/98 25
0008677044 O 07/01/28
0
1
2665788 286/286 F 227,150.00 ZZ
360 227,008.81 1
1630 HIGH ST 8.375 1,726.51 83
8.125 1,726.51 275,000.00
WESTWOOD MA 02090 1 06/25/98 11
0008677097 05 08/01/98 19
0008677097 O 07/01/28
0
2665789 286/286 F 213,000.00 ZZ
360 212,864.18 1
92 WATERPOINTE LN 8.250 1,600.20 38
8.000 1,600.20 575,000.00
DAWSONVILLE GA 30534 2 06/08/98 00
0008696802 05 08/01/98 0
0008696802 O 07/01/28
0
2665791 286/286 F 123,200.00 ZZ
360 123,200.00 1
15787 MCCALLUM DR 7.750 882.62 80
7.500 882.62 154,000.00
DOYLESTOWN OH 44230 1 07/09/98 00
0008713894 05 09/01/98 0
0008713894 O 08/01/28
0
2665792 286/286 F 104,300.00 ZZ
360 104,241.53 2
1951-1953 ELMWOOD AVE 8.875 829.86 70
8.625 829.86 149,000.00
STOW OH 44224 2 06/22/98 00
0008713982 05 08/01/98 0
0008713982 N 07/01/28
0
2665793 286/286 F 62,100.00 ZZ
360 62,064.26 2
371-373 CELTIC AVE 8.750 488.55 90
8.500 488.55 69,000.00
AKRON OH 44314 1 06/24/98 10
0008713990 05 08/01/98 25
0008713990 N 07/01/28
0
2665794 286/286 F 58,410.00 ZZ
360 58,376.39 1
1
4279-A COX DR 8.750 459.52 90
8.500 459.52 64,900.00
STOW OH 44224 1 07/01/98 12
0008713997 01 08/01/98 25
0008713997 N 07/01/28
0
2665796 286/286 F 83,200.00 ZZ
360 83,146.94 1
2625 N NANSEMOND DR 8.250 625.06 90
8.000 625.06 93,000.00
SUFFOLK VA 23435 1 06/29/98 11
0008728837 05 08/01/98 25
0008728837 N 07/01/28
0
2665797 286/286 F 57,600.00 ZZ
360 57,526.29 1
705 RIDGE CIR 8.250 432.73 90
8.000 432.73 64,000.00
CHESAPEAKE VA 23320 1 05/28/98 11
0008728863 01 07/01/98 25
0008728863 N 06/01/28
0
2665799 286/286 F 116,100.00 ZZ
360 115,927.14 1
3313 BELMONT CT 7.500 811.79 79
7.250 811.79 148,000.00
VIRGINIA BEACH VA 23452 2 06/02/98 00
0008729175 05 07/01/98 0
0008729175 O 06/01/28
0
2665800 286/286 F 127,800.00 ZZ
360 127,718.51 1
860 W OCEAN VIEW AVE 8.250 960.12 90
8.000 960.12 142,000.00
NORFOLK VA 23503 1 06/10/98 11
0008729237 05 08/01/98 25
0008729237 N 07/01/28
0
2665801 286/286 F 94,500.00 ZZ
360 94,441.26 1
724 NORFOLK AVE 8.375 718.27 70
8.125 718.27 135,000.00
VIRGINIA BEACH VA 23451 2 06/29/98 00
0008729281 05 08/01/98 0
1
0008729281 N 07/01/28
0
2665802 286/286 F 108,000.00 ZZ
360 107,932.87 3
726 NORFOLK AV 8.375 820.88 68
8.125 820.88 160,000.00
VIRGINIA BEACH VA 23451 2 06/29/98 00
0008729282 05 08/01/98 0
0008729282 N 07/01/28
0
2665806 286/286 F 93,600.00 ZZ
360 93,541.82 4
2301 MISSION HILL DR 8.375 711.43 90
8.125 711.43 104,000.00
AUSTIN TX 78741 1 06/24/98 11
0008731211 05 08/01/98 25
0008731211 N 07/01/28
0
2665807 286/286 F 99,000.00 ZZ
360 98,938.46 4
4900 MERRITT DR 8.375 752.48 90
8.125 752.48 110,000.00
AUSTIN TX 78744 1 06/24/98 11
0008731212 05 08/01/98 25
0008731212 N 07/01/28
0
2665809 286/286 F 118,000.00 ZZ
360 117,926.65 2
254 BOWERS ST 8.375 896.89 80
8.125 896.89 148,000.00
JERSEY CITY NJ 07307 1 06/15/98 00
0008735294 05 08/01/98 0
0008735294 O 07/01/28
0
2665810 286/286 F 43,000.00 ZZ
360 42,162.40 1
1007 E RUSSELL CT 8.000 315.52 62
7.750 315.52 70,000.00
NEWPORT NEWS VA 23605 2 06/15/98 00
0008742655 05 08/01/98 0
0008742655 N 07/01/28
0
1
2665811 286/286 F 43,400.00 ZZ
360 43,370.87 1
28 CHERRY ACRES DR 8.000 318.46 70
7.750 318.46 62,000.00
HAMPTON VA 23669 2 06/15/98 00
0008742656 05 08/01/98 0
0008742656 N 07/01/28
0
2665812 286/286 F 72,000.00 ZZ
360 71,951.68 1
344 FIR CT 8.000 528.32 80
7.750 528.32 90,000.00
HAMPTON VA 23666 2 06/15/98 00
0008742657 05 08/01/98 0
0008742657 N 07/01/28
0
2665813 286/286 F 136,800.00 ZZ
360 136,712.76 1
4225 THOMPSON MILL RD 8.250 1,027.74 90
8.000 1,027.74 152,000.00
GRAHAM NC 27253 1 06/29/98 11
0008742795 05 08/01/98 25
0008742795 O 07/01/28
0
2665814 286/286 F 157,500.00 ZZ
360 157,402.10 4
4808 HOYLE DR 8.375 1,197.12 90
8.125 1,197.12 175,000.00
RALEIGH NC 27604 1 06/17/98 11
0008742802 05 08/01/98 25
0008742802 N 07/01/28
0
2665817 286/286 F 54,423.00 ZZ
360 54,341.95 2
1531-33 NE 148 ST 7.500 380.54 42
7.250 380.54 130,000.00
MIAMI FL 33161 2 06/03/98 00
0008743902 05 07/01/98 0
0008743902 N 06/01/28
0
2665821 286/286 F 176,000.00 ZZ
360 175,756.95 2
58 JAY ST 7.875 1,276.13 80
7.625 1,276.13 220,000.00
1
HACKENSACK NJ 07601 1 05/28/98 00
0008745136 05 07/01/98 0
0008745136 O 06/01/28
0
2665823 286/286 F 204,100.00 ZZ
360 203,979.50 4
222 NORTH AVE 8.625 1,587.47 65
8.375 1,587.47 314,000.00
CRANFORD NJ 07016 2 06/15/98 00
0008745149 05 08/01/98 0
0008745149 N 07/01/28
0
2665824 286/286 F 40,500.00 ZZ
360 40,476.08 4
1024 CHESTNUT AVE 8.625 315.01 90
8.375 315.01 45,000.00
TRENTON NJ 08610 1 06/17/98 11
0008745200 05 08/01/98 25
0008745200 N 07/01/28
0
2665825 286/286 F 123,200.00 ZZ
360 123,119.41 1
811 GREENWOOD DR 8.125 914.76 80
7.875 914.76 154,000.00
SPRING LAKE HEI NJ 07762 2 06/24/98 00
0008745234 05 08/01/98 0
0008745234 O 07/01/28
0
2665826 286/286 F 71,900.00 ZZ
360 71,855.30 1
2117 SEAGULL TERRACE 8.375 546.50 80
8.125 546.50 89,900.00
POINT PLEASANT NJ 08742 1 06/29/98 00
0008745338 05 08/01/98 0
0008745338 N 07/01/28
0
2665828 286/286 F 173,350.00 ZZ
360 172,951.40 4
403 W POLK AVE 8.000 1,271.99 95
7.750 1,271.99 182,500.00
HOUSTON TX 77019 1 06/02/98 11
0008750194 05 07/01/98 30
0008750194 O 06/01/28
0
1
2665830 286/286 F 150,000.00 ZZ
360 149,739.18 3
11-15 CRAIG PL 8.750 1,180.06 90
8.500 1,180.06 168,400.00
NORTH PLAINFIEL NJ 07060 1 04/27/98 04
0008753559 05 06/01/98 25
0008753559 N 05/01/28
0
2665831 286/286 F 57,600.00 ZZ
360 57,465.98 3
32 BRIGHTON ST 8.750 453.14 90
8.500 453.14 64,000.00
PROVIDENCE RI 02908 1 03/24/98 04
0008753582 05 05/01/98 25
0008753582 N 04/01/28
0
2665832 286/286 F 54,800.00 ZZ
360 54,726.20 3
217 N MULBERRY ST 8.000 402.11 80
7.750 402.11 68,500.00
LANCASTER PA 17603 1 05/07/98 00
0008753947 05 07/01/98 0
0008753947 N 06/01/28
0
2665833 286/286 F 185,000.00 ZZ
360 184,533.62 1
5002 BURKITTSVILLE RD 7.750 1,325.37 83
7.500 1,325.37 225,000.00
JEFFERSON MD 21755 2 06/02/98 04
0008753994 05 07/01/98 25
0008753994 O 06/01/28
0
2665836 286/286 F 159,750.00 ZZ
360 159,364.29 3
130 MAIN ST 8.625 1,242.52 90
8.375 1,242.52 177,500.00
UPTON MA 01568 1 04/30/98 04
0008754128 05 06/01/98 25
0008754128 N 05/01/28
0
2665837 286/286 F 92,000.00 ZZ
360 91,882.26 1
1
3815 YUMA ST NW 8.250 691.17 32
8.000 691.17 290,000.00
WASHINGTON DC 20016 2 05/19/98 00
0008754318 05 07/01/98 0
0008754318 O 06/01/28
0
2665838 286/286 F 121,500.00 ZZ
360 121,063.34 3
420 HIGHLAND AVE 8.625 945.02 90
8.375 945.02 135,000.00
JENKINTOWN PA 19046 1 06/01/98 04
0008754448 05 07/01/98 25
0008754448 O 06/01/28
0
2665840 286/286 F 83,400.00 ZZ
360 83,336.53 1
16642 S 33RD ST 7.375 576.03 66
7.125 576.03 128,000.00
PHOENIX AZ 85044 2 06/30/98 00
0008754807 03 08/01/98 0
0008754807 O 07/01/28
0
2665841 286/286 F 127,000.00 ZZ
360 126,916.92 1
1014 E DOLORES RD 8.125 942.98 77
7.875 942.98 165,000.00
PHOENIX AZ 85027 2 06/19/98 00
0008755177 05 08/01/98 0
0008755177 O 07/01/28
0
2665842 286/286 F 63,800.00 ZZ
360 63,759.32 1
4121 W ROVEY AVE 8.250 479.31 90
8.000 479.31 70,900.00
PHOENIX AZ 85019 1 06/30/98 11
0008755283 05 08/01/98 25
0008755283 N 07/01/28
0
2665843 286/286 F 256,700.00 ZZ
360 256,523.33 1
10225 N 135TH ST 7.875 1,861.26 85
7.625 1,861.26 302,000.00
SCOTTSDALE AZ 85259 2 06/23/98 11
0008755326 03 08/01/98 19
1
0008755326 O 07/01/28
0
2665844 286/286 F 46,800.00 ZZ
360 46,437.27 1
M5 CORDELLO CT 8.375 355.71 90
8.125 355.71 52,000.00
HILTON HEAD ISL SC 29928 1 07/28/97 10
0008756289 01 09/01/97 25
0008756289 N 08/01/27
0
2665845 286/286 F 48,000.00 ZZ
360 47,943.12 2
114 A/B CEDAR GRV 8.625 373.34 80
8.375 373.34 60,000.00
NORTH CHARLESTO SC 29420 1 05/28/98 00
0008757646 05 07/01/98 0
0008757646 N 06/01/28
0
2665847 286/286 F 31,500.00 ZZ
360 31,479.91 1
999 E WHITTIER ST 8.250 236.65 69
8.000 236.65 46,000.00
COLUMBUS OH 43206 2 06/11/98 00
0008759982 05 08/01/98 0
0008759982 N 07/01/28
0
2665852 286/286 F 78,400.00 ZZ
360 77,980.74 1
505 APPLEWOOD 8.375 595.90 69
8.125 595.90 114,000.00
WARRENSBURG MO 64093 2 03/31/98 00
0008761374 05 05/01/98 0
0008761374 O 04/01/28
0
2665853 286/286 F 150,000.00 ZZ
360 149,718.34 1
610 CEDAR RIDGE DR 8.375 1,140.11 80
8.125 1,140.11 189,000.00
RAYMORE MO 64083 2 04/22/98 00
0008761375 05 06/01/98 0
0008761375 O 05/01/28
0
1
2665854 286/286 F 170,000.00 ZZ
360 169,508.92 1
905 NE CANTEBURY DR 7.375 1,174.15 57
7.125 1,174.15 300,000.00
ANKENY IA 50021 2 04/22/98 00
0008761466 05 06/01/98 0
0008761466 O 05/01/28
0
2665855 286/286 F 48,000.00 ZZ
360 47,918.67 1
400 NE 6TH ST #D 8.875 381.91 80
8.625 381.91 60,000.00
BLUE SPRINGS MO 64014 2 04/22/98 00
0008761608 01 06/01/98 0
0008761608 N 05/01/28
0
2665857 286/286 F 56,000.00 ZZ
360 55,897.48 4
2162-80 1ST AVE N 8.500 430.60 58
8.250 430.60 97,000.00
SAINT PETERSBUR FL 33713 2 05/29/98 00
0008764511 05 07/01/98 0
0008764511 N 06/01/28
0
2665858 286/286 F 108,000.00 ZZ
360 108,000.00 1
1515 PENNSYLVANIA AVE SOUTHEAS 8.000 792.47 85
7.750 792.47 128,000.00
WASHINGTON DC 20003 2 07/10/98 11
0008764733 05 09/01/98 19
0008764733 O 08/01/28
0
2665859 286/286 F 76,050.00 ZZ
360 75,955.13 1
13125 HARROWGATE RD 8.375 578.04 90
8.125 578.04 84,500.00
CHESTER VA 23831 1 06/05/98 11
0008768682 05 07/01/98 25
0008768682 N 06/01/28
0
2665861 286/286 F 54,450.00 ZZ
360 54,417.01 1
5006 ORIOLE AVE 8.500 418.68 90
8.250 418.68 60,500.00
1
RICHMOND VA 23234 1 06/26/98 11
0008768775 05 08/01/98 25
0008768775 N 07/01/28
0
2665862 286/286 F 57,600.00 ZZ
360 57,565.10 1
3135 NAVARONE AVE 8.500 442.90 90
8.250 442.90 64,000.00
RICHMOND VA 23234 1 06/19/98 11
0008768795 05 08/01/98 25
0008768795 N 07/01/28
0
2665863 286/286 F 140,000.00 ZZ
360 140,000.00 1
10101 REEDY BRANCH RD 7.875 1,015.10 80
7.625 1,015.10 175,000.00
CHESTERFIELD VA 23838 1 07/17/98 00
0008768801 05 09/01/98 0
0008768801 O 08/01/28
0
2665865 286/286 F 54,000.00 ZZ
360 53,968.93 2
132 MARION ST 8.750 424.82 90
8.500 424.82 60,000.00
SPRINGFIELD MA 01109 1 06/29/98 11
0008771774 05 08/01/98 25
0008771774 N 07/01/28
0
2665866 286/286 F 87,600.00 ZZ
360 87,544.14 1
50 STURBRIDGE RD 8.250 658.11 80
8.000 658.11 109,500.00
HOLLAND MA 01521 1 06/24/98 00
0008771795 05 08/01/98 0
0008771795 O 07/01/28
0
2665867 286/286 F 63,000.00 ZZ
360 62,817.55 1
4118 MAPLE DR 8.375 478.85 90
8.125 478.85 70,000.00
CINCINNATI OH 45209 1 04/15/98 10
0008778685 05 06/01/98 25
0008778685 N 05/01/28
0
1
2665868 286/286 F 150,000.00 ZZ
360 150,000.00 1
6277 POTRERO DR 8.625 1,166.69 60
8.375 1,166.69 250,000.00
NEWARK CA 94560 1 07/20/98 00
0008781813 03 09/01/98 0
0008781813 N 08/01/28
0
2665869 286/286 F 46,900.00 ZZ
360 46,863.40 1
1206 MARESFIELD CT 7.250 319.95 70
7.000 319.95 67,000.00
MARLTON NJ 08053 2 07/03/98 00
0008969494 01 08/01/98 0
0008969494 N 07/01/28
0
2665871 286/286 F 157,500.00 ZZ
360 157,402.10 3
30 S MAIN ST 8.375 1,197.12 90
8.125 1,197.12 175,000.00
ATLANTIC CITY NJ 08400 1 06/25/98 11
0008969608 05 08/01/98 25
0008969608 N 07/01/28
0
2665873 286/286 F 163,000.00 ZZ
360 163,000.00 1
1 CANTER CT 7.750 1,167.76 68
7.500 1,167.76 241,000.00
MEDFORD NJ 08055 2 07/09/98 00
0008969714 05 09/01/98 0
0008969714 O 08/01/28
0
2665876 286/286 F 73,800.00 ZZ
360 73,712.54 1
5205 E LOOMAN 8.625 574.01 90
8.375 574.01 82,000.00
WICHITA KS 67226 1 06/05/98 11
0008970622 05 07/01/98 25
0008970622 N 06/01/28
0
2665877 286/286 F 101,600.00 ZZ
360 101,473.24 1
1
10026 MELROSE DR 8.375 772.24 80
8.125 772.24 127,000.00
OVERLAND PARK KS 66214 1 05/20/98 00
0008970676 03 07/01/98 0
0008970676 N 06/01/28
0
2665878 286/286 F 121,650.00 ZZ
360 121,390.74 1
5 BECKEWITH TRL 7.750 871.52 90
7.500 871.52 135,200.00
O'FALLON MO 63366 1 04/24/98 11
0008970716 05 06/01/98 25
0008970716 N 05/01/28
0
2665879 286/286 F 36,900.00 ZZ
360 36,825.22 3
120 S CLARK ST 8.000 270.76 66
7.750 270.76 56,200.00
MOBERLY MO 65270 2 05/01/98 00
0008970746 05 06/01/98 0
0008970746 N 05/01/28
0
2665880 286/286 F 58,000.00 ZZ
360 57,931.27 2
1810-2 MAIN ST 8.625 451.12 90
8.375 451.12 64,500.00
GRANGER IA 50109 1 05/08/98 11
0008970771 05 07/01/98 25
0008970771 N 06/01/28
0
2665883 286/286 F 156,750.00 ZZ
360 156,533.53 1
915 NE 101ST TER 7.875 1,136.55 80
7.625 1,136.55 195,950.00
KANSAS CITY MO 64155 1 06/04/98 00
0008971061 03 07/01/98 0
0008971061 O 06/01/28
0
2665884 286/286 F 45,000.00 ZZ
360 44,971.30 1
1021 N GEORGIE 8.250 338.08 90
8.000 338.08 50,000.00
DERBY KS 67037 1 06/18/98 11
0008971062 05 08/01/98 25
1
0008971062 N 07/01/28
0
2665885 286/286 F 65,000.00 ZZ
360 64,909.18 1
868 SW RAINTREE DR 8.375 494.05 21
8.125 494.05 313,000.00
LEE'S SUMMIT MO 64082 2 06/15/98 00
0008971128 03 08/01/98 0
0008971128 O 07/01/28
0
2665886 286/286 F 48,150.00 ZZ
360 48,094.38 1
3509 S GLENN ST 8.750 378.80 90
8.500 378.80 53,500.00
WICHITA KS 67217 1 05/29/98 11
0008971211 05 07/01/98 25
0008971211 N 06/01/28
0
2665887 286/286 F 67,500.00 ZZ
360 67,461.16 1
3822 34TH STREET 8.750 531.03 90
8.500 531.03 75,000.00
DES MOINES IA 50310 1 06/10/98 11
0008971217 05 08/01/98 25
0008971217 N 07/01/28
0
2665889 286/286 F 109,600.00 ZZ
360 109,535.29 1
8905-07 HASKINS 8.625 852.46 80
8.375 852.46 137,000.00
LENEXA KS 66215 1 06/29/98 00
0008971299 05 08/01/98 0
0008971299 N 07/01/28
0
2665891 286/286 F 39,000.00 ZZ
360 38,958.40 1
10184 WINKLER 8.625 303.34 89
8.375 303.34 44,000.00
SAINT LOUIS MO 63138 2 06/08/98 11
0008971369 05 08/01/98 25
0008971369 N 07/01/28
0
1
2665892 286/286 F 75,600.00 ZZ
360 75,554.20 1
1818 ROSEVIEW 8.500 581.30 80
8.250 581.30 94,500.00
SAINT LOUIS MO 63138 2 06/08/98 00
0008971370 05 08/01/98 0
0008971370 N 07/01/28
0
2665893 286/286 F 105,300.00 ZZ
360 105,239.41 1
626 WASHINGTON BLVD 8.750 828.40 90
8.500 828.40 117,000.00
BALTIMORE MD 21230 1 06/19/98 10
0008975920 05 08/01/98 25
0008975920 N 07/01/28
0
2665894 286/286 F 66,600.00 ZZ
360 66,556.43 1
3860 SHADYWOOD DR 2B 8.125 494.51 90
7.875 494.51 74,000.00
JEFFERSON MD 21755 1 06/15/98 10
0008976275 01 08/01/98 25
0008976275 N 07/01/28
0
2665895 286/286 F 206,400.00 ZZ
360 206,268.38 1
