FINANCIAL ASSET SECURITIES CORP., Depositor OPTION ONE MORTGAGE CORPORATION Servicer
EXHIBIT 4.1
FINANCIAL ASSET SECURITIES CORP.,
Depositor
OPTION ONE MORTGAGE CORPORATION
Servicer
AND
DEUTSCHE BANK NATIONAL TRUST COMPANY,
Trustee
POOLING AND SERVICING AGREEMENT
Dated as of August 1, 2005
___________________________
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates, Series 2005-OPT2
TABLE OF CONTENTS
ARTICLE I
DEFINITIONS
|
SECTION 1.01 |
Defined Terms. |
|
SECTION 1.02 |
Accounting. |
|
SECTION 1.03 |
Allocation of Certain Interest Shortfalls. |
|
SECTION 1.04 |
Rights of the NIMS Insurer. |
ARTICLE II
CONVEYANCE OF MORTGAGE LOANS; ORIGINAL ISSUANCE OF CERTIFICATES
|
SECTION 2.01 |
Conveyance of Mortgage Loans. |
|
SECTION 2.02 |
Acceptance by Trustee. |
|
SECTION 2.03 |
Repurchase or Substitution of Mortgage Loans by the Originator or the Seller. |
|
SECTION 2.04 |
Intentionally Omitted. |
|
SECTION 2.05 |
Representations, Warranties and Covenants of the Servicer. |
|
SECTION 2.06 |
Representations and Warranties of the Depositor. |
|
SECTION 2.07 |
Issuance of Certificates. |
|
SECTION 2.08 |
[Reserved]. |
|
SECTION 2.09 |
Acceptance of REMIC 1, REMIC 2, REMIC 3 and REMIC 4 by the Trustee; Conveyance of REMIC 1 Regular Interests, Class C Interest and Class P Interest; Issuance of Certificates. |
ARTICLE III
ADMINISTRATION AND SERVICING OF THE MORTGAGE LOANS
|
SECTION 3.01 |
Servicer to Act as Servicer. |
|
SECTION 3.02 |
Sub-Servicing Agreements Between Servicer and Sub-Servicers. |
|
SECTION 3.03 |
Successor Sub-Servicers. |
|
SECTION 3.04 |
Liability of the Servicer. |
|
SECTION 3.05 |
No Contractual Relationship Between Sub-Servicers and the NIMS Insurer, the Trustee or Certificateholders. |
|
SECTION 3.06 |
Assumption or Termination of Sub-Servicing Agreements by Trustee. |
|
SECTION 3.07 |
Collection of Certain Mortgage Loan Payments. |
|
SECTION 3.08 |
Sub-Servicing Accounts. |
|
SECTION 3.09 |
Collection of Taxes, Assessments and Similar Items; Escrow Accounts. |
|
SECTION 3.10 |
Collection Account and Distribution Account. |
|
SECTION 3.11 |
Withdrawals from the Collection Account and Distribution Account. |
|
SECTION 3.12 |
Investment of Funds in the Collection Account and the Distribution Account. |
|
SECTION 3.13 |
[Reserved]. |
|
SECTION 3.14 |
Maintenance of Hazard Insurance and Errors and Omissions and Fidelity Coverage. |
|
SECTION 3.15 |
Enforcement of Due-On-Sale Clauses; Assumption Agreements. |
|
SECTION 3.16 |
Realization Upon Defaulted Mortgage Loans. |
|
SECTION 3.17 |
Trustee to Cooperate; Release of Mortgage Files. |
|
SECTION 3.18 |
Servicing Compensation. |
|
SECTION 3.19 |
Reports to the Trustee; Collection Account Statements. |
|
SECTION 3.20 |
Statement as to Compliance. |
|
SECTION 3.21 |
Independent Public Accountants’ Servicing Report. |
|
SECTION 3.22 |
Access to Certain Documentation; Filing of Reports by Trustee. |
|
SECTION 3.23 |
Title, Management and Disposition of REO Property. |
|
SECTION 3.24 |
Obligations of the Servicer in Respect of Prepayment Interest Shortfalls. |
|
SECTION 3.25 |
[Reserved]. |
|
SECTION 3.26 |
Obligations of the Servicer in Respect of Mortgage Rates and Monthly Payments. |
|
SECTION 3.27 |
[Reserved]. |
|
SECTION 3.28 |
[Reserved]. |
|
SECTION 3.29 |
Advance Facility. |
|
SECTION 3.30 |
PMI Policy; Claims Under the PMI Policy. |
|
SECTION 3.31 |
Solicitations. |
ARTICLE IV
FLOW OF FUNDS
|
SECTION 4.01 |
Distributions. |
|
SECTION 4.02 |
[Reserved]. |
|
SECTION 4.03 |
Statements. |
|
SECTION 4.04 |
Remittance Reports; Advances. |
|
SECTION 4.05 |
[Reserved]. |
|
SECTION 4.06 |
[Reserved]. |
|
SECTION 4.07 |
Net WAC Rate Carryover Reserve Account. |
|
SECTION 4.08 |
[Reserved]. |
|
SECTION 4.09 |
Distributions on the REMIC Regular Interests. |
|
SECTION 4.10 |
Allocation of Realized Losses. |
ARTICLE V
THE CERTIFICATES
|
SECTION 5.01 |
The Certificates. |
|
SECTION 5.02 |
Registration of Transfer and Exchange of Certificates. |
|
SECTION 5.03 |
Mutilated, Destroyed, Lost or Stolen Certificates. |
|
SECTION 5.04 |
Persons Deemed Owners. |
|
SECTION 5.05 |
Appointment of Paying Agent. |
ARTICLE VI
THE SERVICER, THE DEPOSITOR AND THE CREDIT RISK MANAGER
|
SECTION 6.01 |
Liability of the Servicer and the Depositor. |
|
SECTION 6.02 |
Merger or Consolidation of, or Assumption of the Obligations of, the Servicer or the Depositor. |
|
SECTION 6.03 |
Limitation on Liability of the Servicer and Others. |
|
SECTION 6.04 |
Servicer Not to Resign. |
|
SECTION 6.05 |
Delegation of Duties. |
|
SECTION 6.06 |
[Reserved]. |
|
SECTION 6.07 |
Inspection. |
|
SECTION 6.08 |
Credit Risk Manager. |
ARTICLE VII
DEFAULT
|
SECTION 7.01 |
Servicer Events of Termination. |
|
SECTION 7.02 |
Trustee to Act; Appointment of Successor. |
|
SECTION 7.03 |
Waiver of Defaults. |
|
SECTION 7.04 |
Notification to Certificateholders. |
|
SECTION 7.05 |
Survivability of Servicer Liabilities. |
ARTICLE VIII
THE TRUSTEE
|
SECTION 8.01 |
Duties of Trustee. |
|
SECTION 8.02 |
Certain Matters Affecting the Trustee. |
|
SECTION 8.03 |
Trustee Not Liable for Certificates or Mortgage Loans. |
|
SECTION 8.04 |
Trustee May Own Certificates. |
|
SECTION 8.05 |
Trustee Compensation, Custodian Fee and Expenses. |
|
SECTION 8.06 |
Eligibility Requirements for Trustee. |
|
SECTION 8.07 |
Resignation or Removal of Trustee. |
|
SECTION 8.08 |
Successor Trustee. |
|
SECTION 8.09 |
Merger or Consolidation of Trustee. |
|
SECTION 8.10 |
Appointment of Co-Trustee or Separate Trustee. |
|
SECTION 8.11 |
Limitation of Liability. |
|
SECTION 8.12 |
Trustee May Enforce Claims Without Possession of Certificates. |
|
SECTION 8.13 |
Suits for Enforcement. |
|
SECTION 8.14 |
Waiver of Bond Requirement. |
|
SECTION 8.15 |
Waiver of Inventory, Accounting and Appraisal Requirement. |
|
SECTION 8.16 |
Appointment of the Custodian. |
ARTICLE IX
REMIC ADMINISTRATION
|
SECTION 9.01 |
REMIC Administration. |
|
SECTION 9.02 |
Prohibited Transactions and Activities. |
|
SECTION 9.03 |
Indemnification with Respect to Certain Taxes and Loss of REMIC Status. |
ARTICLE X
TERMINATION
|
SECTION 10.01 |
Termination. |
|
SECTION 10.02 |
Additional Termination Requirements. |
ARTICLE XI
MISCELLANEOUS PROVISIONS
|
SECTION 11.01 |
Amendment. |
|
SECTION 11.02 |
Recordation of Agreement; Counterparts. |
|
SECTION 11.03 |
Limitation on Rights of Certificateholders. |
|
SECTION 11.04 |
Governing Law; Jurisdiction. |
|
SECTION 11.05 |
Notices. |
|
SECTION 11.06 |
Severability of Provisions. |
|
SECTION 11.07 |
Article and Section References. |
|
SECTION 11.08 |
Notice to the Rating Agencies and the NIMS Insurer. |
|
SECTION 11.09 |
Further Assurances. |
|
SECTION 11.10 |
Third Party Rights. |
|
SECTION 11.11 |
Benefits of Agreement. |
|
SECTION 11.12 |
Acts of Certificateholders. |
Exhibits:
Exhibit A-1 |
Form of Class A-1 Certificates |
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Exhibit A-2 |
Form of Class A-2 Certificates |
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Exhibit A-3 |
Form of Class A-3 Certificates |
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Exhibit A-4 |
Form of Class A-4 Certificates |
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Exhibit A-5 |
Form of Class A-5 Certificates |
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Exhibit A-6 |
Form of Class A-6 Certificates |
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Exhibit A-7 |
Form of Class M-1 Certificates |
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Exhibit A-8 |
Form of Class M-2 Certificates |
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Exhibit A-9 |
Form of Class M-3 Certificates |
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Exhibit A-10 |
Form of Class M-4 Certificates |
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Exhibit A-11 |
Form of Class M-5 Certificates |
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Exhibit A-12 |
Form of Class M-6 Certificates |
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Exhibit A-13 |
Form of Class M-7 Certificates |
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Exhibit A-14 |
Form of Class M-8 Certificates |
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Exhibit A-15 |
Form of Class M-9 Certificates |
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Exhibit A-16 |
Form of Class C Certificates |
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Exhibit A-17 |
Form of Class P Certificates |
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Exhibit A-18 |
Form of Class R Certificates |
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Exhibit A-19 |
Form of Class R-X Certificates |
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Exhibit B |
[Reserved] |
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Exhibit C |
Forms of Assignment Agreement |
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Exhibit D |
Mortgage Loan Schedule |
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Exhibit E |
Request for Release |
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Exhibit F-1 |
Form of Trustee’s/Custodian’s Initial Certification |
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Exhibit F-2 |
Form of Trustee’s/Custodian’s Final Certification |
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Exhibit F-3 |
Form of Receipt of Mortgage Note |
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Exhibit G |
Form of Custodial Agreement |
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Exhibit H |
Form of Lost Note Affidavit |
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Exhibit I |
Form of Limited Power of Attorney |
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Exhibit J |
Form of Investment Letter |
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Exhibit K |
Form of Transfer Affidavit for Residual Certificates |
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Exhibit L |
Form of Transferor Certificate |
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Exhibit M |
Form of ERISA Representation Letter |
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Exhibit N-1 |
Form Certification to be Provided by the Depositor with Form 10-K | ||||||||||||||||||||||
Exhibit N-2 |
Form Certification to be Provided to the Depositor by the Trustee |
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Exhibit N-3 |
Form Certification to be Provided to the Depositor by the Servicer |
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Exhibit O |
Form of Cap Contract |
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Exhibit P |
Form of Annual Statement as to Compliance |
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Exhibit Q |
[Reserved] |
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Exhibit R |
[Reserved] |
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Schedule I |
Prepayment Charge Schedule |
|
Schedule II |
Monthly Cap Termination Payment Schedule |
This Pooling and Servicing Agreement is dated as of August 1, 2005 (the “Agreement”), among FINANCIAL ASSET SECURITIES CORP., as depositor (the “Depositor”), OPTION ONE MORTGAGE CORPORATION, as servicer (the “Servicer”) and DEUTSCHE BANK NATIONAL TRUST COMPANY, as trustee (the “Trustee”).
PRELIMINARY STATEMENT:
The Depositor intends to sell 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 Trust Fund created hereunder. The Certificates will consist of nineteen classes of certificates, designated as (i) the Class A-1 Certificates, (ii) the Class A-2 Certificates, (iii) the Class A-3 Certificates, (iv) the Class A-4 Certificates, (v) Class A-5 Certificates, (vi) the Class A-6 Certificates, (vii) the Class M-1 Certificates, (viii) the Class M-2 Certificates (ix) the Class M-3 Certificates, (x) the Class M-4 Certificates, (xi) the Class M-5 Certificates, (xii) the Class M-6 Certificates, (xiii) the Class M-7 Certificates, (xiv) the Class M-8 Certificates, (xv) the Class M-9 Certificates, (xvi) the Class C Certificates, (xvii) the Class P Certificates, (xviii) the Class R Certificates and (xix) the Class R-X Certificates.
REMIC 1
As provided herein, the Trustee shall elect to treat the segregated pool of assets consisting of the Mortgage Loans and certain other related assets subject to this Agreement (exclusive of the Net WAC Rate Carryover Reserve Account, any Servicer Prepayment Charge Payment Amounts and the Cap Contract) as a REMIC for federal income tax purposes, and such segregated pool of assets shall be designated as “REMIC 1.” The Class R-1 Interest shall represent the sole class of “residual interests” in REMIC 1 for purposes of the REMIC Provisions (as defined herein). The following table irrevocably sets forth the designation, the Uncertificated REMIC 1 Pass-Through Rate, the initial Uncertificated Principal Balance and, for purposes of satisfying Treasury regulation Section 1.860G-1(a)(4)(iii), the “latest possible maturity date” for each of the REMIC 1 Regular Interests (as defined herein). None of the REMIC 1 Regular Interests will be certificated.
Designation |
Uncertificated REMIC 1 |
Initial Uncertificated |
Assumed Final | |
LTAA |
Variable(2) |
$ |
1,014,778,908.69 |
August 25, 2035 |
LTA1 |
Variable(2) |
$ |
5,576,530.00 |
August 25, 2035 |
LTA2 |
Variable(2) |
$ |
1,077,320.00 |
August 25, 2035 |
LTA3 |
Variable(2) |
$ |
662,920.00 |
August 25, 2035 |
LTA4 |
Variable(2) |
$ |
945,390.00 |
August 25, 2035 |
LTA5 |
Variable(2) |
$ |
347,930.00 |
August 25, 2035 |
LTA6 |
Variable(2) |
$ |
238,160.00 |
August 25, 2035 |
LTM1 |
Variable(2) |
$ |
471,150.00 |
August 25, 2035 |
LTM2 |
Variable(2) |
$ |
346,890.00 |
August 25, 2035 |
LTM3 |
Variable(2) |
$ |
88,020.00 |
August 25, 2035 |
LTM4 |
Variable(2) |
$ |
103,550.00 |
August 25, 2035 |
LTM5 |
Variable(2) |
$ |
88,020.00 |
August 25, 2035 |
LTM6 |
Variable(2) |
$ |
93,190.00 |
August 25, 2035 |
LTM7 |
Variable(2) |
$ |
82,840.00 |
August 25, 2035 |
LTM8 |
Variable(2) |
$ |
82,840.00 |
August 25, 2035 |
LTM9 |
Variable(2) |
$ |
82,840.00 |
August 25, 2035 |
LTZZ |
Variable(2) |
$ |
10,422,183.65 |
Xxxxxx 00, 0000 |
XXX |
Variable(2) |
$ |
100.00 |
August 25, 2035 |
________________
(1) |
For purposes of Section 1.860G-1(a)(4)(iii) of the Treasury regulations, the Distribution Date in the month immediately following the maturity date for the Mortgage Loan with the latest possible maturity date has been designated as the “latest possible maturity date” for each REMIC 1 Regular Interest. |
(2) |
Calculated in accordance with the definition of “Uncertificated REMIC 1 Pass-Through Rate” herein. |
REMIC 2
As provided herein, the Trustee shall elect to treat the segregated pool of assets consisting of the REMIC 1 Regular Interests as a REMIC for federal income tax purposes, and such segregated pool of assets shall be designated as “REMIC 2.” The Class R-2 Interest shall evidence the sole class of “residual interests” in REMIC 2 for purposes of the REMIC Provisions.