6820 SUGAR RUM RIDGE RD 8.250 1,550.62 80
8.000 1,550.62 258,000.00
ROANOKE VA 24018 1 06/15/98 00
0008977418 05 08/01/98 0
0008977418 O 07/01/28
0
2665896 286/286 F 131,150.00 ZZ
360 131,072.56 1
4334/4336 FOREST POINT DR 8.625 1,020.08 78
8.375 1,020.08 170,000.00
GARLAND TX 75043 2 06/04/98 00
0008978751 05 08/01/98 0
0008978751 N 07/01/28
0
2665897 286/286 F 50,400.00 ZZ
360 50,371.00 1
805 SPRING LAKE CR 8.750 396.50 69
8.500 396.50 74,000.00
1
GARLAND TX 75043 2 06/30/98 00
0008978839 05 08/01/98 0
0008978839 N 07/01/28
0
2665898 286/286 F 74,000.00 ZZ
360 73,950.34 1
1916 APPLE VALLEY RD 8.000 542.99 90
7.750 542.99 83,000.00
PLANO TX 75023 1 06/10/98 11
0008978913 05 08/01/98 25
0008978913 N 07/01/28
0
2665899 286/286 F 129,500.00 ZZ
360 129,423.54 1
4326-4328 FOREST POINT DR 8.625 1,007.24 77
8.375 1,007.24 170,000.00
GARLAND TX 75043 2 06/04/98 00
0008978929 05 08/01/98 0
0008978929 N 07/01/28
0
2665900 286/286 F 57,150.00 ZZ
360 57,115.37 1
2861 URSA CR 8.500 439.44 90
8.250 439.44 63,500.00
GARLAND TX 75044 1 06/30/98 11
0008979030 03 08/01/98 25
0008979030 N 07/01/28
0
2665902 286/286 F 49,275.00 ZZ
360 49,218.09 2
330 E ESSEX AVE 8.750 387.65 90
8.500 387.65 54,750.00
UPPER DARBY PA 19082 1 05/28/98 10
0008979666 05 07/01/98 25
0008979666 N 06/01/28
0
2665903 286/286 F 40,500.00 ZZ
360 40,476.08 1
102 BROOKFIELD AVE 8.625 315.01 90
8.375 315.01 45,000.00
ARDMORE PA 19003 1 06/26/98 11
0008979699 05 08/01/98 25
0008979699 N 07/01/28
0
1
2665904 286/286 F 406,000.00 ZZ
360 405,727.58 1
4743 E SAGUARO PL 8.000 2,979.09 70
7.750 2,979.09 580,000.00
PARADISE VALLEY AZ 85253 2 06/15/98 00
0008980589 05 08/01/98 0
0008980589 O 07/01/28
0
2665907 286/286 F 148,000.00 ZZ
360 147,895.53 1
5510 RODNEY LN 7.750 1,060.30 80
7.500 1,060.30 185,000.00
STONE MOUNTAIN GA 30087 1 06/26/98 00
0008998021 05 08/01/98 0
0008998021 O 07/01/28
0
2665908 286/286 F 46,200.00 ZZ
360 46,172.72 2
2930 BROWN ACRES ROAD 8.625 359.34 70
8.375 359.34 66,000.00
SALISBURY NC 28146 2 06/29/98 00
0008998749 05 08/01/98 0
0008998749 N 07/01/28
0
2665910 286/286 F 70,700.00 ZZ
360 70,657.16 1
425 MOUNT VERNON AVE 8.500 543.63 70
8.250 543.63 101,000.00
PORTSMOUTH VA 23707 2 06/25/98 00
0009000572 05 08/01/98 0
0009000572 N 07/01/28
0
2665912 286/286 F 64,800.00 ZZ
360 64,719.16 1
3461 PLAINSMAN TR 8.375 492.53 90
8.125 492.53 72,000.00
VIRGINIA BEACH VA 23452 1 05/29/98 11
0009002660 05 07/01/98 25
0009002660 N 06/01/28
0
2665913 286/286 F 42,300.00 ZZ
360 42,274.36 1
1
3409 BREST AVE 8.500 325.26 90
8.250 325.26 47,000.00
NORFOLK VA 23509 1 07/01/98 11
0009002671 05 08/01/98 25
0009002671 N 07/01/28
0
2665914 286/286 F 49,100.00 ZZ
360 49,068.68 1
5637C PARISH LN 8.250 368.88 90
8.000 368.88 54,900.00
PORTSMOUTH VA 23703 1 06/16/98 11
0009002703 05 08/01/98 25
0009002703 N 07/01/28
0
2665915 286/286 F 134,000.00 ZZ
360 133,898.03 1
24931 VIA LOPEZ CT 7.375 925.51 70
7.125 925.51 194,000.00
RAMONA CA 92065 2 06/16/98 00
0009003698 03 08/01/98 0
0009003698 O 07/01/28
0
2665916 286/286 F 45,000.00 ZZ
360 44,948.03 2
996-1000 PEARL HARBOR ST 8.750 354.02 90
8.500 354.02 50,000.00
BRIDGEPORT CT 06610 1 05/29/98 11
0009013923 05 07/01/98 25
0009013923 N 06/01/28
0
2665918 286/286 F 62,550.00 ZZ
360 62,513.07 2
27-29 WALNUT ST 8.625 486.51 90
8.375 486.51 69,500.00
ENFIELD CT 06082 1 06/29/98 11
0009014017 05 08/01/98 25
0009014017 N 07/01/28
0
2665919 286/286 F 45,000.00 ZZ
360 45,000.00 2
58 BONNER ST 8.625 350.01 90
8.375 350.01 50,000.00
HARTFORD CT 06106 1 07/03/98 11
0009014072 05 09/01/98 25
1
0009014072 N 08/01/28
0
2665920 286/286 F 48,000.00 ZZ
360 47,971.66 4
17 MAYLAN DR 8.625 373.34 68
8.375 373.34 71,000.00
DAYTON OH 45405 2 06/22/98 00
0009023429 05 08/01/98 0
0009023429 N 07/01/28
0
2665922 286/286 F 100,800.00 ZZ
360 100,727.04 1
7250 JERRY DR 7.625 713.46 90
7.375 713.46 112,000.00
WEST CHESTER OH 45069 1 06/24/98 12
0009024621 05 08/01/98 25
0009024621 N 07/01/28
0
2665923 286/286 F 120,000.00 ZZ
360 119,919.48 1
305 STIEMLY AVE 8.000 880.52 78
7.750 880.52 155,000.00
GLEN BURNIE MD 21060 2 06/24/98 00
0009024958 05 08/01/98 0
0009024958 O 07/01/28
0
2665925 286/286 F 44,100.00 ZZ
360 44,073.27 1
515 E 20TH ST 8.500 339.10 90
8.250 339.10 49,000.00
COVINGTON KY 41011 1 06/12/98 10
0009025310 05 08/01/98 25
0009025310 N 07/01/28
0
2665926 286/286 F 44,800.00 ZZ
360 44,772.85 1
6641 WAKEFIELD DR #510 8.500 344.48 70
8.250 344.48 64,000.00
ALEXANDRIA VA 22307 2 06/26/98 00
0009025535 01 08/01/98 0
0009025535 N 07/01/28
0
1
2665927 286/286 F 108,800.00 ZZ
360 108,732.37 1
618 FAWNDALE PL 8.375 826.96 80
8.125 826.96 136,000.00
GAHANNA OH 43230 1 06/17/98 00
0009026046 05 08/01/98 0
0009026046 N 07/01/28
0
2665929 286/286 F 127,200.00 ZZ
360 127,112.46 1
221 E MAIN ST 7.875 922.29 80
7.625 922.29 159,000.00
NEW FREEDOM PA 17349 2 06/30/98 00
0009027558 05 08/01/98 0
0009027558 O 07/01/28
0
2665931 286/286 F 193,500.00 ZZ
360 193,388.67 4
80 S MILLER RD 8.750 1,522.27 90
8.500 1,522.27 215,000.00
FAIRLAWN OH 44333 1 06/19/98 10
0009028111 05 08/01/98 25
0009028111 N 07/01/28
0
2665932 286/286 F 80,000.00 ZZ
360 79,902.71 3
669 MONTELLO ST 8.500 615.14 80
8.250 615.14 100,000.00
BROCKTON MA 02401 1 05/28/98 00
0009034375 05 07/01/98 0
0009034375 N 06/01/28
0
2665933 286/286 F 60,300.00 ZZ
360 60,265.30 3
95 MESSER ST 8.750 474.39 90
8.500 474.39 67,000.00
CITY OF LACONI NH 03246 1 06/15/98 04
0009034388 05 08/01/98 25
0009034388 N 07/01/28
0
2665934 286/286 F 104,000.00 ZZ
360 103,931.97 1
26 ROCKVIEW TERRACE 8.125 772.20 80
7.875 772.20 130,000.00
1
NORTH PLAINFIEL NJ 07060 1 06/17/98 00
0009034481 05 08/01/98 0
0009034481 O 07/01/28
0
2665935 286/286 F 74,250.00 ZZ
360 74,206.16 3
238 MARLBORO RD 8.625 577.51 90
8.375 577.51 82,500.00
BRATTLEBORO VT 05301 1 06/22/98 04
0009034551 05 08/01/98 25
0009034551 N 07/01/28
0
2665936 286/286 F 190,000.00 ZZ
360 189,887.82 2
742 BARBEY ST 8.625 1,477.81 95
8.375 1,477.81 200,000.00
BROOKLYN NY 11207 1 06/25/98 04
0009034579 05 08/01/98 30
0009034579 O 07/01/28
0
2665937 286/286 F 43,400.00 ZZ
240 43,256.30 3
164-66 HAMILTON ST 8.625 380.08 70
8.375 380.08 62,000.00
PROVIDENCE RI 02907 2 05/29/98 00
0009034618 05 07/01/98 0
0009034618 N 06/01/18
0
2665938 286/286 F 100,000.00 ZZ
360 99,929.41 1
152 S GEORGIA AVE 7.750 716.42 53
7.500 716.42 190,000.00
LAKE HOPAPCONG NJ 07849 2 06/17/98 00
0009034667 05 08/01/98 0
0009034667 O 07/01/28
0
2665939 286/286 F 74,700.00 ZZ
360 74,613.72 3
63 SUMMER ST 8.750 587.67 90
8.500 587.67 83,000.00
LACONIA NH 03246 1 06/05/98 04
0009034676 05 07/01/98 25
0009034676 N 06/01/28
0
1
2665940 286/286 F 116,000.00 ZZ
360 115,800.49 2
32-34 BEDLOW AVE 8.500 891.94 80
8.250 891.94 145,000.00
NEWPORT RI 02840 1 06/05/98 00
0009034681 05 07/01/98 0
0009034681 O 06/01/28
0
2665942 286/286 F 83,000.00 ZZ
360 82,949.72 1
5890 LEMON ST 8.500 638.20 75
8.250 638.20 111,500.00
EAST PETERSBURG PA 17520 2 06/30/98 00
0009034767 05 08/01/98 0
0009034767 O 07/01/28
0
2665943 286/286 F 25,900.00 ZZ
360 25,900.00 1
1055 JOY AVE 8.375 196.86 70
8.125 196.86 37,000.00
AKRON OH 44306 2 07/02/98 00
0009034768 05 09/01/98 0
0009034768 N 08/01/28
0
2665944 286/286 F 149,000.00 ZZ
360 148,804.38 1
8903 PENSACOLA PL 8.125 1,106.33 79
7.875 1,106.33 190,000.00
UPPER MARLBORO MD 20772 2 06/05/98 00
0009034880 05 07/01/98 0
0009034880 O 06/01/28
0
2665946 286/286 F 75,600.00 ZZ
360 75,549.27 2
86 GRAND AVE 8.000 554.73 90
7.750 554.73 84,000.00
MIDDLETOWN NY 10904 1 06/29/98 04
0009034894 05 08/01/98 25
0009034894 N 07/01/28
0
2665947 286/286 F 176,000.00 ZZ
360 176,000.00 1
1
330 JUDGES LN 7.625 1,245.72 80
7.375 1,245.72 220,000.00
NORTH PLAINFIEL NJ 07063 2 07/08/98 00
0009034914 05 09/01/98 0
0009034914 O 08/01/28
0
2665948 286/286 F 77,400.00 ZZ
360 77,350.64 4
2439 E NORRIS ST 8.250 581.49 90
8.000 581.49 86,000.00
PHILADELPHIA PA 19125 2 06/22/98 04
0009034939 05 08/01/98 25
0009034939 N 07/01/28
0
2665949 286/286 F 117,000.00 ZZ
360 116,917.41 2
37 MAIN ST 7.750 838.21 51
7.500 838.21 231,000.00
MALDEN MA 02148 2 06/17/98 00
0009034948 05 08/01/98 0
0009034948 O 07/01/28
0
2665952 286/286 F 109,000.00 ZZ
360 108,926.86 4
477 WALKER ST 8.000 799.81 52
7.750 799.81 210,000.00
FAIRVIEW NJ 07022 2 06/18/98 00
0009034991 05 08/01/98 0
0009034991 N 07/01/28
0
2665954 286/286 F 52,200.00 ZZ
360 52,169.18 1
101 S RALEIGH AVE 8.625 406.01 90
8.375 406.01 58,000.00
ATLANTIC CITY NJ 08401 1 06/30/98 04
0009035018 01 08/01/98 25
0009035018 N 07/01/28
0
2665955 286/286 F 66,500.00 ZZ
360 66,457.59 1
RD #2 FAIRFAX RD 8.250 499.60 70
8.000 499.60 95,000.00
SAINT ALBANS VT 05478 2 06/17/98 00
0009035022 05 08/01/98 0
1
0009035022 O 07/01/28
0
2665956 286/286 F 39,200.00 ZZ
360 39,176.25 1
1349 WHITE BIRCH LN 8.500 301.42 70
8.250 301.42 56,000.00
VIRGINIA BEACH VA 23456 2 06/09/98 00
0009035037 03 08/01/98 0
0009035037 N 07/01/28
0
2665957 286/286 F 180,000.00 ZZ
360 179,893.72 2
1727 NEREID AVE 8.625 1,400.03 95
8.375 1,400.03 190,000.00
BRONX NY 10466 1 06/22/98 04
0009035047 05 08/01/98 30
0009035047 O 07/01/28
0
2665958 286/286 F 100,000.00 ZZ
360 100,000.00 2
69-71 DURANT ST 8.625 777.79 44
8.375 777.79 230,000.00
STAMFORD CT 06902 2 07/07/98 00
0009035103 05 09/01/98 0
0009035103 N 08/01/28
0
2665959 286/286 F 92,700.00 ZZ
360 92,631.20 1
8723 BRIDGETOWN RD 7.500 648.18 89
7.250 648.18 105,000.00
CLEVES OH 45002 2 06/22/98 04
0009035133 05 08/01/98 25
0009035133 O 07/01/28
0
2665960 286/286 F 100,000.00 ZZ
360 99,936.23 1
1768 BARNUMVILLE RD 8.250 751.27 75
8.000 751.27 135,000.00
MANCHESTER CENT VT 05255 2 07/03/98 00
0009035142 05 08/01/98 0
0009035142 O 07/01/28
0
1
2665961 286/286 F 156,400.00 ZZ
360 156,300.26 1
3257 TRAFALGAR LN 8.250 1,174.99 87
8.000 1,174.99 180,000.00
WOODBRIDGE VA 22192 2 07/06/98 12
0009035154 05 08/01/98 25
0009035154 O 07/01/28
0
2665962 286/286 F 123,200.00 ZZ
360 123,127.26 2
244 ALMONT ST 8.625 958.24 80
8.375 958.24 154,000.00
MATTAPAN MA 02126 1 06/30/98 00
0009035218 05 08/01/98 0
0009035218 N 07/01/28
0
2665963 286/286 F 146,250.00 ZZ
360 146,250.00 1
2861 RIDGE RD 8.250 1,098.73 75
8.000 1,098.73 195,000.00
WALDORF MD 20603 2 07/06/98 00
0009035391 05 09/01/98 0
0009035391 O 08/01/28
0
2665965 286/286 F 103,500.00 ZZ
360 103,438.89 4
2002 WILSON ST 8.625 805.02 90
8.375 805.02 115,000.00
HOLLYWOOD FL 33020 1 06/19/98 04
0009039857 05 08/01/98 25
0009039857 N 07/01/28
0
2665966 286/286 F 460,000.00 ZZ
360 459,706.67 1
412 BRINY AVE 8.250 3,455.83 80
8.000 3,455.83 575,000.00
POMPANO BEACH FL 33062 1 06/19/98 00
0009039867 05 08/01/98 0
0009039867 O 07/01/28
0
2665967 286/286 F 148,000.00 ZZ
360 147,800.71 1
8163 WHISTLEWING CT 8.000 1,085.98 80
7.750 1,085.98 185,000.00
1
ORLANDO FL 32817 1 05/28/98 00
0009040044 05 07/01/98 0
0009040044 O 06/01/28
0
2665968 286/286 F 385,000.00 ZZ
360 384,754.50 1
1117 FLEMING ST 8.250 2,892.38 74
8.000 2,892.38 525,000.00
KEY WEST FL 33040 2 06/12/98 00
0009040088 05 08/01/98 0
0009040088 O 07/01/28
0
2665969 286/286 F 41,400.00 ZZ
360 41,374.91 2
939-41 SCHOOLHOUSE RD 8.500 318.34 90
8.250 318.34 46,000.00
LAKELAND FL 33813 1 06/16/98 12
0009040198 05 08/01/98 25
0009040198 N 07/01/28
0
2665970 286/286 F 70,200.00 ZZ
360 70,158.55 2
245-47 MARY CATHERINE CT 8.625 546.01 90
8.375 546.01 78,000.00
LAKELAND FL 33809 1 06/17/98 12
0009040231 05 08/01/98 25
0009040231 N 07/01/28
0
2665971 286/286 F 40,500.00 ZZ
360 40,475.46 1
4714 NW 44 ST 8.500 311.41 90
8.250 311.41 45,000.00
TAMARAC FL 33319 1 07/01/98 12
0009040236 03 08/01/98 25
0009040236 N 07/01/28
0
2665973 286/286 F 148,500.00 ZZ
360 148,410.03 4
4050 NW 31 TER 8.500 1,141.84 90
8.250 1,141.84 165,000.00
LAUDERDALE LAKE FL 33309 1 06/22/98 04
0009040262 05 08/01/98 25
0009040262 N 07/01/28
0
1
2665974 286/286 F 148,500.00 ZZ
360 148,410.03 4
4040 NW 31 TER 8.500 1,141.84 90
8.250 1,141.84 165,000.00
LAUDERDALE LAKE FL 33309 1 06/22/98 11
0009040263 05 08/01/98 25
0009040263 N 07/01/28
0
2665979 286/286 F 610,000.00 ZZ
360 610,000.00 1
1711 SEMINARY ST 8.250 4,582.73 74
8.000 4,582.73 825,000.00
KEY WEST FL 33040 2 07/07/98 00
0009040594 05 09/01/98 0
0009040594 O 08/01/28
0
2665981 286/286 F 76,500.00 ZZ
360 76,452.45 1
3555 HARROW AVE 8.375 581.46 90
8.125 581.46 85,000.00
CINCINNATI OH 45209 1 06/30/98 10
0009042026 05 08/01/98 25
0009042026 N 07/01/28
0
2665982 286/286 F 49,500.00 ZZ
360 49,470.00 1
3555 EVANSTON AVE 8.500 380.62 90
8.250 380.62 55,000.00
CINCINNATI OH 45207 1 06/30/98 10
0009042042 05 08/01/98 25
0009042042 N 07/01/28
0
2665983 286/286 F 56,250.00 ZZ
360 56,215.92 1
886 N DETROIT ST 8.500 432.52 90
8.250 432.52 62,500.00
XENIA OH 45385 1 06/25/98 10
0009043229 05 08/01/98 25
0009043229 N 07/01/28
0
2665986 286/286 F 127,100.00 ZZ
360 127,100.00 1
1
1138 RIVERSIDE AVE 8.625 988.58 90
8.375 988.58 141,250.00
BALTIMORE MD 21230 1 07/09/98 14
0009044350 05 09/01/98 25
0009044350 N 08/01/28
0
2665988 286/286 F 77,400.00 ZZ
360 77,349.36 1
3001 WHITING AVE 8.125 574.70 90
7.875 574.70 86,000.00
CHARLOTTE NC 28205 1 07/02/98 10
0009045378 05 08/01/98 25
0009045378 N 07/01/28
0
2665989 286/286 F 99,900.00 ZZ
360 99,900.00 1
8500 KOLUDER CT 8.250 750.52 90
8.000 750.52 111,000.00
LORTON VA 22079 2 07/27/98 14
0009047436 03 09/01/98 25
0009047436 N 08/01/28
0
2665991 286/286 F 104,400.00 ZZ
360 104,329.94 1
1914 AUGUSTA #14 8.000 766.06 89
7.750 766.06 118,000.00
HOUSTON TX 77056 1 06/09/98 12
0009047760 01 08/01/98 30
0009047760 N 07/01/28
0
2665994 286/286 F 56,200.00 ZZ
360 56,051.45 1
199 MC KINLEY CT 8.125 417.29 90
7.875 417.29 62,480.00
BRICK NJ 08723 1 03/13/98 10
0009214484 05 05/01/98 25
0009214484 N 04/01/28
0
2665996 286/286 F 416,850.00 ZZ
360 416,548.29 1
26 MICHELLE WAY 7.625 2,950.44 80
7.375 2,950.44 521,063.00
MONTVILLE NJ 07045 1 06/29/98 00
0009218040 05 08/01/98 0
1
0009218040 O 07/01/28
0
2665997 286/286 F 268,000.00 ZZ
360 267,388.40 1
2445 SAND HILL RD 7.625 1,896.89 80