The following table irrevocably sets forth the designation, the Pass-Through Rate, the Original Class Certificate Principal Balance and, for purposes of satisfying Treasury regulation Section 1.860G-1(a)(4)(iii), the “latest possible maturity date” for each Class of Certificates that represents one or more of the “regular interests” in REMIC 2 created hereunder:
Designation |
Original Class Certificate |
Pass-Through Rate |
Assumed Final | |
Class A-1 |
$ |
557,653,000.00 |
Variable |
August 25, 2035 |
Class A-2 |
$ |
107,732,000.00 |
Variable |
August 25, 2035 |
Class A-3 |
$ |
66,292,000.00 |
Variable |
August 25, 2035 |
Class A-4 |
$ |
94,539,000.00 |
Variable |
August 25, 2035 |
Class A-5 |
$ |
34,793,000.00 |
Variable |
August 25, 2035 |
Class A-6 |
$ |
23,816,000.00 |
Variable |
August 25, 2035 |
Class M-1 |
$ |
47,115,000.00 |
Variable |
August 25, 2035 |
Class M-2 |
$ |
34,689,000.00 |
Variable |
August 25, 2035 |
Class M-3 |
$ |
8,802,000.00 |
Variable |
August 25, 2035 |
Class M-4 |
$ |
10,355,000.00 |
Variable |
August 25, 2035 |
Class M-5 |
$ |
8,802,000.00 |
Variable |
August 25, 2035 |
Class M-6 |
$ |
9,319,000.00 |
Variable |
August 25, 2035 |
Class M-7 |
$ |
8,284,000.00 |
Variable |
August 25, 2035 |
Class M-8 |
$ |
8,284,000.00 |
Variable |
August 25, 2035 |
Class M-9 |
$ |
8,284,000.00 |
Variable |
August 25, 2035 |
Class C Interest |
$ |
6,729,682.34 |
Variable |
August 25, 2035 |
Class P Interest |
$ |
100.00 |
Variable |
August 25, 2035 |
________________
(1) |
For purposes of Section 1.860G-1(a)(4)(iii) of the Treasury regulations, the Distribution Date in the month immediately following the maturity date for the Mortgage Loan with the latest maturity date has been designated as the “latest possible maturity date” for each Class of Certificates that represents one or more of the “regular interests” in REMIC 2. |
(2) |
Calculated in accordance with the definition of “Pass-Through Rate” herein. |
(3) |
The Class C Interest will accrue interest at their variable Pass-Through Rate on the Notional Amount of the Class C Interest outstanding from time to time which shall equal the aggregate of the Uncertificated Principal Balances of the REMIC 1 Regular Interests (other than REMIC 1 Regular Interest LTP). The Class C Interest will not accrue interest on its Certificate Principal Balance. |
(4) |
The Class P Interest will not accrue interest. |
REMIC 3
As provided herein, the Trustee shall make an election to treat the Class C Interest as a REMIC for federal income tax purposes, and such segregated pool of assets will be designated as “REMIC 3.” The Class R-3 Interest represents the sole class of “residual interests” in REMIC 3 for purposes of the REMIC Provisions.
The following table sets forth (or describes) the Class designation, Pass-Through Rate and Original Class Certificate Principal Balance for the Class C Certificates.
Class Designation |
Original Class Certificate |
Pass-Through Rate |
Assumed Final |
Class C |
$ 6,729,682.34 |
Variable(2) |
August 25, 2035 |
________________
(1) |
For purposes of Section 1.860G-1(a)(4)(iii) of the Treasury regulations, the Distribution Date in the month immediately following the maturity date for the Mortgage Loan with the latest maturity date has been designated as the “latest possible maturity date” for the Class C Certificates. |
(2) |
The Class C Certificates will receive 100% of amounts received in respect of the Class C Interest. |
REMIC 4
As provided herein, the Trustee shall make an election to treat the Class P Interest as a REMIC for federal income tax purposes, and such segregated pool of assets will be designated as “REMIC 4.” The Class R-4 Interest represents the sole class of “residual interests” in REMIC 4 for purposes of the REMIC Provisions.
The following table sets forth (or describes) the Class designation, Pass-Through Rate and Original Class Certificate Principal Balance for the Class P Certificates.
Class Designation |
Original Class Certificate |
Pass-Through Rate |
Assumed Final |
Class P |
$ 100.00 |
Variable(2) |
August 25, 2035 |
________________
(1) |
For purposes of Section 1.860G-1(a)(4)(iii) of the Treasury regulations, the Distribution Date in the month immediately following the maturity date for the Mortgage Loan with the latest maturity date has been designated as the “latest possible maturity date” for the Class P Certificates. |
(2) |
The Class P Certificates will receive 100% of amounts received in respect of the Class P Interest. |
ARTICLE I
DEFINITIONS
|
SECTION 1.01 |
Defined Terms. |
Whenever used in this Agreement or in the Preliminary Statement, the following words and phrases, unless the context otherwise requires, shall have the meanings specified in this Article. Unless otherwise specified, all calculations in respect of interest on the Floating Rate Certificates shall be made on the basis of the actual number of days elapsed and a 360-day year and all calculations in respect of interest on the Class C Certificates and all other calculations of interest described herein shall be made on the basis of a 360-day year consisting of twelve 30-day months. The Class P Certificates and the Residual Certificates are not entitled to distributions in respect of interest and, accordingly, will not accrue interest.
“1933 Act”: The Securities Act of 1933, as amended.
“Account”: Either of the Collection Account or Distribution Account.
“Accrual Period”: With respect to the Class C Certificates and each Distribution Date, the calendar month prior to the month of such Distribution Date. With respect to the Floating Rate Certificates and each Distribution Date, the period commencing on the preceding Distribution Date (or in the case of the first such Accrual Period, commencing on the Closing Date) and ending on the day preceding such Distribution Date.
“Adjustable-Rate Mortgage Loan”: A first lien Mortgage Loan which provides at any period during the life of such loan for the adjustment of the Mortgage Rate payable in respect thereto. The Adjustable-Rate Mortgage Loans are identified as such on the Mortgage Loan Schedule.
“Adjusted Net Maximum Mortgage Rate”: With respect to any Mortgage Loan (or the related REO Property), as of any date of determination, a per annum rate of interest equal to the applicable Maximum Mortgage Rate for such Mortgage Loan (or the Mortgage Rate in the case of any Fixed-Rate Mortgage Loan) as of the first day of the month preceding the month in which the related Distribution Date occurs minus the sum of (i) the Servicing Fee Rate, (ii) the Custodian Fee Rate, (iii) the PMI Premium Rate and (iv) the Credit Risk Manager Fee Rate.
“Adjusted Net Mortgage Rate”: With respect to any Mortgage Loan (or the related REO Property), as of any date of determination, a per annum rate of interest equal to the applicable Mortgage Rate for such Mortgage Loan as of the first day of the month preceding the month in which the related Distribution Date occurs minus the sum of (i) the Servicing Fee Rate, (ii) the Custodian Fee Rate, (iii) the PMI Premium Rate and (iv) the Credit Risk Manager Fee Rate.
“Adjustment Date”: With respect to each Adjustable-Rate Mortgage Loan, each adjustment date, on which the Mortgage Rate of such Mortgage Loan changes pursuant to the related Mortgage Note. The first Adjustment Date following the Cut-off Date as to each Adjustable-Rate Mortgage Loan is set forth in the Mortgage Loan Schedule.
“Advance”: As to any Mortgage Loan or REO Property, any advance made by the Servicer in respect of any Distribution Date pursuant to Section 4.04.
“Advance Facility”: As defined in Section 3.29 hereof.
“Advance Facility Trustee”: As defined in Section 3.29 hereof.
“Advancing Person”: As defined in Section 3.29 hereof.
“Advance Reimbursement Amounts”: As defined in Section 3.29 hereof.
“Adverse REMIC Event”: As defined in Section 9.01(f) hereof.
“Affiliate”: With respect to any Person, any other Person controlling, controlled by or under common control with such Person. For purposes of this definition, “control” means the power to direct the management and policies of a Person, directly or indirectly, whether through ownership of voting securities, by contract or otherwise and “controlling” and “controlled” shall have meanings correlative to the foregoing.
“Agreement”: This Pooling and Servicing Agreement and all amendments hereof and supplements hereto.
“Allocated Realized Loss Amount”: With respect to any Distribution Date and the Class A-6 Certificates or any Class of Mezzanine Certificates, the sum of (i) any Realized Losses allocated to such Class of Certificates on such Distribution Date and (ii) the amount of any Allocated Realized Loss Amount for such Class of Certificates remaining unpaid from the previous Distribution Date as reduced by an amount equal to the increase in the related Certificate Principal Balance due to the receipt of Subsequent Recoveries.
“Assignment”: An assignment of Mortgage, notice of transfer or equivalent instrument, in recordable form, which is sufficient under the laws of the jurisdiction wherein the related Mortgaged Property is located to reflect or record the sale of the Mortgage.
“Assignment Agreement”: The Assignment and Recognition Agreement, dated as of August 18, 2005, among the Seller, the Originator and the Depositor, pursuant to which certain of the Seller’s rights under the Master Agreement were assigned to the Depositor, substantially in the form attached hereto as Exhibit C.
“Assumed Final Maturity Date”: As to each Class of Certificates, the date set forth as such in the Preliminary Statement.
“Available Funds”: With respect to any Distribution Date, an amount equal to the excess of (i) the sum of (a) the aggregate of the related Monthly Payments on the Mortgage Loans due on the related Due Date and received on or prior to the related Determination Date, (b) Net Liquidation Proceeds, Insurance Proceeds, Subsequent Recoveries, Principal Prepayments, proceeds from repurchases of and substitutions for such Mortgage Loans and other unscheduled recoveries of principal and interest in respect of the Mortgage Loans received during the related Prepayment Period, (c) the aggregate of any amounts received in respect of a
related REO Property withdrawn from any REO Account and deposited in the Collection Account for such Distribution Date, (d) the aggregate of any amounts deposited in the Collection Account by the Servicer in respect of related Prepayment Interest Shortfalls for such Distribution Date, (e) the aggregate of any Advances made by the Servicer for such Distribution Date in respect of the Mortgage Loans, (f) the aggregate of any related advances made by the Trustee in respect of the Mortgage Loans for such Distribution Date pursuant to Section 7.02 and (g) the amount of any Prepayment Charges collected by the Servicer in connection with the full or partial prepayment of any of the Mortgage Loans and any Servicer Prepayment Charge Payment Amount over (ii) the sum of (a) amounts reimbursable or payable to the Servicer pursuant to Section 3.11(a) or the Trustee pursuant to Section 3.11(b), (b) amounts deposited in the Collection Account or the Distribution Account pursuant to clauses (a) through (g) above, as the case may be, in error, (c) the amount of any Prepayment Charges collected by the Servicer in connection with the full or partial prepayment of any of the Mortgage Loans and any Servicer Prepayment Charge Payment Amount, (d) the fees of the Custodian payable from the Distribution Account pursuant to Section 8.05, (e) the PMI Premium payable from the Distribution Account and (f) any indemnification payments or expense reimbursements made by the Trust Fund pursuant to Section 8.05.
“Balloon Mortgage Loan”: A Mortgage Loan that provides for the payment of the unamortized Stated Principal Balance of such Mortgage Loan in a single payment at the maturity of such Mortgage Loan that is substantially greater than the preceding monthly payment.
“Balloon Payment”: A payment of the unamortized Stated Principal Balance of a Mortgage Loan in a single payment at the maturity of such Mortgage Loan that is substantially greater than the preceding Monthly Payment.
“Bankruptcy Code”: The Bankruptcy Reform Act of 1978 (Title 11 of the United States Code), as amended.
“Base Rate”: For any Distribution Date and the Floating Rate Certificates, the sum of (i) LIBOR plus (ii) the related Certificate Margin.
“Book-Entry Certificates”: Any of the Certificates that shall be registered in the name of the Depository or its nominee, the ownership of which is reflected on the books of the Depository or on the books of a Person maintaining an account with the Depository (directly, as a “Depository Participant”, or indirectly, as an indirect participant in accordance with the rules of the Depository and as described in Section 5.02 hereof). On the Closing Date, the Floating Rate Certificates shall be Book-Entry Certificates.
“Business Day”: Any day other than a Saturday, a Sunday or a day on which banking or savings institutions in the State of Delaware, the State of Florida, the State of New York, the State of Texas, the State of California, the Commonwealth of Pennsylvania, or in the city in which the Corporate Trust Office of the Trustee is located are authorized or obligated by law or executive order to be closed.
“Cap Amount”: The Cap Amount for any Class of the Floating Rate Certificates is equal to (i) the aggregate amount received by the Trust from the Cap Contract multiplied by (ii) a fraction equal to (a) the Certificate Principal Balance of such Class immediately prior to the applicable Distribution Date divided by (b) the aggregate Certificate Principal Balance of the Floating Rate Certificates immediately prior to the applicable Distribution Date.
“Cap Contract”: The Cap Contract between the Trustee and the counterparty thereunder, a form of which is attached hereto as Exhibit O.
“Certificate”: Any Regular Certificate or Residual Certificate.