7.375 1,896.89 335,000.00
ELLICOTT CITY MD 21042 1 05/30/98 00
0009218429 05 07/01/98 0
0009218429 O 06/01/28
0
2665998 286/286 F 350,000.00 ZZ
360 349,759.13 1
92 POINTVIEW PARKWAY 7.875 2,537.75 84
7.625 2,537.75 417,000.00
WAYNE NJ 07470 2 06/19/98 10
0009218528 05 08/01/98 25
0009218528 O 07/01/28
0
2665999 286/286 F 72,000.00 ZZ
360 71,952.90 1
388 S PANTOPS DR 8.125 534.60 90
7.875 534.60 80,000.00
CHARLOTTESVILLE VA 22911 1 06/01/98 10
0009218907 01 08/01/98 25
0009218907 N 07/01/28
0
2666000 286/286 F 69,350.00 ZZ
360 69,263.48 1
4601 N PARK AVE #1409 8.375 527.12 65
8.125 527.12 108,000.00
CHEVY CHASE MD 20815 2 06/24/98 00
0009219288 01 07/01/98 0
0009219288 N 06/01/28
0
2666002 286/286 F 170,000.00 ZZ
360 169,873.83 1
1057 HAWTHORNE HALL RD 7.500 1,188.67 78
7.250 1,188.67 220,000.00
FINCASTLE VA 24090 2 06/24/98 00
0009220111 05 08/01/98 0
0009220111 O 07/01/28
0
1
2666273 696/G02 F 79,400.00 ZZ
360 79,400.00 1
10121 SOUTH CAMPUS WAY 7.625 561.99 74
7.375 561.99 108,000.00
UPPER MARLBORO MD 20774 2 07/31/98 00
0430932152 01 09/01/98 0
2028030 O 08/01/28
0
2666631 696/G02 F 650,000.00 ZZ
360 650,000.00 1
9907 LEESBURG PIKE 7.500 4,544.89 69
7.250 4,544.89 955,000.00
VIENNA VA 22182 2 07/23/98 00
0430932475 05 09/01/98 0
2288229 O 08/01/28
0
2668713 G75/G75 F 143,100.00 ZZ
360 143,017.67 1
556 JUNIPER 8.750 1,125.77 90
8.500 1,125.77 159,000.00
NAPERVILLE IL 60540 2 06/22/98 14
03465160 05 08/01/98 25
03465160 N 07/01/28
0
2668716 G75/G75 F 126,750.00 ZZ
360 126,750.00 3
71 ANDERSON AVE. 8.750 997.15 65
8.500 997.15 195,000.00
FAIRVIEW NJ 07022 5 07/13/98 00
03550832 05 09/01/98 0
03550832 N 08/01/28
0
2668717 G75/G75 F 213,750.00 ZZ
360 213,602.89 1
37 COUNTRY CLUB ROAD 7.875 1,549.84 75
7.625 1,549.84 285,000.00
STONEHAM MA 02180 5 06/19/98 00
03553799 05 08/01/98 0
03553799 O 07/01/28
0
1
TOTAL NUMBER OF LOANS : 3,551
TOTAL ORIGINAL BALANCE : 480,542,454.38
TOTAL PRINCIPAL BALANCE : 479,943,188.77
TOTAL ORIGINAL P+I : 3,526,709.53
TOTAL CURRENT P+I : 3,526,709.53
***************************
* END OF REPORT *
***************************
1
RUN ON : 08/21/98 RFC DISCLOSURE SYSTEM RFFSDFIX-01
AT : 06.30.20 FIXED PASSTHRU REPORT AMORTIZED BALANCE
SERIES : RALI 1998-QS11 CUTOFF : 08/01/98
POOL : 0004319
:
:
POOL STATUS: F
RFC LOAN NUMBER SUB SERV FEE
PRINCIPAL BALANCE MSTR SERV FEE
CURR NOTE RATE ALL EXP
RFC NET RATE MISC EXP
NET MTG RATE(INVSTR RATE) SPREAD
POST STRIP RATE STRIP
-------------------------------------------------------------------
1402835 .2500
38,748.60 .0800
10.6250 .0000
10.3750 .0000
10.2950 .0000
6.7500 3.5450
1433043 .2500
45,359.63 .0800
10.1250 .0000
9.8750 .0000
9.7950 .0000
6.7500 3.0450
1490604 .2500
133,460.37 .0800
8.8750 .0000
8.6250 .0000
8.5450 .0000
6.7500 1.7950
1506524 .2500
36,132.84 .0800
9.6250 .0000
9.3750 .0000
9.2950 .0000
6.7500 2.5450
1594767 .2500
91,710.87 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
1600825 .2500
234,511.64 .0800
7.8750 .0000
7.6250 .0000
7.5450 .0000
6.7500 .7950
1
1605138 .2500
455,974.20 .0800
8.6830 .0000
8.4330 .0000
8.3530 .0000
6.7500 1.6030
1614774 .2500
113,977.46 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
1623722 .2500
89,965.75 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
1630374 .2500
97,714.56 .0800
7.8750 .0000
7.6250 .0000
7.5450 .0000
6.7500 .7950
1642103 .2500
143,525.43 .0800
8.1250 .0000
7.8750 .0000
7.7950 .0000
6.7500 1.0450
1643151 .2500
120,835.48 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
1648389 .2500
76,965.94 .0800
8.7500 .0000
8.5000 .0000
8.4200 .0000
6.7500 1.6700
1649385 .2500
108,261.41 .0800
8.7500 .0000
8.5000 .0000
8.4200 .0000
6.7500 1.6700
1
1649970 .2500
118,443.69 .0800
8.7500 .0000
8.5000 .0000
8.4200 .0000
6.7500 1.6700
1654071 .2500
79,162.68 .0800
7.5000 .0000
7.2500 .0000
7.1700 .0000
6.7500 .4200
1654654 .2500
400,000.00 .0800
7.5000 .0000
7.2500 .0000
7.1700 .0000
6.7500 .4200
1654675 .2500
176,000.00 .0800
7.7500 .0000
7.5000 .0000
7.4200 .0000
6.7500 .6700
1655696 .2500
102,948.21 .0800
8.7500 .0000
8.5000 .0000
8.4200 .0000
6.7500 1.6700
1659386 .2500
347,927.79 .0800
7.6250 .0000
7.3750 .0000
7.2950 .0000
6.7500 .5450
1659696 .2500
138,004.27 .0800
7.7500 .0000
7.5000 .0000
7.4200 .0000
6.7500 .6700
1660443 .2500
271,310.41 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
1
1664530 .2500
113,433.54 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
1665944 .2500
45,248.02 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
1666510 .2500
42,155.03 .0800
8.8750 .0000
8.6250 .0000
8.5450 .0000
6.7500 1.7950
1666890 .2500
94,648.51 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
1667553 .2500
31,566.86 .0800
8.0000 .0000
7.7500 .0000
7.6700 .0000
6.7500 .9200
1668889 .2500
74,716.58 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
1671818 .2500
64,861.48 .0800
7.7500 .0000
7.5000 .0000
7.4200 .0000
6.7500 .6700
1671820 .2500
77,894.97 .0800
8.0000 .0000
7.7500 .0000
7.6700 .0000
6.7500 .9200
1
1671825 .2500
152,798.65 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
1672567 .2500
94,700.00 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
1673353 .2500
74,177.17 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
1674291 .2500
42,674.13 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
1675146 .2500
80,715.23 .0800
8.7500 .0000
8.5000 .0000
8.4200 .0000
6.7500 1.6700
1680050 .2500
92,675.74 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
1680771 .2500
73,512.72 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
1681681 .2500
52,284.63 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
1
1683359 .2500
142,266.93 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
1684204 .2500
89,610.07 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
1684287 .2500
31,439.00 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
1685305 .2500
252,996.31 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
1686047 .2500
203,738.95 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
1686313 .2500
33,207.68 .0800
9.0000 .0000
8.7500 .0000
8.6700 .0000
6.7500 1.9200
1686355 .2500
107,557.87 .0800
8.0000 .0000
7.7500 .0000
7.6700 .0000
6.7500 .9200
1688087 .2500
113,966.37 .0800
8.7500 .0000
8.5000 .0000
8.4200 .0000
6.7500 1.6700
1
1688335 .2500
186,064.19 .0800
7.5000 .0000
7.2500 .0000
7.1700 .0000
6.7500 .4200
1691496 .2500
91,587.56 .0800
8.0000 .0000
7.7500 .0000
7.6700 .0000
6.7500 .9200
1692109 .2500
79,703.97 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
1692373 .2500
323,603.00 .0800
8.1250 .0000
7.8750 .0000
7.7950 .0000
6.7500 1.0450
1696988 .2500
269,393.33 .0800
8.0000 .0000
7.7500 .0000
7.6700 .0000
6.7500 .9200
1698353 .2500
116,914.88 .0800
7.5000 .0000
7.2500 .0000
7.1700 .0000
6.7500 .4200
1699014 .2500
360,544.81 .0800
7.8750 .0000
7.6250 .0000
7.5450 .0000
6.7500 .7950
1699654 .2500
89,773.87 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
1
1700044 .2500
49,790.09 .0800
7.8750 .0000
7.6250 .0000
7.5450 .0000
6.7500 .7950
1701771 .2500
25,881.47 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
1702025 .2500
124,268.65 .0800
8.1250 .0000
7.8750 .0000
7.7950 .0000
6.7500 1.0450
1703867 .2500
202,283.64 .0800
9.1250 .0000
8.8750 .0000
8.7950 .0000
6.7500 2.0450
1705423 .2500
114,234.24 .0800
8.7500 .0000
8.5000 .0000
8.4200 .0000
6.7500 1.6700
1705664 .2500
59,892.98 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
1705771 .2500
55,671.51 .0800
8.7500 .0000
8.5000 .0000
8.4200 .0000
6.7500 1.6700
1705893 .2500
334,045.62 .0800
7.6250 .0000
7.3750 .0000
7.2950 .0000
6.7500 .5450
1
1707881 .2500
146,287.51 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
1708078 .2500
48,664.22 .0800
8.8750 .0000
8.6250 .0000
8.5450 .0000
6.7500 1.7950
1708080 .2500
53,624.55 .0800
8.7500 .0000
8.5000 .0000
8.4200 .0000
6.7500 1.6700
1708585 .2500
97,654.05 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
1708764 .2500
122,403.02 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
1708953 .2500
247,136.96 .0800
7.5000 .0000
7.2500 .0000
7.1700 .0000
6.7500 .4200
1709315 .2500
220,952.27 .0800
7.6250 .0000
7.3750 .0000
7.2950 .0000
6.7500 .5450
1710105 .2500
19,478.06 .0800
8.8750 .0000
8.6250 .0000
8.5450 .0000
6.7500 1.7950
1
1710342 .2500
258,099.92 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
1710427 .2500
68,383.80 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
1711181 .2500
34,230.50 .0800
8.0000 .0000
7.7500 .0000
7.6700 .0000
6.7500 .9200
1711284 .2500
69,530.13 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
1712543 .2500
55,912.36 .0800
7.2500 .0000
7.0000 .0000
6.9200 .0000
6.7500 .1700
1712697 .2500
149,436.34 .0800
7.5000 .0000
7.2500 .0000
7.1700 .0000
6.7500 .4200
1712859 .2500
89,609.39 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
1713217 .2500
279,198.60 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
1
1713581 .2500
75,357.99 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
1713760 .2500
107,735.49 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
1714104 .2500
41,923.14 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
1714198 .2500
74,148.82 .0800
8.7500 .0000
8.5000 .0000
8.4200 .0000
6.7500 1.6700
1714258 .2500
178,189.65 .0800
8.7500 .0000
8.5000 .0000
8.4200 .0000
6.7500 1.6700
1714301 .2500
116,654.41 .0800
8.8750 .0000
8.6250 .0000
8.5450 .0000
6.7500 1.7950
1714330 .2500
111,061.55 .0800
7.7500 .0000
7.5000 .0000
7.4200 .0000
6.7500 .6700
1715622 .2500
164,713.12 .0800
8.7500 .0000
8.5000 .0000
8.4200 .0000
6.7500 1.6700
1
1715963 .2500
98,570.44 .0800
8.1250 .0000
7.8750 .0000
7.7950 .0000
6.7500 1.0450
1716223 .2500
95,238.35 .0800
8.8750 .0000
8.6250 .0000
8.5450 .0000
6.7500 1.7950
1716348 .2500
74,965.95 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
1716415 .2500
66,448.99 .0800
8.8750 .0000
8.6250 .0000
8.5450 .0000
6.7500 1.7950
1716550 .2500
74,592.07 .0800
7.8750 .0000
7.6250 .0000
7.5450 .0000
6.7500 .7950
1716904 .2500
115,201.84 .0800
8.0000 .0000
7.7500 .0000
7.6700 .0000
6.7500 .9200
1717366 .2500
32,931.19 .0800
8.0000 .0000
7.7500 .0000
7.6700 .0000
6.7500 .9200
1717511 .2500
91,976.96 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
1
1717839 .2500
38,926.77 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
1718043 .2500
49,871.16 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
1718615 .2500
450,000.00 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
1718618 .2500
124,913.97 .0800
7.8750 .0000
7.6250 .0000
7.5450 .0000
6.7500 .7950
1718631 .2500
67,417.93 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
1718634 .2500
250,478.39 .0800
7.8750 .0000
7.6250 .0000
7.5450 .0000
6.7500 .7950
1718771 .2500
99,558.67 .0800
7.1250 .0000
6.8750 .0000
6.7950 .0000
6.7500 .0450
1718898 .2500
31,424.78 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
1
1719320 .2500
62,893.25 .0800
8.8750 .0000
8.6250 .0000
8.5450 .0000
6.7500 1.7950
1719323 .2500
127,314.85 .0800
7.6250 .0000
7.3750 .0000
7.2950 .0000
6.7500 .5450
1719340 .2500
181,392.84 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
1720361 .2500
35,044.69 .0800
7.5000 .0000
7.2500 .0000
7.1700 .0000
6.7500 .4200
1721053 .2500
85,796.67 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
1721165 .2500
97,345.47 .0800
7.8750 .0000
7.6250 .0000
7.5450 .0000
6.7500 .7950
1721648 .2500
107,765.39 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
1722193 .2500
192,759.24 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
1
1722429 .2500
74,114.10 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
1722501 .2500
107,755.10 .0800
8.8750 .0000
8.6250 .0000
8.5450 .0000
6.7500 1.7950
1722534 .2500
367,540.68 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
1722882 .2500
82,276.34 .0800
8.0000 .0000
7.7500 .0000
7.6700 .0000
6.7500 .9200
1723104 .2500
86,235.07 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
1723170 .2500
311,779.79 .0800
7.7500 .0000
7.5000 .0000
7.4200 .0000
6.7500 .6700
1723741 .2500
119,428.56 .0800
8.8750 .0000
8.6250 .0000
8.5450 .0000
6.7500 1.7950
1724334 .2500
92,592.93 .0800
8.7500 .0000
8.5000 .0000
8.4200 .0000
6.7500 1.6700
1
1724655 .2500
40,852.08 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
1724759 .2500
322,807.02 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
1724781 .2500
49,282.06 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
1724909 .2500
34,882.67 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
1725096 .2500
119,910.94 .0800
7.5000 .0000
7.2500 .0000
7.1700 .0000
6.7500 .4200
1725106 .2500
37,847.65 .0800
7.8750 .0000
7.6250 .0000
7.5450 .0000
6.7500 .7950
1726192 .2500
39,899.50 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
1726959 .2500
84,397.24 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
1
1726968 .2500
98,933.57 .0800
8.0000 .0000
7.7500 .0000
7.6700 .0000
6.7500 .9200
1727153 .2500
106,399.89 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
1727300 .2500
43,974.54 .0800
8.8750 .0000
8.6250 .0000
8.5450 .0000
6.7500 1.7950
1727715 .2500
43,705.71 .0800
9.1250 .0000
8.8750 .0000
8.7950 .0000
6.7500 2.0450
1727826 .2500
119,706.10 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
1727961 .2500
95,182.78 .0800
7.7500 .0000
7.5000 .0000
7.4200 .0000
6.7500 .6700
1728080 .2500
118,216.81 .0800
8.8750 .0000
8.6250 .0000
8.5450 .0000
6.7500 1.7950
1728105 .2500
110,857.95 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
1
1728683 .2500
109,829.91 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
1728700 .2500
175,887.77 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
1728708 .2500
62,422.03 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
1728801 .2500
57,941.01 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
1728931 .2500
144,441.51 .0800
7.7500 .0000
7.5000 .0000
7.4200 .0000
6.7500 .6700
1728995 .2500
823,970.84 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
1729115 .2500
44,898.19 .0800
8.8750 .0000
8.6250 .0000
8.5450 .0000
6.7500 1.7950
1729562 .2500
61,551.95 .0800
7.2500 .0000
7.0000 .0000
6.9200 .0000
6.7500 .1700
1
1729872 .2500
150,054.54 .0800
7.3750 .0000
7.1250 .0000
7.0450 .0000
6.7500 .2950
1729878 .2500
169,876.96 .0800
7.6250 .0000
7.3750 .0000
7.2950 .0000
6.7500 .5450
1730044 .2500
115,100.00 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
1730090 .2500
109,424.64 .0800
7.8750 .0000
7.6250 .0000
7.5450 .0000
6.7500 .7950
1730112 .2500
35,115.98 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
1730162 .2500
149,725.46 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
1730178 .2500
254,074.42 .0800
8.2500 .0000
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94,441.26 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
1
2665802 .2500
107,932.87 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
2665806 .2500
93,541.82 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
2665807 .2500
98,938.46 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
2665809 .2500
117,926.65 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
2665810 .2500
42,162.40 .0800
8.0000 .0000
7.7500 .0000
7.6700 .0000
6.7500 .9200
2665811 .2500
43,370.87 .0800
8.0000 .0000
7.7500 .0000
7.6700 .0000
6.7500 .9200
2665812 .2500
71,951.68 .0800
8.0000 .0000
7.7500 .0000
7.6700 .0000
6.7500 .9200
2665813 .2500
136,712.76 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
1
2665814 .2500
157,402.10 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
2665817 .2500
54,341.95 .0800
7.5000 .0000
7.2500 .0000
7.1700 .0000
6.7500 .4200
2665821 .2500
175,756.95 .0800
7.8750 .0000
7.6250 .0000
7.5450 .0000
6.7500 .7950
2665823 .2500
203,979.50 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
2665824 .2500
40,476.08 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
2665825 .2500
123,119.41 .0800
8.1250 .0000
7.8750 .0000
7.7950 .0000
6.7500 1.0450
2665826 .2500
71,855.30 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
2665828 .2500
172,951.40 .0800
8.0000 .0000
7.7500 .0000
7.6700 .0000
6.7500 .9200
1
2665830 .2500
149,739.18 .0800
8.7500 .0000
8.5000 .0000
8.4200 .0000
6.7500 1.6700
2665831 .2500
57,465.98 .0800
8.7500 .0000
8.5000 .0000
8.4200 .0000
6.7500 1.6700
2665832 .2500
54,726.20 .0800
8.0000 .0000
7.7500 .0000
7.6700 .0000
6.7500 .9200
2665833 .2500
184,533.62 .0800
7.7500 .0000
7.5000 .0000
7.4200 .0000
6.7500 .6700
2665836 .2500
159,364.29 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
2665837 .2500
91,882.26 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
2665838 .2500
121,063.34 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
2665840 .2500
83,336.53 .0800
7.3750 .0000
7.1250 .0000
7.0450 .0000
6.7500 .2950
1
2665841 .2500
126,916.92 .0800
8.1250 .0000
7.8750 .0000
7.7950 .0000
6.7500 1.0450
2665842 .2500
63,759.32 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
2665843 .2500
256,523.33 .0800
7.8750 .0000
7.6250 .0000
7.5450 .0000
6.7500 .7950
2665844 .2500
46,437.27 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
2665845 .2500
47,943.12 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
2665847 .2500
31,479.91 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
2665852 .2500
77,980.74 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
2665853 .2500
149,718.34 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
1
2665854 .2500
169,508.92 .0800
7.3750 .0000
7.1250 .0000
7.0450 .0000
6.7500 .2950
2665855 .2500
47,918.67 .0800
8.8750 .0000
8.6250 .0000
8.5450 .0000
6.7500 1.7950
2665857 .2500
55,897.48 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
2665858 .2500
108,000.00 .0800
8.0000 .0000
7.7500 .0000
7.6700 .0000
6.7500 .9200
2665859 .2500
75,955.13 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
2665861 .2500
54,417.01 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
2665862 .2500
57,565.10 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
2665863 .2500
140,000.00 .0800
7.8750 .0000
7.6250 .0000
7.5450 .0000
6.7500 .7950
1
2665865 .2500
53,968.93 .0800
8.7500 .0000
8.5000 .0000
8.4200 .0000
6.7500 1.6700
2665866 .2500
87,544.14 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
2665867 .2500
62,817.55 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
2665868 .2500
150,000.00 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
2665869 .2500
46,863.40 .0800
7.2500 .0000
7.0000 .0000
6.9200 .0000
6.7500 .1700
2665871 .2500
157,402.10 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
2665873 .2500
163,000.00 .0800
7.7500 .0000
7.5000 .0000
7.4200 .0000
6.7500 .6700
2665876 .2500
73,712.54 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
1
2665877 .2500
101,473.24 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
2665878 .2500
121,390.74 .0800
7.7500 .0000
7.5000 .0000
7.4200 .0000
6.7500 .6700
2665879 .2500
36,825.22 .0800
8.0000 .0000
7.7500 .0000
7.6700 .0000
6.7500 .9200
2665880 .2500
57,931.27 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
2665883 .2500
156,533.53 .0800
7.8750 .0000
7.6250 .0000
7.5450 .0000
6.7500 .7950
2665884 .2500
44,971.30 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
2665885 .2500
64,909.18 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
2665886 .2500
48,094.38 .0800
8.7500 .0000
8.5000 .0000
8.4200 .0000
6.7500 1.6700
1
2665887 .2500
67,461.16 .0800
8.7500 .0000
8.5000 .0000
8.4200 .0000
6.7500 1.6700
2665889 .2500
109,535.29 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
2665891 .2500
38,958.40 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
2665892 .2500
75,554.20 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
2665893 .2500
105,239.41 .0800
8.7500 .0000
8.5000 .0000
8.4200 .0000
6.7500 1.6700
2665894 .2500
66,556.43 .0800
8.1250 .0000
7.8750 .0000
7.7950 .0000
6.7500 1.0450
2665895 .2500
206,268.38 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
2665896 .2500
131,072.56 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
1
2665897 .2500
50,371.00 .0800
8.7500 .0000
8.5000 .0000
8.4200 .0000
6.7500 1.6700
2665898 .2500
73,950.34 .0800
8.0000 .0000
7.7500 .0000
7.6700 .0000
6.7500 .9200
2665899 .2500
129,423.54 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
2665900 .2500
57,115.37 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
2665902 .2500
49,218.09 .0800
8.7500 .0000
8.5000 .0000
8.4200 .0000
6.7500 1.6700
2665903 .2500
40,476.08 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
2665904 .2500
405,727.58 .0800
8.0000 .0000
7.7500 .0000
7.6700 .0000
6.7500 .9200
2665907 .2500
147,895.53 .0800
7.7500 .0000
7.5000 .0000
7.4200 .0000
6.7500 .6700
1
2665908 .2500
46,172.72 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
2665910 .2500
70,657.16 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
2665912 .2500
64,719.16 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
2665913 .2500
42,274.36 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
2665914 .2500
49,068.68 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
2665915 .2500
133,898.03 .0800
7.3750 .0000
7.1250 .0000
7.0450 .0000
6.7500 .2950
2665916 .2500
44,948.03 .0800
8.7500 .0000
8.5000 .0000
8.4200 .0000
6.7500 1.6700
2665918 .2500
62,513.07 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
1
2665919 .2500
45,000.00 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
2665920 .2500
47,971.66 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
2665922 .2500
100,727.04 .0800
7.6250 .0000
7.3750 .0000
7.2950 .0000
6.7500 .5450
2665923 .2500
119,919.48 .0800
8.0000 .0000
7.7500 .0000
7.6700 .0000
6.7500 .9200
2665925 .2500
44,073.27 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
2665926 .2500
44,772.85 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
2665927 .2500
108,732.37 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
2665929 .2500
127,112.46 .0800
7.8750 .0000
7.6250 .0000
7.5450 .0000
6.7500 .7950
1
2665931 .2500
193,388.67 .0800
8.7500 .0000
8.5000 .0000
8.4200 .0000
6.7500 1.6700
2665932 .2500
79,902.71 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
2665933 .2500
60,265.30 .0800
8.7500 .0000
8.5000 .0000
8.4200 .0000
6.7500 1.6700
2665934 .2500
103,931.97 .0800
8.1250 .0000
7.8750 .0000
7.7950 .0000
6.7500 1.0450
2665935 .2500
74,206.16 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
2665936 .2500
189,887.82 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
2665937 .2500
43,256.30 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
2665938 .2500
99,929.41 .0800
7.7500 .0000
7.5000 .0000
7.4200 .0000
6.7500 .6700
1
2665939 .2500
74,613.72 .0800
8.7500 .0000
8.5000 .0000
8.4200 .0000
6.7500 1.6700
2665940 .2500
115,800.49 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
2665942 .2500
82,949.72 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
2665943 .2500
25,900.00 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
2665944 .2500
148,804.38 .0800
8.1250 .0000
7.8750 .0000
7.7950 .0000
6.7500 1.0450
2665946 .2500
75,549.27 .0800
8.0000 .0000
7.7500 .0000
7.6700 .0000
6.7500 .9200
2665947 .2500
176,000.00 .0800
7.6250 .0000
7.3750 .0000
7.2950 .0000
6.7500 .5450
2665948 .2500
77,350.64 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
1
2665949 .2500
116,917.41 .0800
7.7500 .0000
7.5000 .0000
7.4200 .0000
6.7500 .6700
2665952 .2500
108,926.86 .0800
8.0000 .0000
7.7500 .0000
7.6700 .0000
6.7500 .9200
2665954 .2500
52,169.18 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
2665955 .2500
66,457.59 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
2665956 .2500
39,176.25 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
2665957 .2500
179,893.72 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
2665958 .2500
100,000.00 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
2665959 .2500
92,631.20 .0800
7.5000 .0000
7.2500 .0000
7.1700 .0000
6.7500 .4200
1
2665960 .2500
99,936.23 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
2665961 .2500
156,300.26 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
2665962 .2500
123,127.26 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
2665963 .2500
146,250.00 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
2665965 .2500
103,438.89 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
2665966 .2500
459,706.67 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
2665967 .2500
147,800.71 .0800
8.0000 .0000
7.7500 .0000
7.6700 .0000
6.7500 .9200
2665968 .2500
384,754.50 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
1
2665969 .2500
41,374.91 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
2665970 .2500
70,158.55 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
2665971 .2500
40,475.46 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
2665973 .2500
148,410.03 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
2665974 .2500
148,410.03 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
2665979 .2500
610,000.00 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
2665981 .2500
76,452.45 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
2665982 .2500
49,470.00 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
1
2665983 .2500
56,215.92 .0800
8.5000 .0000
8.2500 .0000
8.1700 .0000
6.7500 1.4200
2665986 .2500
127,100.00 .0800
8.6250 .0000
8.3750 .0000
8.2950 .0000
6.7500 1.5450
2665988 .2500
77,349.36 .0800
8.1250 .0000
7.8750 .0000
7.7950 .0000
6.7500 1.0450
2665989 .2500
99,900.00 .0800
8.2500 .0000
8.0000 .0000
7.9200 .0000
6.7500 1.1700
2665991 .2500
104,329.94 .0800
8.0000 .0000
7.7500 .0000
7.6700 .0000
6.7500 .9200
2665994 .2500
56,051.45 .0800
8.1250 .0000
7.8750 .0000
7.7950 .0000
6.7500 1.0450
2665996 .2500
416,548.29 .0800
7.6250 .0000
7.3750 .0000
7.2950 .0000
6.7500 .5450
2665997 .2500
267,388.40 .0800
7.6250 .0000
7.3750 .0000
7.2950 .0000
6.7500 .5450
1
2665998 .2500
349,759.13 .0800
7.8750 .0000
7.6250 .0000
7.5450 .0000
6.7500 .7950
2665999 .2500
71,952.90 .0800
8.1250 .0000
7.8750 .0000
7.7950 .0000
6.7500 1.0450
2666000 .2500
69,263.48 .0800
8.3750 .0000
8.1250 .0000
8.0450 .0000
6.7500 1.2950
2666002 .2500
169,873.83 .0800
7.5000 .0000
7.2500 .0000
7.1700 .0000
6.7500 .4200
2666273 .2500
79,400.00 .0800
7.6250 .0000
7.3750 .0000
7.2950 .0000
6.7500 .5450
2666631 .2500
650,000.00 .0800
7.5000 .0000
7.2500 .0000
7.1700 .0000
6.7500 .4200
2668713 .2500
143,017.67 .0800
8.7500 .0000
8.5000 .0000
8.4200 .0000
6.7500 1.6700
2668716 .2500
126,750.00 .0800
8.7500 .0000
8.5000 .0000
8.4200 .0000
6.7500 1.6700
1
2668717 .2500
213,602.89 .0800
7.8750 .0000
7.6250 .0000
7.5450 .0000
6.7500 .7950
TOTAL NUMBER OF LOANS: 3551
TOTAL BALANCE........: 479,943,188.77
1
RUN ON : 08/21/98 RFC DISCLOSURE SYSTEM RFFSDFIX-01
AT : 06.30.20 INITIAL SECURITY FEES AMORTIZED BALANCE
SERIES : RALI 1998-QS11 FIXED SUMMARY REPORT CUTOFF : 08/01/98
POOL : 0004319
:
:
POOL STATUS: F
WEIGHTED AVERAGES FROM TO
--------------------------------------------------------------------
CURR NOTE RATE 7.9878 6.8750 10.6250
RFC NET RATE 7.7378 6.6250 10.3750
NET MTG RATE(INVSTR RATE) 7.6578 6.5450 10.2950
POST STRIP RATE 6.7491 6.5450 6.7500
SUB SERV FEE .2500 .2500 .2500
MSTR SERV FEE .0800 .0800 .0800
ALL EXP .0000 .0000 .0000
MISC EXP .0000 .0000 .0000
SPREAD .0000 .0000 .0000
STRIP .9087 .0000 3.5450
TOTAL NUMBER OF LOANS: 3551
TOTAL BALANCE........: 479,943,188.77
***************************
* END OF REPORT *
***************************
EXHIBIT G
FORM OF SELLER/SERVICER CONTRACT
This Seller/Servicer Contract (as may be amended, supplemented or otherwise
modified from time to time, this "Contract") is made this day of , 19 , by and
between Residential Funding Corporation, its successors and assigns
("Residential Funding") and (the "Seller/Servicer," and, together with
Residential Funding, the "parties" and each, individually, a "party").