“Certificateholder” or “Holder”: The Person in whose name a Certificate is registered in the Certificate Register, except that a Disqualified Organization or non-U.S. Person shall not be a Holder of a Residual Certificate for any purpose hereof and, solely for the purposes of giving any consent pursuant to this Agreement, any Certificate registered in the name of the Depositor or the Servicer or any Affiliate thereof shall be deemed not to be outstanding and the Voting Rights to which it is entitled shall not be taken into account in determining whether the requisite percentage of Voting Rights necessary to effect any such consent has been obtained, except as otherwise provided in Section 11.01. The Trustee and the NIMS Insurer may conclusively rely upon a certificate of the Depositor or the Servicer in determining whether a Certificate is held by an Affiliate thereof. 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 and the NIMS Insurer 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 Margin”: With respect to each Class of Floating Rate Certificates and for purposes of the Marker Rate and the Maximum Uncertificated Accrued Interest Deferral Amount, the specified REMIC 1 Regular Interest, as follows:
Class |
REMIC 1 |
Certificate Margin | |
(1) (%) |
(2) (%) | ||
A-1 |
LTA1 |
0.270% |
0.540% |
A-2 |
LTA2 |
0.110% |
0.220% |
A-3 |
LTA3 |
0.190% |
0.380% |
A-4 |
LTA4 |
0.290% |
0.580% |
A-5 |
LTA5 |
0.370% |
0.740% |
A-6 |
LTA6 |
0.380% |
0.570% |
M-1 |
LTM1 |
0.510% |
0.765% |
M-2 |
LTM2 |
0.560% |
0.840% |
M-3 |
LTM3 |
0.650% |
0.975% |
M-4 |
LTM4 |
0.750% |
1.125% |
M-5 |
LTM5 |
0.950% |
1.425% |
M-6 |
LTM6 |
1.050% |
1.575% |
M-7 |
LTM7 |
1.900% |
2.850% |
M-8 |
LTM8 |
3.000% |
4.500% |
M-9 |
LTM9 |
3.000% |
4.500% |
__________
|
(1) |
For the Accrual Period for each Distribution Date on or prior to the Optional Termination Date. |
|
(2) |
For each other Accrual Period. |
“Certificate Owner”: With respect to each Book-Entry Certificate, any beneficial owner thereof.
“Certificate Principal Balance”: With respect to any Class of Regular Certificates (other than the Class C Certificates) immediately prior to any Distribution Date, will be equal to the Initial Certificate Principal Balance thereof plus any Subsequent Recoveries added to the Certificate Principal Balance of such Certificate pursuant to Section 4.01, reduced by the sum of all amounts actually distributed in respect of principal of such Class and, in the case of a Class A-6 Certificate or Mezzanine Certificate, Realized Losses allocated thereto on all prior Distribution Dates. With respect to the Class C Certificates as of any date of determination, an amount equal to the excess, if any, of (A) the then aggregate Uncertificated Principal Balance of the REMIC 1 Regular Interests over (B) the then aggregate Certificate Principal Balance of the Floating Rate Certificates and the Class P Certificates then outstanding.
“Certificate Register” and “Certificate Registrar”: The register maintained and registrar appointed pursuant to Section 5.02 hereof.
“Certification”. As defined in Section 3.22(b)(ii).
“Class”: Collectively, Certificates which have the same priority of payment and bear the same class designation and the form of which is identical except for variation in the Percentage Interest evidenced thereby.
“Class A Certificates”: Any Class A-1 Certificate, Class A-2 Certificate, Class A-3 Certificate, Class A-4 Certificate, Class A-5 Certificate or Class A-6 Certificate.
“Class C Certificates”: Any one of the Class C Certificates executed by the Trustee, and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit A-16, representing the right to distributions as set forth herein and therein and evidencing a regular interest in REMIC 3.
“Class C Interest”: An uncertificated interest in the Trust Fund held by the Trustee on behalf of the Holders of the Class C Certificates, evidencing a Regular Interest in REMIC 2 for purposes of the REMIC Provisions.
“Class A-1 Certificate”: Any one of the Class A-1 Certificates executed by the Trustee, and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit A-1, representing the right to distributions as set forth herein and therein and evidencing a regular interest in REMIC 2.
“Class A-2 Certificate”: Any one of the Class A-2 Certificates executed by the Trustee, and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit A-2, representing the right to distributions as set forth herein and therein and evidencing a regular interest in REMIC 2.
“Class A-3 Certificate”: Any one of the Class A-3 Certificates executed by the Trustee, and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit A-3, representing the right to distributions as set forth herein and therein and evidencing a regular interest in REMIC 2.
“Class A-4 Certificate”: Any one of the Class A-4 Certificates executed by the Trustee, and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit A-4, representing the right to distributions as set forth herein and therein and evidencing a regular interest in REMIC 2.
“Class A-5 Certificate”: Any one of the Class A-5 Certificates executed by the Trustee, and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit A-5, representing the right to distributions as set forth herein and therein and evidencing a regular interest in REMIC 2.
“Class A-6 Certificate”: Any one of the Class A-6 Certificates executed by the Trustee, and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit A-6, representing the right to distributions as set forth herein and therein and evidencing a regular interest in REMIC 2.
“Class A-6 Credit Enhancement Percentage”: For any Distribution Date, the percentage equivalent of a fraction, the numerator of which is the sum of the aggregate Certificate Principal Balance of the Mezzanine Certificates and the Class C Certificates, and the denominator of which is the aggregate Stated Principal Balance of the Mortgage Loans calculated prior to taking into account payments of principal on the Mortgage Loans and distribution of the Group I Principal Distribution Amount and the Group II Principal Distribution Amount to the Holders of the Certificates then entitled to distributions of principal on such Distribution Date.
“Class A-6 Principal Distribution Amount”: The excess of (x) the sum of (i) the aggregate Certificate Principal Balance of the Class A Certificates (other than the Class A-6 Certificates) (after taking into account the distribution of the Senior Principal Distribution Amount on such Distribution Date) and (ii) the Certificate Principal Balance of the Class A-6 Certificates immediately prior to such Distribution Date over (y) the lesser of (A) the product of (i) 70.90% and (ii) the Stated Principal Balance of the Mortgage Loans as of the last day of the related Due Period (after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or advanced, and unscheduled collections of principal received during the related Prepayment Period) and (B) the aggregate Stated Principal Balance of the Mortgage Loans as of the last day of the related Due Period (after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or advanced, and unscheduled collections of principal received during the related Prepayment Period) minus the related Overcollateralization Floor.
“Class M-1 Certificate”: Any one of the Class M-1 Certificates executed by the Trustee, and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit A-7, representing the right to distributions as set forth herein and therein and evidencing a regular interest in REMIC 2.
“Class M-1 Principal Distribution Amount”: The excess of (x) the sum of (i) the aggregate Certificate Principal Balance of the Class A Certificates (other than the Class A-6 Certificates) (after taking into account the distribution of the Senior Principal Distribution Amount on such Distribution Date), (ii) the Certificate Principal Balance of the Class A-6 Certificates (after taking into account the distribution of the Class A-6 Principal Distribution Amount on such Distribution Date) and (iii) the Certificate Principal Balance of the Class M-1 Certificates immediately prior to such Distribution Date over (y) the lesser of (A) the product of (i) 80.00% and (ii) the Stated Principal Balance of the Mortgage Loans as of the last day of the related Due Period (after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or advanced, and unscheduled collections of principal received during the related Prepayment Period) and (B) the aggregate Stated Principal Balance of the Mortgage Loans as of the last day of the related Due Period (after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or advanced, and unscheduled collections of principal received during the related Prepayment Period) minus the related Overcollateralization Floor.
“Class M-2 Certificate”: Any one of the Class M-2 Certificates executed by the Trustee, and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit A-8, representing the right to distributions as set forth herein and therein and evidencing a regular interest in REMIC 2.
“Class M-2 Principal Distribution Amount”: The excess of (x) the sum of (i) the aggregate Certificate Principal Balance of the Class A Certificates (other than the Class A-6 Certificates) (after taking into account the distribution of the Senior Principal Distribution Amount on such Distribution Date), (ii) the Certificate Principal Balance of the Class A-6 Certificates (after taking into account the distribution of the Class A-6 Principal Distribution Amount on such Distribution Date) (iii) the Certificate Principal Balance of the Class M-1 Certificates (after taking into account the distribution of the Class M-1 Principal Distribution Amount on such Distribution Date) and (iv) the Certificate Principal Balance of the Class M-2 Certificates immediately prior to such Distribution Date over (y) the lesser of (A) the product of (i) 86.70% and (ii) the aggregate Stated Principal Balance of the Mortgage Loans as of the last day of the related Due Period (after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or advanced, and unscheduled collections of principal received during the related Prepayment Period) and (B) the aggregate Stated Principal Balance of the Mortgage Loans as of the last day of the related Due Period (after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or advanced, and unscheduled collections of principal received during the related Prepayment Period) minus the related Overcollateralization Floor.