WHEREAS, the Seller/Servicer desires to sell Loans to, and/or service
Loans for, Residential Funding, and Residential Funding desires to purchase
Loans from the Seller/Servicer and/or have the Seller/Servicer service various
of its Loans, pursuant to the terms of this Contract and the Residential Funding
Seller and Servicer Guides incorporated herein by reference, as amended,
supplemented or otherwise modified, from time to time (together, the "Guides").
NOW, THEREFORE, in consideration of the premises, and the terms,
conditions and agreements set forth below, the parties agree as follows:
1. Incorporation of Guides by Reference.
The Seller/Servicer acknowledges that it has received and read the Guides.
All provisions of the Guides are incorporated by reference into and made a part
of this Contract, and shall be binding upon the parties; provided, however, that
the Seller/Servicer shall be entitled to sell Loans to and/or service Loans for
Residential Funding only if and for so long as it shall have been authorized to
do so by Residential Funding in writing. Specific reference in this Contract to
particular provisions of the Guides and not to other provisions does not mean
that those provisions of the Guides not specifically cited in this Contract are
not applicable. All terms used herein shall have the same meanings as such terms
have in the Guides, unless the context clearly requires otherwise.
2. Amendments.
This Contract may not be amended or modified orally, and no provision of
this Contract may be waived or amended except in writing signed by the party
against whom enforcement is sought. Such a written waiver or amendment must
expressly reference this Contract. However, by their terms, the Guides may be
amended or supplemented by Residential Funding from time to time. Any such
amendment(s) to the Guides shall be binding upon the parties hereto.
3. Representations and Warranties.
a. Reciprocal Representations and Warranties.
The Seller/Servicer and Residential Funding each represents and
warrants to the other that as of the date of this Contract:
Each party is duly organized, validly existing, and in good standing
under the laws of its jurisdiction of organization, is qualified, if necessary,
to do business and in good standing in each jurisdiction in which it is required
to be so qualified, and has the requisite power and authority to enter into this
Contract and all other agreements which are contemplated by this Contract and to
carry out its obligations hereunder and under the Guides and under such other
agreements.
1 This Contract has been duly authorized, executed and delivered by each
party and constitutes a valid and legally binding agreement of each party
enforceable in accordance with its terms.
1 There is no action, proceeding or investigation pending or threatened,
and no basis therefor is known to either party, that could affect the validity
or prospective validity of this Contract.
1 Insofar as its capacity to carry out any obligation under this Contract
is concerned, neither party is in violation of any charter, articles of
incorporation, bylaws, mortgage, indenture, indebtedness, agreement, instrument,
judgment, decree, order, statute, rule or regulation and none of the foregoing
adversely affects its capacity to fulfill any of its obligations under this
Contract. Its execution of, and performance pursuant to, this Contract will not
result in a violation of any of the foregoing.
b. Seller/Servicer's Representations, Warranties and Covenants.
In addition to the representations, warranties and covenants made by
the Seller/Servicer pursuant to subparagraph (a) of this paragraph 3, the
Seller/Servicer makes the representations, warranties and covenants set forth in
the Guides and, upon request, agrees to deliver to Residential Funding the
certified Resolution of Board of Directors which authorizes the execution and
delivery of this Contract.
4. Remedies of Residential Funding.
If an Event of Seller Default or an Event of Servicer Default shall occur,
Residential Funding may, at its option, exercise one or more of those remedies
set forth in the Guides.
5. Seller/Servicer's Status as Independent Contractor.
At no time shall the Seller/Servicer represent that it is acting as an
agent of Residential Funding. The Seller/Servicer shall, at all times, act as an
independent contractor.
6. Prior Agreements Superseded.
This Contract restates, amends and supersedes any and all prior Seller
Contracts or Servicer Contracts between the parties except that any subservicing
agreement executed by the Seller/Servicer in connection with any loan-security
exchange transaction shall not be affected.
7. Assignment.
This Contract may not be assigned or transferred, in whole or in part, by
the Seller/Servicer without the prior written consent of Residential Funding.
Residential Funding may sell, assign, convey, hypothecate, pledge or in any
other way transfer, in whole or in part, without restriction, its rights under
this Contract and the Guides with respect to any Commitment or Loan.
8. Notices.
All notices, requests, demands or other communications that are to be
given under this Contract shall be in writing, addressed to the appropriate
parties and sent by telefacsimile or by overnight courier or by United States
mail, postage prepaid, to the addresses and telefacsimile numbers specified
below. However, another name, address and/or telefacsimile number may be
substituted by the Seller/Servicer pursuant to the requirements of this
paragraph 8, or Residential Funding pursuant to an amendment to the Guides.
If to Residential Funding, notices must be sent to the appropriate address or
telefacsimile number specified in the Guides.
If to the Seller/Servicer, notice must be sent to:
Attention:
Telefacsimile Number: ( ) -
------ ------ ------
9. Jurisdiction and Venue.
Each of the parties irrevocably submits to the jurisdiction of any state
or federal court located in Hennepin County, Minnesota, over any action, suit or
proceeding to enforce or defend any right under this Contract or otherwise
arising from any loan sale or servicing relationship existing in connection with
this Contract, and each of the parties irrevocably agrees that all claims in
respect of any such action or proceeding may be heard or determined in such
state or federal court. Each of the parties irrevocably waives the defense of an
inconvenient forum to the maintenance of any such action or proceeding and any
other substantive or procedural rights or remedies it may have with respect to
the maintenance of any such action or proceeding in any such forum. Each of the
parties agrees that a final judgment in any such action or proceeding shall be
conclusive and may be enforced in any other jurisdiction by suit on the judgment
or in any other manner provided by law. Each of the parties further agrees not
to institute any legal actions or proceedings against the other party or any
director, officer, employee, attorney, agent or property of the other party,
arising out of or relating to this Contract in any court other than as
hereinabove specified in this paragraph 9.
10. Miscellaneous.
This Contract, including all documents incorporated by reference herein,
constitutes the entire understanding between the parties hereto and supersedes
all other agreements, covenants, representations, warranties, understandings and
communications between the parties, whether written or oral, with respect to the
transactions contemplated by this Contract. All paragraph headings contained
herein are for convenience only and shall not be construed as part of this
Contract. Any provision of this Contract that is prohibited or unenforceable in
any jurisdiction shall, as to such jurisdiction, be ineffective to the extent of
such prohibition or unenforceability without invalidating the remaining portions
hereof or affecting the validity or enforceability of such provision in any
other jurisdiction, and, to this end, the provisions hereof are severable. This
Contract shall be governed by, and construed and enforced in accordance with,
applicable federal laws and the laws of the State of Minnesota.
IN WITNESS WHEREOF, the duly authorized officers of the Seller/Servicer
and Residential Funding have executed this Seller/Servicer Contract as of the
date first above written.
ATTEST: SELLER/SERVICER
[Corporate Seal]
(Name of Seller/Servicer)
By: By:
(Signature) (Signature)
By:
(Typed Name) (Typed Name)
Title: Title:
ATTEST: RESIDENTIAL FUNDING CORPORATION
By: By:
(Signature) (Signature)
By:
(Typed Name) (Typed Name)
Title: Title:
EXHIBIT H
FORMS OF REQUEST FOR RELEASE
DATE:
TO:
Re: REQUEST FOR RELEASE OF DOCUMENTS
In connection with the administration of the pool of Mortgage Loans held by you
for the referenced pool, we request the release of the Mortgage Loan File
described below.
Pooling and Servicing Agreement Dated:
Series#:
Account#:
Pool#:
Loan#:
Borrower Name(s):
Reason for Document Request: (circle one) Mortgage Loan
Prepaid in Full
Mortgage Loan Repurchased
"We hereby certify that all amounts received or to be received in connection
with such payments which are required to be deposited have been or will be so
deposited as provided in the Pooling and Servicing Agreement."
Residential Funding Corporation
Authorized Signature
******************************************************************************
TO CUSTODIAN/TRUSTEE: Please acknowledge this request, and check off
documents being enclosed with a copy of this form. You should retain this form
for your files in accordance with the terms of the Pooling and Servicing
Agreement.
Enclosed Documents: [ ] Promissory Note
[ ] Primary Insurance Policy
[ ] Mortgage or Deed of Trust
[ ] Assignment(s) of Mortgage or Deed of Trust [ ]
Title Insurance Policy [ ] Other:
Name
Title
Date
EXHIBIT I-1
FORM OF TRANSFER AFFIDAVIT AND AGREEMENT
STATE OF )
: ss.:
COUNTY OF )
[NAME OF OFFICER], being first duly sworn, deposes and says:
That he is [Title of Officer] of [Name of Owner] (record or beneficial
owner of the Mortgage Asset-Backed Pass-Through Certificates, Series 1998-QS11,
Class R (the "Owner")), a [savings institution] [corporation] duly organized and
existing under the laws of [the State of ] [the United States], on behalf of
which he makes this affidavit and agreement.
That the Owner (i) is not and will not be a "disqualified
organization" or an electing large partnership as of [date of transfer] within
the meaning of Sections 860E(e)(5) and 775, respectively, of the Internal
Revenue Code of 1986, as amended (the "Code") or an electing large partnership
under Section 775(a) of the Code, (ii) will endeavor to remain other than a
disqualified organization for so long as it retains its ownership interest in
the Class R Certificates, and (iii) is acquiring the Class R Certificates for
its own account or for the account of another Owner from which it has received
an affidavit and agreement in substantially the same form as this affidavit and
agreement. (For this purpose, a "disqualified organization" means the United
States, any state or political subdivision thereof, any agency or
instrumentality of any of the foregoing (other than an instrumentality all of
the activities of which are subject to tax and, except for the Federal Home Loan
Mortgage Corporation, a majority of whose board of directors is not selected by
any such governmental entity) or any foreign government, international
organization or any agency or instrumentality of such foreign government or
organization, any rural electric or telephone cooperative, or any organization
(other than certain farmers' cooperatives) that is generally exempt from federal
income tax unless such organization is subject to the tax on unrelated business
taxable income).
1That the Owner is aware (i) of the tax that would be imposed on
transfers of Class R Certificates to disqualified organizations or electing
large partnerships, under the Code, that applies to all transfers of Class R
Certificates after March 31, 1988; (ii) that such tax would be on the transferor
or, with respect to transfers to electing large partnerships, on such
partnership, or, if such transfer is through an agent (which person includes a
broker, nominee or middleman) for a disqualified organization, on the agent;
(iii) that the person (other than with respect to transfers to electing large
partnerships) otherwise liable for the tax shall be relieved of liability for
the tax if the transferee furnishes to such person an affidavit that the
transferee is not a disqualified organization and, at the time of transfer, such
person does not have actual knowledge that the affidavit is false; and (iv) that
the Class R Certificates may be "noneconomic residual interests" within the
meaning of Treasury regulations promulgated pursuant to the Code and that the
transferor of a noneconomic residual interest will remain liable for any taxes
due with respect to the income on such residual interest, unless no significant
purpose of the transfer was to impede the assessment or collection of tax.
1That the Owner is aware of the tax imposed on a "pass-through entity"
holding Class R Certificates either the pass-through entity is an electing large
partnership under Section 775(a) of the Code or if at any time during the
taxable year of the pass-through entity a disqualified organization is the
record holder of an interest in such entity. (For this purpose, a "pass through
entity" includes a regulated investment company, a real estate investment trust
or common trust fund, a partnership, trust or estate, and certain cooperatives.)
1The Owner is a citizen or resident of the United States, a
corporation, partnership or other entity created or organized in, or under the
laws of, the United States or any political subdivision thereof, or an estate
that is described in Section 7701(a)(30)(D) of the Code, or a trust that is
described in Section 7701(a)(30)(E) of the Code.
1That the Owner is aware that the Trustee will not register the
transfer of any Class R Certificates unless the transferee, or the transferee's
agent, delivers to it an affidavit and agreement, among other things, in
substantially the same form as this affidavit and agreement. The Owner expressly
agrees that it will not consummate any such transfer if it knows or believes
that any of the representations contained in such affidavit and agreement are
false.
1That the Owner has reviewed the restrictions set forth on the face of
the Class R Certificates and the provisions of Section 5.02(f) of the Pooling
and Servicing Agreement under which the Class R Certificates were issued (in
particular, clause (iii)(A) and (iii)(B) of Section 5.02(f) which authorize the
Trustee to deliver payments to a person other than the Owner and negotiate a
mandatory sale by the Trustee in the event the Owner holds such Certificates in
violation of Section 5.02(f)). The Owner expressly agrees to be bound by and to
comply with such restrictions and provisions.
1That the Owner consents to any additional restrictions or
arrangements that shall be deemed necessary upon advice of counsel to constitute
a reasonable arrangement to ensure that the Class R Certificates will only be
owned, directly or indirectly, by an Owner that is not a disqualified
organization.
1The Owner's Taxpayer Identification Number is .
1This affidavit and agreement relates only to the Class R Certificates held
by the Owner and not to any other holder of the Class R Certificates. The Owner
understands that the liabilities described herein relate only to the Class R
Certificates.
1That no purpose of the Owner relating to the transfer of any of the
Class R Certificates by the Owner is or will be to impede the assessment or
collection of any tax.
1That the Owner has no present knowledge or expectation that it will be
unable to pay any United States taxes owed by it so long as any of the
Certificates remain outstanding. In this regard, the Owner hereby represents to
and for the benefit of the person from whom it acquired the Class R Certificate
that the Owner intends to pay taxes associated with holding such Class R
Certificate as they become due, fully understanding that it may incur tax
liabilities in excess of any cash flows generated by the Class R Certificate.
1That the Owner has no present knowledge or expectation that it will
become insolvent or subject to a bankruptcy proceeding for so long as any of the
Class R Certificates remain outstanding.
1The Purchaser is not an employee benefit plan or other plan subject
to the prohibited transaction provisions of the Employee Retirement Income
Security Act of 1974, as amended ("ERISA"), or Section 4975 of the Internal
Revenue Code of 1986, as amended (the "Code"), or an investment manager, named
fiduciary or a trustee of any such plan, or any other Person acting, directly or
indirectly, on behalf of or purchasing any Certificate with "plan assets" of any
such plan.
IN WITNESS WHEREOF, the Owner has caused this instrument to be
executed on its behalf, pursuant to the authority of its Board of Directors, by
its [Title of Officer] and its corporate seal to be hereunto attached, attested
by its [Assistant] Secretary, this day of , 199 .
[NAME OF OWNER]
By:
[Name of Officer]
[Title of Officer]
[Corporate Seal]
ATTEST:
[Assistant] Secretary
Personally appeared before me the above-named [Name of Officer],
known or proved to me to be the same person who executed the foregoing
instrument and to be the [Title of Officer] of the Owner, and acknowledged to me
that he executed the same as his free act and deed and the free act and deed of
the Owner.
Subscribed and sworn before me this ___ day of ____ , 199__.
NOTARY PUBLIC
COUNTY OF
STATE OF
My Commission expires the ___ day of ______, 19__.
I-1 -2
EXHIBIT I-2
FORM OF TRANSFEROR CERTIFICATE
, 19
Residential Accredit Loans, Inc.
0000 Xxxxxxxxxx Xxxx Xxxxxxxxx
Xxxxx 000
Xxxxxxxxxxx, Xxxxxxxxx 00000
Bankers Trust Company
0 Xxxx Xxxxx
Xxxxxx, Xxxxxxxxxx 00000
Attention: Residential Accredit Loans, Inc. Series 1998-QS11
Re: Mortgage Asset-Backed Pass-Through Certificates,
Series 1998-QS11, Class R
Ladies and Gentlemen:
This letter is delivered to you in connection with the transfer by
(the "Seller") to (the "Purchaser") of $ Initial Certificate Principal Balance
of Mortgage Asset-Backed Pass-Through Certificates, Series 1998-QS11, Class R
(the "Certificates"), pursuant to Section 5.02 of the Pooling and Servicing
Agreement (the "Pooling and Servicing Agreement"), dated as of August 1, 1998
among Residential Accredit Loans, Inc., as seller (the "Company"), Residential
Funding Corporation, as master servicer, and Bankers Trust Company, as trustee
(the "Trustee"). All terms used herein and not otherwise defined shall have the
meanings set forth in the Pooling and Servicing Agreement. The Seller hereby
certifies, represents and warrants to, and covenants with, the Company and the
Trustee that:
No purpose of the Seller relating to the transfer of the Certificate
by the Seller to the Purchaser is or will be to impede the assessment or
collection of any tax.
The Seller understands that the Purchaser has delivered to the Trustee and
the Master Servicer a transfer affidavit and agreement in the form attached to
the Pooling and Servicing Agreement as Exhibit I-1. The Seller does not know or
believe that any representation contained therein is false.
The Seller has at the time of the transfer conducted a reasonable
investigation of the financial condition of the Purchaser as contemplated by
Treasury Regulations Section 1.860E-1(c)(4)(i) and, as a result of that
investigation, the Seller has determined that the Purchaser has historically
paid its debts as they become due and has found no significant evidence to
indicate that the Purchaser will not continue to pay its debts as they become
due in the future. The Seller understands that the transfer of a Class R
Certificate may not be respected for United States income tax purposes (and the
Seller may continue to be liable for United States income taxes associated
therewith) unless the Seller has conducted such an investigation.
The Seller has no actual knowledge that the proposed Transferee is not
both a United States Person and a Permitted Transferee.
Very truly yours,
(Seller)
By:
Name:
Title:
EXHIBIT J-1
FORM OF INVESTOR REPRESENTATION LETTER
, 19
Residential Accredit Loans, Inc.
0000 Xxxxxxxxxx Xxxx Xxxxxxxxx
Xxxxx 000
Xxxxxxxxxxx, XX 00000
Bankers Trust Company
0 Xxxx Xxxxx
Xxxxxx, Xxxxxxxxxx 00000
Attention: Residential Accredit Loans, Inc. Series 1998-QS11
RE: Mortgage Asset-Backed Pass-Through Certificates,
Series 1998-QS11, [Class B-]
Ladies and Gentlemen:
__________ (the "Purchaser") intends to purchase from (the "Seller") $
Initial Certificate Principal Balance of Mortgage Asset-Backed Pass-Through
Certificates, Series 1998-QS11, Class (the "Certificates"), issued pursuant to
the Pooling and Servicing Agreement (the "Pooling and Servicing Agreement"),
dated as of August 1, 1998 among Residential Accredit Loans, Inc., as seller
(the "Company"), Residential Funding Corporation, as master servicer (the
"Master Servicer"), and Bankers Trust Company, as trustee (the "Trustee"). All
terms used herein and not otherwise defined shall have the meanings set forth in
the Pooling and Servicing Agreement. The Purchaser hereby certifies, represents
and warrants to, and covenants with, the Company and the Trustee and the Master
Servicer that:
1. The Purchaser understands that (a) the Certificates have
not been and will not be registered or qualified under the
Securities Act of 1933, as amended (the "Act") or any state
securities law, (b) the Company is not required to so register or
qualify the Certificates, (c) the Certificates may be resold only if
registered and qualified pursuant to the provisions of the Act or
any state securities law, or if an exemption from such registration
and qualification is available, (d) the Pooling and Servicing
Agreement contains restrictions regarding the transfer of the
Certificates and (e) the Certificates will bear a legend to the
foregoing effect.
2. The Purchaser is acquiring the Certificates for its own
account for investment only and not with a view to or for sale in
connection with any distribution thereof in any manner that would
violate the Act or any applicable state securities laws.
3. The Purchaser is (a) a substantial, sophisticated
institutional investor having such knowledge and experience in
financial and business matters, and, in particular, in such matters
related to securities similar to the Certificates, such that it is
capable of evaluating the merits and risks of investment in the
Certificates, (b) able to bear the economic risks of such an
investment and (c) an "accredited investor" within the meaning of Rule
501(a) promulgated pursuant to the Act.
4. The Purchaser has been furnished with, and has had an
opportunity to review (a) [a copy of the Private Placement
Memorandum, dated , 19 , relating to the Certificates (b)] a copy of
the Pooling and Servicing Agreement and [b] [c] such other
information concerning the Certificates, the Mortgage Loans and the
Company as has been requested by the Purchaser from the Company or
the Seller and is relevant to the Purchaser's decision to purchase
the Certificates. The Purchaser has had any questions arising from
such review answered by the Company or the Seller to the
satisfaction of the Purchaser. [If the Purchaser did not purchase
the Certificates from the Seller in connection with the initial
distribution of the Certificates and was provided with a copy of the
Private Placement Memorandum (the "Memorandum") relating to the
original sale (the "Original Sale") of the Certificates by the
Company, the Purchaser acknowledges that such Memorandum was
provided to it by the Seller, that the Memorandum was prepared by
the Company solely for use in connection with the Original Sale and
the Company did not participate in or facilitate in any way the
purchase of the Certificates by the Purchaser from the Seller, and
the Purchaser agrees that it will look solely to the Seller and not
to the Company with respect to any damage, liability, claim or
expense arising out of, resulting from or in connection with (a)
error or omission, or alleged error or omission, contained in the
Memorandum, or (b) any information, development or event arising
after the date of the Memorandum.]
5. The Purchaser has not and will not nor has it authorized or
will it authorize any person to (a) offer, pledge, sell, dispose of
or otherwise transfer any Certificate, any interest in any
Certificate or any other similar security to any person in any
manner, (b) solicit any offer to buy or to accept a pledge,
disposition of other transfer of any Certificate, any interest in
any Certificate or any other similar security from any person in any
manner, (c) otherwise approach or negotiate with respect to any
Certificate, any interest in any Certificate or any other similar
security with any person in any manner, (d) make any general
solicitation by means of general advertising or in any other manner
or (e) take any other action, that (as to any of (a) through (e)
above) would constitute a distribution of any Certificate under the
Act, that would render the disposition of any Certificate a
violation of Section 5 of the Act or any state securities law, or
that would require registration or qualification pursuant thereto.
The Purchaser will not sell or otherwise transfer any of the
Certificates, except in compliance with the provisions of the
Pooling and Servicing Agreement.
6. The Purchaser
(a) is not an employee benefit or other plan
subject to the prohibited transaction provisions of the
Employee Retirement Income Security Act of 1974, as
amended ("ERISA"), or Section 4975 of the Internal
Revenue Code of 1986, as amended (the "Code") (a
"Plan"), or any other person (including an investment
manager, a named fiduciary or a trustee of any Plan)
acting, directly or indirectly, on behalf of or
purchasing any Certificate with "plan assets" of any
Plan within the meaning of the Department of Labor
("DOL") regulation at 29 C.F.R. ss.2510.3-101; or
(b) is an insurance company, the source of funds to be
used by it to purchase the Certificates is an "insurance
company general account" (within the meaning of DOL
Prohibited Transaction Class Exemption ("PTCE") 95-60), and
the purchase is being made in reliance upon the availability
of the exemptive relief afforded under Sections I and III of
PTCE 95-60.
In addition, the Purchaser hereby certifies, represents and warrants
to, and covenants with, the Company, the Trustee and the Master Servicer that
the Purchaser will not transfer such Certificates to any Plan or person unless
such Plan or person meets the requirements set forth in either (a) or (b) above.
Very truly yours,
By:
Name:
Title:
EXHIBIT J-2
FORM OF ERISA REPRESENTATION LETTER
, 199
Residential Funding Corporation
0000 Xxxxxxxxxx Xxxx Xxxxxxxxx
Xxxxx 000
Xxxxxxxxxxx, Xxxxxxxxx 00000
Residential Accredit Loans, Inc.
0000 Xxxxxxxxxx Xxxx Xxxxxxxxx
Xxxxx 000
Xxxxxxxxxxx, Xxxxxxxxx 00000
Bankers Trust Company
Xxxx Xxxxxx Xxxxxx
Xxx Xxxx, Xxx Xxxx 00000
Attention: Residential Accredit Loans, Inc. Series 1998-QS11
Re: Mortgage Asset-Backed Pass-Through Certificates, Series 1998-QS11, Class M-
__
Dear Sirs:
______ (the "Purchaser") intends to purchase from (the "Seller") $________
Initial Certificate Principal Balance of Mortgage Asset-Backed Pass-Through
Certificates, Series 1998-QS11, Class M- (the "Certificates"), issued pursuant
to the Pooling and Servicing Agreement (the "Pooling and Servicing Agreement"),
dated as of August 1, 1998, among Residential Accredit Loans, Inc., as seller
(the "Company"), Residential Funding Corporation, as master ---- servicer (the
"Master Servicer") and Bankers Trust Company, as (the "Trustee"). All terms used
herein and not otherwise defined shall have the meanings set forth in the
Pooling and Servicing Agreement. The Purchaser hereby certifies, represents and
warrants to, and covenants with the Company, the Trustee and the Master Servicer
that either:
the Purchaser is not an employee benefit or other plan subject
to the prohibited transaction provisions of the Employee Retirement
Income Security Act of 1974, as amended ("ERISA"), or Section 4975
of the Internal Revenue Code of 1986, as amended (the "Code") (a
"Plan"), or any other person (including an investment manager, a
named fiduciary or a trustee of any Plan) acting, directly or
indirectly, on behalf of or purchasing any Certificate with "plan
assets" of any Plan within the meaning of the Department of Labor
("DOL") regulation at 29 C.F.R. ss.2510.3-101; or
The Purchaser is an insurance company, the source of funds to
be used by it to purchase the Certificates is an "insurance company general
account" (within the meaning of DOL Prohibited Transaction Class Exemption
("PTCE") 95-60), and the purchase is being made in reliance upon the
availability of the exemptive relief afforded under Sections I and III of PTCE
95-60.
In addition, the Purchaser hereby certifies, represents and warrants
to, and covenants with, the Company, the Trustee and the Master Servicer that
the Purchaser will not transfer such Certificates to any Plan or person unless
such Plan or person meets the requirements set forth in either (a) or (b) above.
Very truly yours,
By:
Name:
Title:
EXHIBIT K
FORM OF TRANSFEROR REPRESENTATION LETTER
, 19
Residential Accredit Loans, Inc.
0000 Xxxxxxxxxx Xxxx Xxxxxxxxx
Xxxxx 000
Xxxxxxxxxxx, XX 00000
Bankers Trust Company
0 Xxxx Xxxxx
Xxxxxx, Xxxxxxxxxx 00000
Attention: Residential Accredit Loans, Inc. Series 1998-QS11
Re: Mortgage Asset-Backed Pass-Through Certificates, Series 1998-QS11, [Class
B-]
Ladies and Gentlemen:
In connection with the sale by (the "Seller") __________to (the
"Purchaser")______________ of $_________ Initial Certificate Principal Balance
of Mortgage Asset-Backed Pass-Through Certificates, Series 1998-QS11, Class (the
"Certificates"), issued pursuant to the Pooling and Servicing Agreement (the
"Pooling and Servicing Agreement"), dated as of August 1, 1998 among Residential
Accredit Loans, Inc., as seller (the "Company"), Residential Funding
Corporation, as master servicer, and Bankers Trust Company, as trustee (the
"Trustee"). The Seller hereby certifies, represents and warrants to, and
covenants with, the Company and the Trustee that:
Neither the Seller nor anyone acting on its behalf has (a) offered,
pledged, sold, disposed of or otherwise transferred any Certificate, any
interest in any Certificate or any other similar security to any person in any
manner, (b) has solicited any offer to buy or to accept a pledge, disposition or
other transfer of any Certificate, any interest in any Certificate or any other
similar security from any person in any manner, (c) has otherwise approached or
negotiated with respect to any Certificate, any interest in any Certificate or
any other similar security with any person in any manner, (d) has made any
general solicitation by means of general advertising or in any other manner, or
(e) has taken any other action, that (as to any of (a) through (e) above) would
constitute a distribution of the Certificates under the Securities Act of 1933
(the "Act"), that would render the disposition of any Certificate a violation of
Section 5 of the Act or any state securities law, or that would require
registration or qualification pursuant thereto. The Seller will not act, in any
manner set forth in the foregoing sentence with respect to any Certificate. The
Seller has not and will not sell or otherwise transfer any of the Certificates,
except in compliance with the provisions of the Pooling and Servicing Agreement.
Very truly yours,
(Seller)
By:
Name:
Title:
EXHIBIT L
[FORM OF RULE 144A INVESTMENT REPRESENTATION]
Description of Rule 144A Securities, including numbers:
The undersigned seller, as registered holder (the "Seller"), intends
to transfer the Rule 144A Securities described above to the undersigned buyer
(the "Buyer").
1. In connection with such transfer and in accordance with the
agreements pursuant to which the Rule 144A Securities were issued, the Seller
hereby certifies the following facts: Neither the Seller nor anyone acting on
its behalf has offered, transferred, pledged, sold or otherwise disposed of the
Rule 144A Securities, any interest in the Rule 144A Securities or any other
similar security to, or solicited any offer to buy or accept a transfer, pledge
or other disposition of the Rule 144A Securities, any interest in the Rule 144A
Securities or any other similar security from, or otherwise approached or
negotiated with respect to the Rule 144A Securities, any interest in the Rule
144A Securities or any other similar security with, any person in any manner, or
made any general solicitation by means of general advertising or in any other
manner, or taken any other action, that would constitute a distribution of the
Rule 144A Securities under the Securities Act of 1933, as amended (the "1933
Act"), or that would render the disposition of the Rule 144A Securities a
violation of Section 5 of the 1933 Act or require registration pursuant thereto,
and that the Seller has not offered the Rule 144A Securities to any person other
than the Buyer or another "qualified institutional buyer" as defined in Rule
144A under the 0000 Xxx.
2. The Buyer warrants and represents to, and covenants with, the Seller,
the Trustee and the Master Servicer (as defined in the Pooling and Servicing
Agreement (the "Agreement"), dated as of August 1, 1998 among Residential
Funding Corporation as Master Servicer, Residential Accredit Loans, Inc. as
depositor pursuant to Section 5.02 of the Agreement and Bankers Trust Company,
as trustee, as follows:
a. The Buyer understands that the Rule 144A Securities have not been
registered under the 1933 Act or the securities laws of any state.
b. The Buyer considers itself a substantial, sophisticated
institutional investor having such knowledge and experience in financial
and business matters that it is capable of evaluating the merits and risks
of investment in the Rule 144A Securities.
c. The Buyer has been furnished with all information regarding the
Rule 144A Securities that it has requested from the Seller, the Trustee or
the Servicer.
d. Neither the Buyer nor anyone acting on its behalf has
offered, transferred, pledged, sold or otherwise disposed of the Rule 144A
Securities, any interest in the Rule 144A Securities or any other similar
security to, or solicited any offer to buy or accept a transfer, pledge or
other disposition of the Rule 144A Securities, any interest in the Rule
144A Securities or any other similar security from, or otherwise
approached or negotiated with respect to the Rule 144A Securities, any
interest in the Rule 144A Securities or any other similar security with,
any person in any manner, or made any general solicitation by means of
general advertising or in any other manner, or taken any other action,
that would constitute a distribution of the Rule 144A Securities under the
1933 Act or that would render the disposition of the Rule 144A Securities
a violation of Section 5 of the 1933 Act or require registration pursuant
thereto, nor will it act, nor has it authorized or will it authorize any
person to act, in such manner with respect to the Rule 144A Securities.
e. The Buyer is a "qualified institutional buyer" as that term
is defined in Rule 144A under the 1933 Act and has completed either of the
forms of certification to that effect attached hereto as Annex 1 or Annex
2. The Buyer is aware that the sale to it is being made in reliance on
Rule 144A. The Buyer is acquiring the Rule 144A Securities for its own
account or the accounts of other qualified institutional buyers,
understands that such Rule 144A Securities may be resold, pledged or
transferred only (i) to a person reasonably believed to be a qualified
institutional buyer that purchases for its own account or for the account
of a qualified institutional buyer to whom notice is given that the
resale, pledge or transfer is being made in reliance on Rule 144A, or (ii)
pursuant to another exemption from registration under the 1933 Act.
[3. The Buyer
a. is not an employee benefit or other plan subject to the
prohibited transaction provisions of the Employee Retirement Income
Security Act of 1974, as amended ("ERISA"), or Section 4975 of the
Internal Revenue Code of 1986, as amended (the "Code") (a "Plan"), or any
other person (including an investment manager, a named fiduciary or a
trustee of any Plan) acting, directly or indirectly, on behalf of or
purchasing any Certificate with "plan assets" of any Plan within the
meaning of the Department of Labor ("DOL") regulation at 29 C.F.R. ss.
2510.3-101; or
b. is an insurance company, the source of funds to be used by it to
purchase the Certificates is an "insurance company general account" (DOL
Prohibited Transaction Class Exemption ("PTCE") 95-60), and the purchase is
being made in reliance upon the availability of the exemptive relief
afforded under Sections I and III of PTCE 95-60.]
4. This document may be executed in one or more counterparts and by the
different parties hereto on separate counterparts, each of which, when so
executed, shall be deemed to be an original; such counterparts, together, shall
constitute one and the same document.
IN WITNESS WHEREOF, each of the parties has executed this document
as of the date set forth below.
Print Name of Seller Print Name of Buyer
By: By:
Name: Name:
Title: Title:
Taxpayer Identification: Taxpayer Identification:
No. No.
Date: Date:
DOCSNY1:483811.4 @db704!.doc
6863-343 L-2
ANNEX 1 TO EXHIBIT L
QUALIFIED INSTITUTIONAL BUYER STATUS UNDER SEC RULE 144A
[For Buyers Other Than Registered Investment Companies]
The undersigned hereby certifies as follows in connection with the
Rule 144A Investment Representation to which this Certification is attached:
1. As indicated below, the undersigned is the President, Chief
Financial Officer, Senior Vice President or other executive officer of the
Buyer.
2. In connection with purchases by the Buyer, the Buyer is a "qualified
institutional buyer" as that term is defined in Rule 144A under the Securities
Act of 1933 ("Rule 144A") because (i) the Buyer owned and/or invested on a
discretionary basis $ in securities (except for the excluded securities referred
to below) as of the end of the Buyer's most recent fiscal year (such amount
being calculated in accordance with Rule 144A) and (ii) the Buyer satisfies the
criteria in the category marked below.
Corporation, etc. The Buyer is a corporation (other than a bank, savings
and loan association or similar institution), Massachusetts or similar business
trust, partnership, or charitable organization described in Section 501(c)(3) of
the Internal Revenue Code. Bank. The Buyer (a) is a national bank or banking
institution organized under the laws of any State, territory or the District of
Columbia, the business of which is substantially confined to banking and is
supervised by the State or territorial banking commission or similar official or
is a foreign bank or equivalent institution, and (b) has an audited net worth of
at least $25,000,000 as demonstrated in its latest annual financial statements,
a copy of which is attached hereto. Savings and Loan. The Buyer (a) is a savings
and loan association, building and loan association, cooperative bank, homestead
association or similar institution, which is supervised and examined by a State
or Federal authority having supervision over any such institutions or is a
foreign savings and loan association or equivalent institution and (b) has an
audited net worth of at least $25,000,000 as demonstrated in its latest annual
financial statements. Broker-Dealer. The Buyer is a dealer registered pursuant
to Section 15 of the Securities Exchange Act of 1934. Insurance Company. The
Buyer is an insurance company whose primary and predominant business activity is
the writing of insurance or the reinsuring of risks underwritten by insurance
companies and which is subject to supervision by the insurance commissioner or a
similar official or agency of a State or territory or the District of Columbia.
State or Local Plan. The Buyer is a plan established and maintained by a State,
its political subdivisions, or any agency or instrumentality of the State or its
political subdivisions, for the benefit of its employees. ERISA Plan. The Buyer
is an employee benefit plan within the meaning of Title I of the Employee
Retirement Income Security Act of 1974. Investment Adviser. The Buyer is an
investment adviser registered under the Investment Advisers Act of 1940. SBIC.
The Buyer is a Small Business Investment Company licensed by the U.S. Small
Business Administration under Section 301(c) or (d) of the Small Business
Investment Act of 1958. Business Development Company. The Buyer is a business
development company as defined in Section 202(a)(22) of the Investment Advisers
Act of 1940. Trust Fund. The Buyer is a trust fund whose trustee is a bank or
trust company and whose participants are exclusively (a) plans established and
maintained by a State, its political subdivisions, or any agency or
instrumentality of the State or its political subdivisions, for the benefit of
its employees, or (b) employee benefit plans within the meaning of Title I of
the Employee Retirement Income Security Act of 1974, but is not a trust fund
that includes as participants individual retirement acc H.R. 10 plans.
3. The term "securities" as used herein does not include (i) securities of
issuers that are affiliated with the Buyer, (ii) securities that are part of an
unsold allotment to or subscription by the Buyer, if the Buyer is a dealer,
(iii) bank deposit notes and certificates of deposit, (iv) loan participations,
(v) repurchase agreements, (vi) securities owned but subject to a repurchase
agreement and (vii) currency, interest rate and commodity swaps.