“Class M-3 Certificate”: Any one of the Class M-3 Certificates executed by the Trustee, and authenticated and delivered by the Certificate Registrar, substantially in the form
annexed hereto as Exhibit A-9, representing the right to distributions as set forth herein and therein and evidencing a regular interest in REMIC 2.
“Class M-3 Principal Distribution Amount”: The excess of (x) the sum of (i) the aggregate Certificate Principal Balance of the Class A Certificates (other than the Class A-6 Certificates) (after taking into account the distribution of the Senior Principal Distribution Amount on such Distribution Date), (ii) the Certificate Principal Balance of the Class A-6 Certificates (after taking into account the distribution of the Class A-6 Principal Distribution Amount on such Distribution Date), (iii) the Certificate Principal Balance of the Class M-1 Certificates (after taking into account the distribution of the Class M-1 Principal Distribution Amount on such Distribution Date), (iv) the Certificate Principal Balance of the Class M-2 Certificates (after taking into account the distribution of the Class M-2 Principal Distribution Amount on such Distribution Date) and (v) the Certificate Principal Balance of the Class M-3 Certificates immediately prior to such Distribution Date over (y) the lesser of (A) the product of (i) 88.40% and (ii) the aggregate Stated Principal Balance of the Mortgage Loans as of the last day of the related Due Period (after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or advanced, and unscheduled collections of principal received during the related Prepayment Period) and (B) the aggregate Stated Principal Balance of the Mortgage Loans as of the last day of the related Due Period (after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or advanced, and unscheduled collections of principal received during the related Prepayment Period) minus the related Overcollateralization Floor.
“Class M-4 Certificate”: Any one of the Class M-4 Certificates executed by the Trustee, and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit A-10, representing the right to distributions as set forth herein and therein and evidencing a regular interest in REMIC 2.
“Class M-4 Principal Distribution Amount”: The excess of (x) the sum of (i) the aggregate Certificate Principal Balance of the Class A Certificates (other than the Class A-6 Certificates) (after taking into account the distribution of the Senior Principal Distribution Amount on such Distribution Date), (ii) the Certificate Principal Balance of the Class A-6 Certificates (after taking into account the distribution of the Class A-6 Principal Distribution Amount on such Distribution Date), (iii) the Certificate Principal Balance of the Class M-1 Certificates (after taking into account the distribution of the Class M-1 Principal Distribution Amount on such Distribution Date), (iv) the Certificate Principal Balance of the Class M-2 Certificates (after taking into account the distribution of the Class M-2 Principal Distribution Amount on such Distribution Date) (v) the Certificate Principal Balance of the Class M-3 Certificates (after taking into account the distribution of the Class M-3 Principal Distribution Amount on such Distribution Date) and (vi) the Certificate Principal Balance of the Class M-4 Certificates immediately prior to such Distribution Date over (y) the lesser of (A) the product of (i) 90.40% and (ii) the aggregate Stated Principal Balance of the Mortgage Loans as of the last day of the related Due Period (after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or advanced, and unscheduled collections of principal received during the related Prepayment Period) and (B) the aggregate Stated Principal Balance of the Mortgage Loans as of the last day of the related Due Period (after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or
advanced, and unscheduled collections of principal received during the related Prepayment Period) minus the related Overcollateralization Floor.
“Class M-5 Certificate”: Any one of the Class M-5 Certificates executed by the Trustee, and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit A-11, representing the right to distributions as set forth herein and therein and evidencing a regular interest in REMIC 2.
“Class M-5 Principal Distribution Amount”: The excess of (x) the sum of (i) the aggregate Certificate Principal Balance of the Class A Certificates (other than the Class A-6 Certificates) (after taking into account the distribution of the Senior Principal Distribution Amount on such Distribution Date), (ii) the Certificate Principal Balance of the Class A-6 Certificates (after taking into account the distribution of the Class A-6 Principal Distribution Amount on such Distribution Date), (iii) the Certificate Principal Balance of the Class M-1 Certificates (after taking into account the distribution of the Class M-1 Principal Distribution Amount on such Distribution Date), (iv) the Certificate Principal Balance of the Class M-2 Certificates (after taking into account the distribution of the Class M-2 Principal Distribution Amount on such Distribution Date), (v) the Certificate Principal Balance of the Class M-3 Certificates (after taking into account the distribution of the Class M-3 Principal Distribution Amount on such Distribution Date), (vi) the Certificate Principal Balance of the Class M-4 Certificates (after taking into account the distribution of the Class M-4 Principal Distribution Amount on such Distribution Date) and (vii) the Certificate Principal Balance of the Class M-5 Certificates immediately prior to such Distribution Date over (y) the lesser of (A) the product of (i) 92.10% and (ii) the aggregate Stated Principal Balance of the Mortgage Loans as of the last day of the related Due Period (after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or advanced, and unscheduled collections of principal received during the related Prepayment Period) and (B) the aggregate Stated Principal Balance of the Mortgage Loans as of the last day of the related Due Period (after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or advanced, and unscheduled collections of principal received during the related Prepayment Period) minus the related Overcollateralization Floor.
“Class M-6 Certificate”: Any one of the Class M-6 Certificates executed by the Trustee, and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit A-12, representing the right to distributions as set forth herein and therein and evidencing a regular interest in REMIC 2.
“Class M-6 Principal Distribution Amount”: The excess of (x) the sum of (i) the aggregate Certificate Principal Balance of the Class A Certificates (other than the Class A-6 Certificates) (after taking into account the distribution of the Senior Principal Distribution Amount on such Distribution Date), (ii) the Certificate Principal Balance of the Class A-6 Certificates (after taking into account the distribution of the Class A-6 Principal Distribution Amount on such Distribution Date), (iii) the Certificate Principal Balance of the Class M-1 Certificates (after taking into account the distribution of the Class M-1 Principal Distribution Amount on such Distribution Date), (iv) the Certificate Principal Balance of the Class M-2 Certificates (after taking into account the distribution of the Class M-2 Principal Distribution Amount on such Distribution Date), (v) the Certificate Principal Balance of the Class M-3
Certificates (after taking into account the distribution of the Class M-3 Principal Distribution Amount on such Distribution Date), (vi) the Certificate Principal Balance of the Class M-4 Certificates (after taking into account the distribution of the Class M-4 Principal Distribution Amount on such Distribution Date), (vii) the Certificate Principal Balance of the Class M-5 Certificates (after taking into account the distribution of the Class M-5 Principal Distribution Amount on such Distribution Date) and (viii) the Certificate Principal Balance of the Class M-6 Certificates immediately prior to such Distribution Date over (y) the lesser of (A) the product of (i) 93.90% and (ii) the aggregate Stated Principal Balance of the Mortgage Loans as of the last day of the related Due Period (after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or advanced, and unscheduled collections of principal received during the related Prepayment Period) and (B) the aggregate Stated Principal Balance of the Mortgage Loans as of the last day of the related Due Period (after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or advanced, and unscheduled collections of principal received during the related Prepayment Period) minus the related Overcollateralization Floor.
“Class M-7 Certificate”: Any one of the Class M-7 Certificates executed by the Trustee, and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit A-13, representing the right to distributions as set forth herein and therein and evidencing a regular interest in REMIC 2.