4. For purposes of determining the aggregate amount of securities owned
and/or invested on a discretionary basis by the Buyer, the Buyer used the cost
of such securities to the Buyer and did not include any of the securities
referred to in the preceding paragraph. Further, in determining such aggregate
amount, the Buyer may have included securities owned by subsidiaries of the
Buyer, but only if such subsidiaries are consolidated with the Buyer in its
financial statements prepared in accordance with generally accepted accounting
principles and if the investments of such subsidiaries are managed under the
Buyer's direction. However, such securities were not included if the Buyer is a
majority-owned, consolidated subsidiary of another enterprise and the Buyer is
not itself a reporting company under the Securities Exchange Act of 1934.
5. The Buyer acknowledges that it is familiar with Rule 144A and
understands that the seller to it and other parties related to the Certificates
are relying and will continue to rely on the statements made herein because one
or more sales to the Buyer may be in reliance on Rule 144A.
Will the Buyer be purchasing the Rule 144A
Yes No Securities only for the Buyer's own account?
6. If the answer to the foregoing question is "no", the Buyer agrees that,
in connection with any purchase of securities sold to the Buyer for the account
of a third party (including any separate account) in reliance on Rule 144A, the
Buyer will only purchase for the account of a third party that at the time is a
"qualified institutional buyer" within the meaning of Rule 144A. In addition,
the Buyer agrees that the Buyer will not purchase securities for a third party
unless the Buyer has obtained a current representation letter from such third
party or taken other appropriate steps contemplated by Rule 144A to conclude
that such third party independently meets the definition of "qualified
institutional buyer" set forth in Rule 144A.
7. The Buyer will notify each of the parties to which this certification is
made of any changes in the information and conclusions herein. Until such notice
is given, the Buyer's purchase of Rule 144A Securities will constitute a
reaffirmation of this certification as of the date of such purchase.
Print Name of Buyer
By:
Name:
Title:
Date:
L-3
ANNEX 2 TO EXHIBIT L
QUALIFIED INSTITUTIONAL BUYER STATUS UNDER SEC RULE 144A
[For Buyers That Are Registered Investment Companies]
The undersigned hereby certifies as follows in connection with the
Rule 144A Investment Representation to which this Certification is attached:
1. s indicated below, the undersigned is the President, Chief Financial
Officer or Senior Vice President of the Buyer or, if the Buyer is a "qualified
institutional buyer" as that term is defined in Rule 144A under the Securities
Act of 1933 ("Rule 144A") because Buyer is part of a Family of Investment
Companies (as defined below), is such an officer of the Adviser.
2. n connection with purchases by Buyer, the Buyer is a "qualified
institutional buyer" as defined in SEC Rule 144A because (i) the Buyer is an
investment company registered under the Investment Company Act of 1940, and (ii)
as marked below, the Buyer alone, or the Buyer's Family of Investment Companies,
owned at least $100,000,000 in securities (other than the excluded securities
referred to below) as of the end of the Buyer's most recent fiscal year. For
purposes of determining the amount of securities owned by the Buyer or the
Buyer's Family of Investment Companies, the cost of such securities was used.
The Buyer owned $______ in securities (other than the excluded securities
referred to below) as of the end of the Buyer's most recent fiscal year
(such amount being calculated in accordance with Rule 144A). The Buyer is
part of a Family of Investment Companies which owned in the aggregate $ in
securities (other than the excluded securities referred to below) as of the
end of the Buyer's most recent fiscal year (such amount being calculated in
accordance with Rule 144A).
3. The term "Family of Investment Companies" as used herein means two or
more registered investment companies (or series thereof) that have the same
investment adviser or investment advisers that are affiliated (by virtue of
being majority owned subsidiaries of the same parent or because one investment
adviser is a majority owned subsidiary of the other).
4. The term "securities" as used herein does not include (i) securities of
issuers that are affiliated with the Buyer or are part of the Buyer's Family of
Investment Companies, (ii) bank deposit notes and certificates of deposit, (iii)
loan participations, (iv) repurchase agreements, (v) securities owned but
subject to a repurchase agreement and (vi) currency, interest rate and commodity
swaps.
5. The Buyer is familiar with Rule 144A and understands that each of the
parties to which this certification is made are relying and will continue to
rely on the statements made herein because one or more sales to the Buyer will
be in reliance on Rule 144A. In addition, the Buyer will only purchase for the
Buyer's own account.
6. The undersigned will notify each of the parties to which this
certification is made of any changes in the information and conclusions herein.
Until such notice, the Buyer's purchase of Rule 144A Securities will constitute
a reaffirmation of this certification by the undersigned as of the date of such
purchase.
Print Name of Buyer
By:
Name:
Title:
IF AN ADVISER:
Print Name of Buyer
Date:
L-4
EXHIBIT M
[TEXT OF AMENDMENT TO POOLING AND SERVICING
AGREEMENT PURSUANT TO SECTION 11.01(E) FOR A
LIMITED GUARANTY]
ARTICLE XII
Subordinate Certificate Loss Coverage; Limited Guaranty
Section 12.01. Subordinate Certificate Loss Coverage; Limited
Guaranty. (a) Subject to subsection (c) below, prior to the later of the third
Business Day prior to each Distribution Date or the related Determination Date,
the Master Servicer shall determine whether it or any Subservicer will be
entitled to any reimbursement pursuant to Section 4.02(a) on such Distribution
Date for Advances or Subservicer Advances previously made, (which will not be
Advances or Subservicer Advances that were made with respect to delinquencies
which were subsequently determined to be Excess Special Hazard Losses, Excess
Fraud Losses, Excess Bankruptcy Losses or Extraordinary Losses) and, if so, the
Master Servicer shall demand payment from Residential Funding of an amount equal
to the amount of any Advances or Subservicer Advances reimbursed pursuant to
Section 4.02(a), to the extent such Advances or Subservicer Advances have not
been included in the amount of the Realized Loss in the related Mortgage Loan,
and shall distribute the same to the Class B Certificateholders in the same
manner as if such amount were to be distributed pursuant to Section 4.02(a).
Subject to subsection (c) below, prior to the later of the
third Business Day prior to each Distribution Date or the related
Determination Date, the Master Servicer shall determine whether any
Realized Losses (other than Excess Special Hazard Losses, Excess
Bankruptcy Losses, Excess Fraud Losses and Extraordinary Losses)
will be allocated to the Class B Certificates on such Distribution
Date pursuant to Section 4.05, and, if so, the Master Servicer shall
demand payment from Residential Funding of the amount of such
Realized Loss and shall distribute the same to the Class B
Certificateholders in the same manner as if such amount were to be
distributed pursuant to Section 4.02(a); provided, however, that the
amount of such demand in respect of any Distribution Date shall in
no event be greater than the sum of (i) the additional amount of
Accrued Certificate Interest that would have been paid for the Class
B Certificateholders on such Distribution Date had such Realized
Loss or Losses not occurred plus (ii) the amount of the reduction in
the Certificate Principal Balances of the Class B Certificates on
such Distribution Date due to such Realized Loss or Losses.
Notwithstanding such payment, such Realized Losses shall be deemed
to have been borne by the Certificateholders for purposes of
1 Excess Special Hazard Losses, Excess Fraud Losses, Excess Bankruptcy
Losses and Extraordinary Losses allocated to the Class B Certificates will not
be covered by the Subordinate Certificate Loss Obligation.
(c) Demands for payments pursuant to this Section shall be made prior to
the later of the third Business Day prior to each Distribution Date or the
related Determination Date by the Master Servicer with written notice thereof to
the Trustee. The maximum amount that Residential Funding shall be required to
pay pursuant to this Section on any Distribution Date (the "Amount Available")
shall be equal to the lesser of (X) minus the sum of (i) all previous payments
made under subsections (a) and (b) hereof and (ii) all draws
under the Limited Guaranty made in lieu of such payments as described below in
subsection (d) and (Y) the then outstanding Certificate Principal Balances of
the Class B Certificates, or such lower amount as may be established pursuant to
Section 12.02. Residential Funding's obligations as described in this Section
are referred to herein as the "Subordinate Certificate Loss Obligation."
(d) The Trustee will promptly notify General Motors Acceptance
Corporation of any failure of Residential Funding to make any payments hereunder
and shall demand payment pursuant to the limited guaranty (the "Limited
Guaranty"), executed by General Motors Acceptance Corporation, of Residential
Funding's obligation to make payments pursuant to this Section, in an amount
equal to the lesser of (i) the Amount Available and (ii) such required payments,
by delivering to General Motors Acceptance Corporation a written demand for
payment by wire transfer, not later than the second Business Day prior to the
Distribution Date for such month, with a copy to the Master Servicer.
(e) All payments made by Residential Funding pursuant to this Section or
amounts paid under the Limited Guaranty shall be deposited directly in the
Certificate Account, for distribution on the Distribution Date for such month to
the Class B Certificateholders.
(f) The Company shall have the option, in its sole discretion, to
substitute for either or both of the Limited Guaranty or the Subordinate
Certificate Loss Obligation another instrument in the form of a corporate
guaranty, an irrevocable letter of credit, a surety bond, insurance policy or
similar instrument or a reserve fund; provided that (i) the Company obtains
(subject to the provisions of Section 10.01(f) as if the Company was substituted
for the Master Servicer solely for the purposes of such provision) an Opinion of
Counsel (which need not be an opinion of Independent counsel) to the effect that
obtaining such substitute corporate guaranty, irrevocable letter of credit,
surety bond, insurance policy or similar instrument or reserve fund will not
cause either (a) any federal tax to be imposed on the Trust Fund, including
without limitation, any federal tax imposed on "prohibited transactions" under
Section 860(F)(a)(1) of the Code or on "contributions after the startup date"
under Section 860(G)(d)(1) of the Code or (b) the Trust Fund to fail to qualify
as a REMIC at any time that any Certificate is outstanding, and (ii) no such
substitution shall be made unless (A) the substitute Limited Guaranty or
Subordinate Certificate Loss Obligation is for an initial amount not less than
the then current Amount Available and contains provisions that are in all
material respects equivalent to the original Limited Guaranty or Subordinate
Certificate Loss Obligation (including that no portion of the fees,
reimbursements or other obligations under any such instrument will be borne by
the Trust Fund), (B) the long term debt obligations of any obligor of any
substitute Limited Guaranty or Subordinate Certificate Loss Obligation (if not
supported by the Limited Guaranty) shall be rated at least the lesser of (a) the
rating of the long term debt obligations of General Motors Acceptance
Corporation as of the date of issuance of the Limited Guaranty and (b) the
rating of the long term debt obligations of General Motors Acceptance
Corporation at the date of such substitution and (C) the Company obtains written
confirmation from each nationally recognized credit rating agency that rated the
Class B Certificates at the request of the Company that such substitution shall
not lower the rating on the Class B Certificates below the lesser of (a) the
then-current rating assigned to the Class B Certificates by such rating agency
and (b) the original rating assigned to the Class B Certificates by such rating
agency. Any replacement of the Limited Guaranty or Subordinate Certificate Loss
Obligation pursuant to this Section shall be accompanied by a written Opinion of
Counsel to the substitute guarantor or obligor, addressed to the Master Servicer
and the Trustee, that such substitute instrument constitutes a legal, valid and
binding obligation of the substitute guarantor or obligor, enforceable in
accordance with its terms, and concerning such other matters as the Master
Servicer and the Trustee shall reasonably request. Neither the Company, the
Master Servicer nor the Trustee shall be obligated to substitute for or replace
the Limited Guaranty or Subordinate Certificate Loss Obligation under any
circumstance.
Section 12.02. Amendments Relating to the Limited Guaranty.
Notwithstanding Sections 11.01 or 12.01: (i) the provisions of this Article XII
may be amended, superseded or deleted, (ii) the Limited Guaranty or Subordinate
Certificate Loss Obligation may be amended, reduced or canceled, and (iii) any
other provision of this Agreement which is related or incidental to the matters
described in this Article XII may be amended in any manner; in each case by
written instrument executed or consented to by the Company and Residential
Funding but without the consent of any Certificateholder and without the consent
of the Master Servicer or the Trustee being required unless any such amendment
would impose any additional obligation on, or otherwise adversely affect the
interests of, the Master Servicer or the Trustee, as applicable; provided that
the Company shall also obtain a letter from each nationally recognized credit
rating agency that rated the Class B Certificates at the request of the Company
to the effect that such amendment, reduction, deletion or cancellation will not
lower the rating on the Class B Certificates below the lesser of (a) the
then-current rating assigned to the Class B Certificates by such rating agency
and (b) the original rating assigned to the Class B Certificates by such rating
agency, unless (A) the Holder of 100% of the Class B Certificates is Residential
Funding or an Affiliate of Residential Funding, or (B) such amendment,
reduction, deletion or cancellation is made in accordance with Section 11.01(e)
and, provided further that the Company obtains (subject to the provisions of
Section 10.01(f) as if the Company was substituted for the Master Servicer
solely for the purposes of such provision), in the case of a material amendment
or supersession (but not a reduction, cancellation or deletion of the Limited
Guaranty or the Subordinate Certificate Loss Obligation), an Opinion of Counsel
(which need not be an opinion of Independent counsel) to the effect that any
such amendment or supersession will not cause either (a) any federal tax to be
imposed on the Trust Fund, including without limitation, any federal tax imposed
on "prohibited transactions" under Section 860F(a)(1) of the Code or on
"contributions after the startup date" under Section 860G(d)(1) of the Code or
(b) the Trust Fund to fail to qualify as a REMIC at any time that any
Certificate is outstanding. A copy of any such instrument shall be provided to
the Trustee and the Master Servicer together with an Opinion of Counsel that
such amendment complies with this Section 12.02.
EXHIBIT N
[FORM OF LIMITED GUARANTY]
LIMITED GUARANTY
RESIDENTIAL ACCREDIT LOANS, INC.
Mortgage Asset-Backed Pass-Through Certificates
Series 1998-QS11
, 199
Bankers Trust Company
0 Xxxx Xxxxx
Xxxxxx, Xxxxxxxxxx 00000
Attention: Residential Accredit Loans, Inc. Series 1998-QS11
Ladies and Gentlemen:
WHEREAS, Residential Funding Corporation, a Delaware corporation
("Residential Funding"), an indirect wholly-owned subsidiary of General Motors
Acceptance Corporation, a Delaware corporation ("GMAC"), plans to incur certain
obligations as described under Section 12.01 of the Pooling and Servicing
Agreement dated as of August 1, 1998 (the "Servicing Agreement"), among
Residential Accredit Loans, Inc. (the "Company"), Residential Funding and
Bankers Trust Company (the "Trustee") as amended by Amendment No. thereto, dated
as of , with respect to the Mortgage Asset-Backed Pass-Through Certificates,
Series 1998-QS11 (the "Certificates"); and
WHEREAS, pursuant to Section 12.01 of the Servicing Agreement,
Residential Funding agrees to make payments to the Holders of the Class B
Certificates with respect to certain losses on the Mortgage Loans as described
in the Servicing Agreement; and
WHEREAS, GMAC desires to provide certain assurances with respect to
the ability of Residential Funding to secure sufficient funds and faithfully to
perform its Subordinate Certificate Loss Obligation;
NOW THEREFORE, in consideration of the premises herein contained and
certain other good and valuable consideration, the receipt of which is hereby
acknowledged, GMAC agrees as follows:
1. Provision of Funds. (a) GMAC agrees to contribute and deposit in
the Certificate Account on behalf of Residential Funding (or otherwise provide
to Residential Funding, or to cause to be made available to Residential
Funding), either directly or through a subsidiary, in any case prior to the
related Distribution Date, such moneys as may be required by Residential Funding
to perform its Subordinate Certificate Loss Obligation when and as the same
arises from time to time upon the demand of the Trustee in accordance with
Section 12.01 of the Servicing Agreement.
(b) The agreement set forth in the preceding clause (a) shall be
absolute, irrevocable and unconditional and shall not be affected by the
transfer by GMAC or any other person of all or any part of its or their interest
in Residential Funding, by any insolvency, bankruptcy, dissolution or other
proceeding affecting Residential Funding or any other person, by any defense or
right of counterclaim, set-off or recoupment that GMAC may have against
Residential Funding or any other person or by any other fact or circumstance.
Notwithstanding the foregoing, GMAC's obligations under clause (a) shall
terminate upon the earlier of (x) substitution for this Limited Guaranty
pursuant to Section 12.01(f) of the Servicing Agreement, or (y) the termination
of the Trust Fund pursuant to the Servicing Agreement.
2. Waiver. GMAC hereby waives any failure or delay on the part of
Residential Funding, the Trustee or any other person in asserting or enforcing
any rights or in making any claims or demands hereunder. Any defective or
partial exercise of any such rights shall not preclude any other or further
exercise of that or any other such right. GMAC further waives demand,
presentment, notice of default, protest, notice of acceptance and any other
notices with respect to this Limited Guaranty, ------ including, without
limitation, those of action or nonaction on the part of Residential Funding or
the Trustee.
3. Modification, Amendment and Termination. This Limited Guaranty
may be modified, amended or terminated only by the written agreement of GMAC and
the Trustee and only if such modification, amendment or termination is permitted
under Section 12.02 of the Servicing Agreement. The obligations of GMAC under
this Limited Guaranty shall continue and remain in effect so long as the
Servicing Agreement is not modified or amended in any way that might affect the
obligations of GMAC under this Limited Guaranty without the prior written
consent of GMAC.
4. Successor. Except as otherwise expressly provided herein, the
guarantee herein set forth shall be binding upon GMAC and its respective
successors.
5. Governing Law. This Limited Guaranty shall be governed by the
laws of the State of New York.
6. Authorization and Reliance. GMAC understands that a copy of this Limited
Guaranty shall be delivered to the Trustee in connection with the execution of
Amendment No. 1 to the Servicing Agreement and GMAC hereby authorizes the
Company and the Trustee to rely on the covenants and agreements set forth
herein.
7. Definitions. Capitalized terms used but not otherwise defined herein
shall have the meaning given them in the Servicing Agreement.
8. Counterparts. This Limited Guaranty may be executed in any number of
counterparts, each of which shall be deemed to be an original and such
counterparts shall constitute but one and the same instrument.
IN WITNESS WHEREOF, GMAC has caused this Limited Guaranty to be
executed and delivered by its respective officers thereunto duly authorized as
of the day and year first above written.
GENERAL MOTORS ACCEPTANCE
CORPORATION
By:
Name:
Title:
Acknowledged by:
BANKERS TRUST COMPANY,
as Trustee
By:
Name:
Title:
RESIDENTIAL ACCREDIT LOANS, INC.
By:
Name:
Title:
EXHIBIT O
FORM OF LENDER CERTIFICATION FOR ASSIGNMENT OF MORTGAGE LOAN
, 19
Residential Accredit Loans, Inc.