“Class M-7 Principal Distribution Amount”: The excess of (x) the sum of (i) the aggregate Certificate Principal Balance of the Class A Certificates (other than the Class A-6 Certificates) (after taking into account the distribution of the Senior Principal Distribution Amount on such Distribution Date), (ii) the Certificate Principal Balance of the Class A-6 Certificates (after taking into account the distribution of the Class A-6 Principal Distribution Amount on such Distribution Date), (iii) the Certificate Principal Balance of the Class M-1 Certificates (after taking into account the distribution of the Class M-1 Principal Distribution Amount on such Distribution Date), (iv) the Certificate Principal Balance of the Class M-2 Certificates (after taking into account the distribution of the Class M-2 Principal Distribution Amount on such Distribution Date), (v) the Certificate Principal Balance of the Class M-3 Certificates (after taking into account the distribution of the Class M-3 Principal Distribution Amount on such Distribution Date), (vi) the Certificate Principal Balance of the Class M-4 Certificates (after taking into account the distribution of the Class M-4 Principal Distribution Amount on such Distribution Date), (vii) the Certificate Principal Balance of the Class M-5 Certificates (after taking into account the distribution of the Class M-5 Principal Distribution Amount on such Distribution Date), (viii) the Certificate Principal Balance of the Class M-6 Certificates (after taking into account the distribution of the Class M-6 Principal Distribution Amount on such Distribution Date) and (ix) the Certificate Principal Balance of the Class M-7 Certificates immediately prior to such Distribution Date over (y) the lesser of (A) the product of (i) 95.50% and (ii) the aggregate Stated Principal Balance of the Mortgage Loans as of the last day of the related Due Period (after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or advanced, and unscheduled collections of principal received during the related Prepayment Period) and (B) the aggregate Stated Principal Balance of the Mortgage Loans as of the last day of the related Due Period (after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or
advanced, and unscheduled collections of principal received during the related Prepayment Period) minus the related Overcollateralization Floor.
“Class M-8 Certificate”: Any one of the Class M-8 Certificates executed by the Trustee, and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit A-14, representing the right to distributions as set forth herein and therein and evidencing a regular interest in REMIC 2.
“Class M-8 Principal Distribution Amount”: The excess of (x) the sum of (i) the aggregate Certificate Principal Balance of the Class A Certificates (other than the Class A-6 Certificates) (after taking into account the distribution of the Senior Principal Distribution Amount on such Distribution Date), (ii) the Certificate Principal Balance of the Class A-6 Certificates (after taking into account the distribution of the Class A-6 Principal Distribution Amount on such Distribution Date), (iii) the Certificate Principal Balance of the Class M-1 Certificates (after taking into account the distribution of the Class M-1 Principal Distribution Amount on such Distribution Date), (iv) the Certificate Principal Balance of the Class M-2 Certificates (after taking into account the distribution of the Class M-2 Principal Distribution Amount on such Distribution Date), (v) the Certificate Principal Balance of the Class M-3 Certificates (after taking into account the distribution of the Class M-3 Principal Distribution Amount on such Distribution Date), (vi) the Certificate Principal Balance of the Class M-4 Certificates (after taking into account the distribution of the Class M-4 Principal Distribution Amount on such Distribution Date), (vii) the Certificate Principal Balance of the Class M-5 Certificates (after taking into account the distribution of the Class M-5 Principal Distribution Amount on such Distribution Date), (viii) the Certificate Principal Balance of the Class M-6 Certificates (after taking into account the distribution of the Class M-6 Principal Distribution Amount on such Distribution Date), (ix) the Certificate Principal Balance of the Class M-7 Certificates (after taking into account the distribution of the Class M-7 Principal Distribution Amount on such Distribution Date) and (x) the Certificate Principal Balance of the Class M-8 Certificates immediately prior to such Distribution Date over (y) the lesser of (A) the product of (i) 97.10% and (ii) the aggregate Stated Principal Balance of the Mortgage Loans as of the last day of the related Due Period (after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or advanced, and unscheduled collections of principal received during the related Prepayment Period) and (B) the aggregate Stated Principal Balance of the Mortgage Loans as of the last day of the related Due Period (after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or advanced, and unscheduled collections of principal received during the related Prepayment Period) minus the related Overcollateralization Floor.
“Class M-9 Certificate”: Any one of the Class M-9 Certificates executed by the Trustee, and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit A-15, representing the right to distributions as set forth herein and therein and evidencing a regular interest in REMIC 2.
“Class M-9 Principal Distribution Amount”: The excess of (x) the sum of (i) the aggregate Certificate Principal Balance of the Class A Certificates (other than the Class A-6 Certificates) (after taking into account the distribution of the Senior Principal Distribution Amount on such Distribution Date), (ii) the Certificate Principal Balance of the Class A-6
Certificates (after taking into account the distribution of the Class A-6 Principal Distribution Amount on such Distribution Date), (iii) the Certificate Principal Balance of the Class M-1 Certificates (after taking into account the distribution of the Class M-1 Principal Distribution Amount on such Distribution Date), (iv) the Certificate Principal Balance of the Class M-2 Certificates (after taking into account the distribution of the Class M-2 Principal Distribution Amount on such Distribution Date), (v) the Certificate Principal Balance of the Class M-3 Certificates (after taking into account the distribution of the Class M-3 Principal Distribution Amount on such Distribution Date), (vi) the Certificate Principal Balance of the Class M-4 Certificates (after taking into account the distribution of the Class M-4 Principal Distribution Amount on such Distribution Date), (vii) the Certificate Principal Balance of the Class M-5 Certificates (after taking into account the distribution of the Class M-5 Principal Distribution Amount on such Distribution Date), (viii) the Certificate Principal Balance of the Class M-6 Certificates (after taking into account the distribution of the Class M-6 Principal Distribution Amount on such Distribution Date), (ix) the Certificate Principal Balance of the Class M-7 Certificates (after taking into account the distribution of the Class M-7 Principal Distribution Amount on such Distribution Date), (x) the Certificate Principal Balance of the Class M-8 Certificates (after taking into account the distribution of the Class M-8 Principal Distribution Amount on such Distribution Date) and (xi) the Certificate Principal Balance of the Class M-9 Certificates immediately prior to such Distribution Date over (y) the lesser of (A) the product of (i) 98.70% and (ii) the aggregate Stated Principal Balance of the Mortgage Loans as of the last day of the related Due Period (after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or advanced, and unscheduled collections of principal received during the related Prepayment Period) and (B) the aggregate Stated Principal Balance of the Mortgage Loans as of the last day of the related Due Period (after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or advanced, and unscheduled collections of principal received during the related Prepayment Period) minus the related Overcollateralization Floor.
“Class P Certificate”: Any one of the Class P Certificates executed by the Trustee, and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit A-17, representing the right to distributions as set forth herein and therein and evidencing a regular interest in REMIC 4.
“Class P Interest”: An uncertificated interest in the Trust Fund held by the Trustee on behalf of the Holders of the Class P Certificates, evidencing a Regular Interest in REMIC 2 for purposes of the REMIC Provisions.
“Class R Certificate”: The Class R Certificate executed by the Trustee, and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit A-18 and evidencing the ownership of the Class R-1 Interest and the Class R-2 Interest.
“Class R-1 Interest”: The uncertificated Residual Interest in REMIC 1.
“Class R-2 Interest”: The uncertificated Residual Interest in REMIC 2.
“Class R-3 Interest”: The uncertificated Residual Interest in REMIC 3.
“Class R-4 Interest”: The uncertificated Residual Interest in REMIC 4.
“Class R-X Certificate”: The Class R-X Certificate executed by the Trustee, and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit A-19 and evidencing the ownership of the Class R-3 Interest and the Class R-4 Interest.
“Close of Business”: As used herein, with respect to any Business Day, 5:00 p.m. (New York time).