0000 Xxxxxxxxxx Xxxx Xxxxxxxxx
Xxxxx 000
Xxxxxxxxxxx, Xxxxxxxxx 00000
Bankers Trust Company
0 Xxxx Xxxxx
Xxxxxx, Xxxxxxxxxx 00000
Attention: Residential Accredit Loans, Inc. Series 1998-QS11
Re: Mortgage Asset-Backed Pass-Through Certificates,
Series 1998-QS11 Assignment of Mortgage Loan
Ladies and Gentlemen:
This letter is delivered to you in connection with the assignment by
(the "Trustee") to (the "Lender") of (the "Mortgage Loan") pursuant to Section
3.13(d) of the Pooling and Servicing Agreement (the "Pooling and Servicing
Agreement"), dated as of August 1, 1998 among Residential Accredit Loans, Inc.,
as seller (the "Company"), Residential Funding Corporation, as master servicer,
and the Trustee. All terms used herein and not otherwise defined shall have the
meanings set forth in the Pooling and Servicing Agreement. The Lender hereby
certifies, represents and warrants to, and covenants with, the Master Servicer
and the Trustee that:
(i) the Mortgage Loan is secured by Mortgaged Property located in a
jurisdiction in which an assignment in lieu of satisfaction is required to
preserve lien priority, minimize or avoid mortgage recording taxes or otherwise
comply with, or facilitate a refinancing under, the laws of such jurisdiction;
(ii) the substance of the assignment is, and is intended to be, a
refinancing of such Mortgage Loan and the form of the transaction is solely to
comply with, or facilitate the transaction under, such local laws;
(iii) the Mortgage Loan following the proposed assignment will be modified
to have a rate of interest at least 0.25 percent below or above the rate of
interest on such Mortgage Loan prior to such proposed assignment; and
(iv) such assignment is at the request of the borrower under the related
Mortgage Loan.
Very truly yours,
(Lender)
By:
Name:
Title:
EXHIBIT P
SCHEDULE OF DISCOUNT FRACTIONS
Schedule of Discount Fractions
NET
PRINCIPAL MORTGAGE DISCOUNT PO
LOAN # BALANCE RATE FRACTION BALANCE
1757330 159,031.57 6.545 3.0370370370% 4,829.85
1770565 419,292.28 6.545 3.0370370370% 12,734.06
1773526 118,000.00 6.545 3.0370370370% 3,583.70
1781577 192,000.00 6.545 3.0370370370% 5,831.11
1756692 159,470.80 6.670 1.1851851852% 1,890.02
1757251 151,750.09 6.670 1.1851851852% 1,798.52
1757455 164,728.71 6.670 1.1851851852% 1,952.34
1760989 264,782.78 6.670 1.1851851852% 3,138.17
1763047 488,750.00 6.670 1.1851851852% 5,792.59
1763648 499,590.15 6.670 1.1851851852% 5,921.07
1772524 127,895.08 6.670 1.1851851852% 1,515.79
1775823 102,685.00 6.670 1.1851851852% 1,217.01
1777073 300,000.00 6.670 1.1851851852% 3,555.56
1777651 176,000.00 6.670 1.1851851852% 2,085.93
1777664 112,500.00 6.670 1.1851851852% 1,333.33
1780104 143,881.96 6.670 1.1851851852% 1,705.27
1780171 176,000.00 6.670 1.1851851852% 2,085.93
2656782 160,535.61 6.670 1.1851851852% 1,902.64
$3,916,894.03 1.6051720815%$62,872.89
EXHIBIT Q
FORM OF REQUEST FOR EXCHANGE
[DATE]
Bankers Trust Company
0 Xxxx Xxxxx
Xxxxxx, Xxxxxxxxxx 00000
Re: Residential Accredit Loans, Inc.,
Mortgage Asset-Backed Pass-Through Certificates,
Series 1998-QS11
Residential Funding Corporation, as the Holder of a ___% Percentage
Interest of the Class A-11[-1] Certificates, hereby requests the Trustee to
exchange the above-referenced Certificates for the Subclasses referred to below:
1. Class A-11-___ Certificates, corresponding to the following
Uncertificated REMIC Regular Interests: [List numbers corresponding to the
related loans and Pool Strip Rates from the Mortgage Loan Schedule]. The initial
Subclass Notional Amount and the Initial Pass-Through Rate on the Class A-11-
Certificates will be $ and %, respectively.
[2. Repeat as appropriate.]
The Subclasses requested above will represent in the aggregate all
of the Uncertificated REMIC Regular Interests represented by the Class A-11[-1]
Certificates surrendered for exchange.
All capitalized terms used but not defined herein shall have the
meanings set forth in the Pooling and Servicing Agreement, dated as of August 1,
1998, among Residential Accredit Loans, Inc., Residential Funding Corporation
and Bankers Trust Company, as trustee.
RESIDENTIAL FUNDING CORPORATION
By:
Name:
Title:
ARTICLE I ....................................................DEFINITIONS 2
Accrued Certificate Interest.................................................2
Addendum and Assignment Agreement............................................3
Additional Collateral........................................................3
Additional Collateral Loan...................................................3
Adjusted Mortgage Rate.......................................................3
Advance......................................................................4
Affiliate....................................................................4
Agreement....................................................................4
Amount Held for Future Distribution..........................................4
Appraised Value..............................................................4
Assignment...................................................................4
Assignment Agreement.........................................................4
Assignment of Proprietary Lease..............................................4
Available Distribution Amount................................................4
Bankruptcy Amount............................................................5
Bankruptcy Code..............................................................6
Bankruptcy Loss..............................................................6
Book-Entry Certificate.......................................................6
Business Day.................................................................6
Buydown Funds................................................................6
Buydown Mortgage Loan........................................................6
Cash Liquidation.............................................................6
Certificate..................................................................6
Certificate Account..........................................................6
Certificate Account Deposit Date.............................................7
Certificateholder or Holder..................................................7
Certificate Owner............................................................7
Certificate Principal Balance................................................7
Certificate Register and Certificate Registrar...............................8
Class........................................................................8
Class A Certificate..........................................................8
Class A-10 Collection Shortfall..............................................8
Class A-10 Principal Distribution Amount.....................................8
Class A-11 Certificates......................................................8
Class A-11 Notional Amount...................................................8
Class B Certificate..........................................................8
Class B Percentage...........................................................8
Class B-1 Percentage.........................................................9
Class B-1 Prepayment Distribution Trigger....................................9
Class B-2 Percentage.........................................................9
Class B-2 Prepayment Distribution Trigger....................................9
Class B-3 Percentage.........................................................9
Class B-3 Prepayment Distribution Trigger....................................9
Class M Certificate..........................................................9
Class M Percentage..........................................................10
Class M-1 Percentage........................................................10
Class M-2 Percentage........................................................10
Class M-2 Prepayment Distribution Trigger...................................10
Class M-3 Percentage........................................................10
Class M-3 Prepayment Distribution Trigger...................................10
Class R Certificate.........................................................10
Closing Date................................................................10
Code........................................................................10
Compensating Interest.......................................................11
Cooperative.................................................................11
Cooperative Apartment.......................................................11
Cooperative Lease...........................................................11
Cooperative Loans...........................................................11
Cooperative Stock...........................................................11
Cooperative Stock Certificate...............................................11
Corporate Trust Office......................................................11
Credit Support Depletion Date...............................................11
Curtailment.................................................................12
Custodial Account...........................................................12
Custodial Agreement.........................................................12
Custodian...................................................................12
Cut-off Date................................................................12
Cut-off Date Principal Balance..............................................12
Debt Service Reduction......................................................12
Deficient Valuation.........................................................12
Definitive Certificate......................................................12
Deleted Mortgage Loan.......................................................12
Depository..................................................................12
Depository Participant......................................................12
Destroyed Mortgage Note.....................................................13
Determination Date..........................................................13
Discount Fraction...........................................................13
Discount Mortgage Loan......................................................13
Disqualified Organization...................................................13
Distribution Date...........................................................13
Due Date....................................................................13
Due Period..................................................................14
Eligible Account............................................................14
Eligible Funds..............................................................14
Event of Default............................................................14
Excess Bankruptcy Loss......................................................14
Excess Fraud Loss...........................................................14
Excess Special Hazard Loss..................................................14
Excess Subordinate Principal Amount.........................................15
Extraordinary Events........................................................15
Extraordinary Losses........................................................15
FASIT.......................................................................15
FDIC........................................................................16
FHLMC.......................................................................16
Final Distribution Date.....................................................16
Fitch IBCA..................................................................16
FNMA........................................................................16
Foreclosure Profits.........................................................16
Fraud Loss Amount...........................................................16
Fraud Losses................................................................17
Independent.................................................................17
Initial Certificate Principal Balance.......................................17
Initial Class A-11 Notional Amount..........................................17
Initial Monthly Payment Fund................................................17
Insurance Proceeds..........................................................17
Insurer.....................................................................17
Interest Accrual Period.....................................................17
International Borrower......................................................17
Late Collections............................................................17
Liquidation Proceeds........................................................17
Loan-to-Value Ratio.........................................................18
Maturity Date...............................................................18
MLCC........................................................................18
Modified Mortgage Loan......................................................18
Modified Net Mortgage Rate..................................................18
Monthly Payment.............................................................18
Xxxxx'x.....................................................................18
Mortgage....................................................................18
Mortgage 100SM Loan.........................................................18
Mortgage File...............................................................18
Mortgage Loan Schedule......................................................18
Mortgage Loans..............................................................19
Mortgage Note...............................................................19
Mortgage Rate...............................................................20
Mortgaged Property..........................................................20
Mortgagor...................................................................20
Net Mortgage Rate...........................................................20
Non-Discount Mortgage Loan..................................................20
Non-Primary Residence Loans.................................................20
Non-United States Person....................................................20
Nonrecoverable Advance......................................................20
Nonsubserviced Mortgage Loan................................................20
Officers' Certificate.......................................................20
Opinion of Counsel..........................................................20
Outstanding Mortgage Loan...................................................20
Ownership Interest..........................................................21
Parent PowerSM Loan.........................................................21
Pass-Through Rate...........................................................21
Paying Agent................................................................21
Percentage Interest.........................................................21
Permitted Investments.......................................................21
Permitted Transferee........................................................23
Person......................................................................23
Pledged Asset Mortgage Servicing Agreement..................................23
Pool Stated Principal Balance...............................................23
Pool Strip Rate.............................................................23
Prepayment Assumption.......................................................23
Prepayment Distribution Percentage..........................................23
Prepayment Distribution Trigger.............................................24
Prepayment Interest Shortfall...............................................25
Lockout Percentage..........................................................25
Prepayment Period...........................................................25
Primary Insurance Policy....................................................25
Principal Prepayment........................................................25
Principal Prepayment in Full................................................25
Program Guide...............................................................25
Purchase Price..............................................................25
Qualified Substitute Mortgage Loan..........................................25
Rating Agency...............................................................26
Realized Loss...............................................................26
Record Date.................................................................27
Regular Certificate.........................................................27
REMIC.......................................................................27
REMIC Administrator.........................................................27
REMIC Provisions............................................................27
REO Acquisition.............................................................27
REO Disposition.............................................................27
REO Imputed Interest........................................................28
REO Proceeds................................................................28
REO Property................................................................28
Request for Release.........................................................28
Required Insurance Policy...................................................28
Required Surety Payment.....................................................28
Residential Funding.........................................................28
Responsible Officer.........................................................28
Schedule of Discount Fractions..............................................28
Security Agreement..........................................................28
Seller......................................................................28
Seller's Agreement..........................................................29
Senior Accelerated Distribution Percentage..................................29
Senior Percentage...........................................................30
Senior Principal Distribution Amount........................................31
Servicing Accounts..........................................................31
Servicing Advances..........................................................31
Servicing Fee...............................................................31
Servicing Modification......................................................31
Servicing Officer...........................................................31
Special Hazard Amount.......................................................31
Special Hazard Loss.........................................................32
Standard & Poor's...........................................................32
Stated Principal Balance....................................................32
Subclass....................................................................33
Subclass Notional Amount....................................................33
Subordinate Percentage......................................................33
Subordinate Principal Distribution Amount...................................33
Subserviced Mortgage Loan...................................................33
Subservicer.................................................................33
Subservicer Advance.........................................................34
Subservicing Account........................................................34
Subservicing Agreement......................................................34
Subservicing Fee............................................................34
Surety......................................................................34
Surety Bond.................................................................34
Tax Returns.................................................................34
Transfer....................................................................34
Transferee..................................................................34
Transferor..................................................................35
Trust Fund..................................................................35
Uncertificated REMIC Regular Interests......................................35
Uniform Single Attestation Program for Mortgage Bankers.....................35
Uninsured Cause.............................................................35
United States Person........................................................35
Voting Rights...............................................................35
ARTICLE II CONVEYANCE OF MORTGAGE LOANS; ORIGINAL ISSUANCE OF CERTIFICATES 37
Section 2.01. Conveyance of Mortgage Loans ...............................37
Section 2.02. Acceptance by Trustee ......................................41
Section 2.03. Representations, Warranties and Covenants of the Master
Servicer and the Company ...................................43
Section 2.04. Representations and Warranties of Sellers ...................46
Section 2.05. Execution and Authentication of Certificates ...............48
ARTICLE III ADMINISTRATION AND SERVICING OF MORTGAGE LOANS .............49
Section 3.01. Master Servicer to Act as Servicer ...................49
Section 3.02. Subservicing Agreements Between Master Servicer
and Subservicers; Enforcement of Subservicers'
and Sellers' Obligations .........................50
Section 3.03. Successor Subservicers ...............................51
Section 3.04. Liability of the Master Servicer .....................51
Section 3.05. No Contractual Relationship Between Subservicer and
Trustee or Certificateholders .........................51
Section 3.06. Assumption or Termination of Subservicing Agreements
by Trustee ...........................................52
Section 3.07. Collection of Certain Mortgage Loan Payments; Deposits
to Custodial Account .................................52
Section 3.08. Subservicing Accounts; Servicing Accounts ............54
Section 3.09. Access to Certain Documentation and Information
Regarding the Mortgage Loans ..........................56
Section 3.10. Permitted Withdrawals from the Custodial Account .....56
Section 3.11. Maintenance of the Primary Insurance Policies;
Collections Thereunder ................................58
Section 3.12. Maintenance of Fire Insurance and Omissions and
Fidelity Coverage ................................59
Section 3.13. Enforcement of Due-on-Sale Clauses; Assumption and
Modification Agreements; Certain Assignments ..........60
Section 3.14. Realization Upon Defaulted Mortgage Loans ............62
Section 3.15. Trustee to Cooperate; Release of Mortgage Files ......65
Section 3.16. ..Servicing and Other Compensation; Compensating Interest66
Section 3.17. Reports to the Trustee and the Company ...............67
Section 3.18. Annual Statement as to Compliance ....................68
Section 3.19. Annual Independent Public Accountants' Servicing Report68
Section 3.20. ..Rights of the Company in Respect of the Master Servicer68
Section 3.21. Administration of Buydown Funds ......................69
ARTICLE IV PAYMENTS TO CERTIFICATEHOLDERS .............................70
Section 4.01. Certificate Account ..................................70
Section 4.02. Distributions ........................................70
Section 4.03. Statements to Certificateholders .....................79
Section 4.04. Distribution of Reports to the Trustee and the Company;
Advances by the Master Servicer .......................81
Section 4.05. Allocation of Realized Losses ........................83
Section 4.06. Reports of Foreclosures and Abandonment of Mortgaged
Property ..............................................84
Section 4.07. Optional Purchase of Defaulted Mortgage Loans ........84
Section 4.08. Surety Bond ..........................................84
ARTICLE V THE CERTIFICATES ...........................................86
Section 5.01. The Certificates .....................................86
Section 5.02. Registration of Transfer and Exchange of Certificates 88
Section 5.03. Mutilated, Destroyed, Lost or Stolen Certificates ....93
Section 5.04. Persons Deemed Owners ................................93
Section 5.05. Appointment of Paying Agen ...........................93
Section 5.06. Optional Purchase of Certificates ....................94
ARTICLE VI .THE COMPANY AND THE MASTER SERVICER .......................96
Section 6.01. Respective Liabilities of the Company
and the Master Servicer ...............................96
Section 6.02. Merger or Consolidation of the Company or
the Master Servicer; Assignment of Rights and
Delegation of Duties by Master Servicer ............. 96
Section 6.03. Limitation on Liability of the Company,
the Master Servicer and Others .......................97
Section 6.04. Company and Master Servicer Not to Resign ............97
ARTICLE VII DEFAULT ....................................................99
Section 7.01. Events of Default ....................................99
Section 7.02. Trustee or Company to Act; Appointment of Successor 100
Section 7.03. Notification to Certificateholders ...................101
Section 7.04. Waiver of Events of Default ..........................102
ARTICLE VIII CONCERNING THE TRUSTEE .....................................103
Section 8.01. Duties of Trustee ....................................103
Section 8.02. Certain Matters Affecting the Trustee ................104
Section 8.03. Trustee Not Liable for Certificates or Mortgage Loans106
Section 8.04. Trustee May Own Certificates .........................106
Section 8.05. Master Servicer to Pay Trustee's Fees and Expenses;
Indemnification .......................................106
Section 8.06. Eligibility Requirements for Trustee .................107
Section 8.07. Resignation and Removal of the Trustee ...............107
Section 8.08. Successor Trustee ....................................108
Section 8.09. Merger or Consolidation of Trustee ...................109
Section 8.10. Appointment of Co-Trustee or Separate Trustee ........109
Section 8.11. Appointment of Custodians ............................110
Section 8.12. Appointment of Office or Agency ............................110
ARTICLE IX TERMINATION ................................................112
Section 9.01. Termination Upon Purchase by the Master Servicer
or the Company or Liquidation of All Mortgage Loans ........112
Section 9.02. Additional Termination Requirements ..................114
ARTICLE X REMIC PROVISIONS ...........................................116
Section 10.01. REMIC Administration .................................116
Section 10.02. Master Servicer, REMIC Administrator and Truste
Indemnification ......................................119
ARTICLE XI .MISCELLANEOUS PROVISIONS ..................................121
Section 11.01. Amendment ............................................121
Section 11.02. Recordation of Agreement; Counterparts ...............123
Section 11.03. Limitation on Rights of Certificateholders ...........123
Section 11.04. Governing Law ........................................124
Section 11.05. Notices ..............................................124
Section 11.06. Notices to Rating Agency .............................125
Section 11.07. Severability of Provisions ...........................126
Section 11.08. Supplemental Provisions for Resecuritizatio ..........126
An extra section break has been inserted above this paragraph. Do not
delete this section break if you plan to add text after the Table of
Contents/Authorities. Deleting this break will cause Table of
Contents/Authorities headers and footers to appear on any pages following the
Table of Contents/Authorities.