“Closing Date”: August 18, 2005.
“Code”: The Internal Revenue Code of 1986, as amended.
“Collection Account”: The account or accounts created and maintained by the Servicer pursuant to Section 3.10(a), which shall be entitled “Deutsche Bank National Trust Company, as Trustee, in trust for registered Holders of Soundview Home Loan Trust 2005-OPT2, Asset-Backed Certificates, Series 2005-OPT2,” which must be an Eligible Account.
“Compensating Interest”: As defined in Section 3.24 hereof.
“Corporate Trust Office”: The principal corporate trust office of the Trustee at which at any particular time its corporate trust business in connection with this Agreement shall be administered, which office at the date of the execution of this instrument is located at 0000 Xxxx Xx. Xxxxxx Xxxxx, Xxxxx Xxx, XX 00000-0000, Attention: Trust Administration- GC05O2, or at such other address as the Trustee may designate from time to time by notice to the Certificateholders, the Depositor, the Servicer, the Originator and the Seller.
“Corresponding Certificate”: With respect to each REMIC 1 Regular Interest set forth below, the corresponding Regular Certificate set forth in the table below:
REMIC 1 Regular Interest |
Regular Certificate |
LTA1 |
Class A-1 |
LTA2 |
Class A-2 |
LTA3 |
Class A-3 |
LTA4 |
Class A-4 |
LTA5 |
Class A-5 |
LTA6 |
Class A-6 |
LTM1 |
Class M-1 |
LTM2 |
Class M-2 |
LTM3 |
Class M-3 |
LTM4 |
Class M-4 |
LTM5 |
Class M-5 |
LTM6 |
Class M-6 |
LTM7 |
Class M-7 |
LTM8 |
Class M-8 |
LTM9 |
Class M-9 |
LTP |
Class P |
“Credit Risk Manager”: The Murrayhill Company, its successors and assigns.
“Credit Risk Management Agreement”: The Credit Risk Management Agreement, dated August 18, 2005, between the Servicer and the Credit Risk Manager.
“Credit Risk Manager Fee” for any Distribution Date is the premium payable to the Credit Risk Manager at the Credit Risk Manager Fee Rate on the then current aggregate principal balance of the Mortgage Loans.
“Credit Risk Manager Fee Rate” for any Distribution Date is 0.015% per annum.
“Cumulative Loss Percentage”: With respect to any Distribution Date, the percentage equivalent of a fraction, the numerator of which is the aggregate amount of Realized Losses incurred from the Cut-off Date to the last day of the preceding calendar month and the denominator of which is the aggregate Stated Principal Balance of the Mortgage Loans as of the Cut-off Date.
“Custodial Agreement”: The Custodial Agreement, dated as of August 1, 2005, among the Custodian, the Trustee and the Servicer.
“Custodian”: Xxxxx Fargo Bank, N.A., as custodian of the Mortgage Files, or any successor thereto, pursuant to the Custodial Agreement.
“Custodian Fee”: The amount payable to the Custodian on each Distribution Date by the Trustee pursuant to Section 8.05 as compensation for all services rendered by it under the Custodial Agreement which amount shall equal one twelfth of the product of (i) the Custodian Fee Rate (without regard to the words “per annum”), multiplied by (ii) the aggregate Principal Balance of the Mortgage Loans (after giving effect to scheduled payments of principal due during the Due Period relating to the previous Distribution Date, to the extent received or advanced and prepayments collected during the Prepayment Period relating to the previous Distribution Date).
“Custodian Fee Rate”: 0.0035% per annum.
“Cut-off Date”: With respect to each Mortgage Loan, August 1, 2005.
“Cut-off Date Principal Balance”: With respect to any Mortgage Loan, the unpaid Stated Principal Balance thereof as of the Cut-off Date of such Mortgage Loan (or as of the applicable date of substitution with respect to a Qualified Substitute Mortgage Loan), after giving effect to scheduled payments due on or before the Cut-off Date, 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 resulting from a Deficient Valuation.
“Deficient Valuation”: With respect to any Mortgage Loan, a valuation of the related Mortgaged Property by a court of competent jurisdiction in an amount less than the then
outstanding Stated Principal Balance of the Mortgage Loan, which valuation results from a proceeding initiated under the Bankruptcy Code.
“Definitive Certificates”: As defined in Section 5.02(c) hereof.
“Deleted Mortgage Loan”: A Mortgage Loan replaced or to be replaced by one or more Qualified Substitute Mortgage Loans.
“Delinquency Servicer Termination Trigger”: A Delinquency Servicer Termination Trigger will have occurred with respect to the Certificates on a Distribution Date if the Three Month Rolling Delinquency Percentage for the Mortgage Loans exceeds 18.00%.
“Delinquency Percentage”: For any Distribution Date, the percentage obtained by dividing (x) the aggregate Stated Principal Balance of Mortgage Loans that are Delinquent 60 days or more (including Mortgage Loans that are REO Properties, in foreclosure or in bankruptcy and that are also Delinquent 60 days or more) by (y) the aggregate Stated Principal Balance of the Mortgage Loans, in each case, as of the last day of the previous calendar month.
“Delinquent”: With respect to any Mortgage Loan and related Monthly Payment, the Monthly Payment due on a Due Date which is not made by the Close of Business on the next scheduled Due Date for such Mortgage Loan. For example, a Mortgage Loan is 60 or more days Delinquent if the Monthly Payment due on a Due Date is not made by the Close of Business on the second scheduled Due Date after such Due Date.
“Depositor”: Financial Asset Securities Corp., a Delaware corporation, or any successor in interest.
“Depository”: The initial Depository shall be The Depository Trust Company, whose nominee is Cede & Co., or any other organization registered as a “clearing agency” pursuant to Section 17A of the Securities Exchange Act of 1934, as amended. The Depository shall initially be the registered Holder of the Book-Entry Certificates. The Depository shall at all times be a “clearing corporation” as defined in Section 8-102(3) of the Uniform Commercial Code of the State of New York.
“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.
“Determination Date”: With respect to any Distribution Date, the 15th day of the calendar month in which such Distribution Date occurs or, if such 15th day is not a Business Day, the Business Day immediately preceding such 15th day.
“Directly Operate”: With respect to any REO Property, the furnishing or rendering of services to the tenants thereof, the management or operation of such REO Property, the holding of such REO Property primarily for sale to customers, the performance of any construction work thereon or any use of such REO Property in a trade or business conducted by the REMIC other than through an Independent Contractor; provided, however, that the Trustee (or the Servicer on behalf of the Trustee) shall not be considered to Directly Operate an REO
Property solely because the Trustee (or the Servicer on behalf of the Trustee) establishes rental terms, chooses tenants, enters into or renews leases, deals with taxes and insurance, or makes decisions as to repairs or capital expenditures with respect to such REO Property.
“Disqualified Organization”: A “disqualified organization” under Section 860E of the Code, which as of the Closing Date is any of: (i) the United States, any state or political subdivision thereof, any foreign government, any international organization, or any agency or instrumentality of any of the foregoing, (ii) any organization (other than a cooperative 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, (iii) any organization described in Section 1381(a)(2)(C) of the Code or (iv) an “electing large partnership” within the meaning of Section 775 of the Code. A corporation will not be treated as an instrumentality of the United States or of any state or political subdivision thereof, if all of its activities are subject to tax and, a majority of its board of directors is not selected by a governmental unit. The term “United States”, “state” and “international organizations” shall have the meanings set forth in Section 7701 of the Code.
“Distribution Account”: The trust account or accounts created and maintained by the Trustee pursuant to Section 3.10(b) which shall be entitled “Distribution Account, Deutsche Bank National Trust Company, as Trustee, in trust for the registered Certificateholders of Soundview Home Loan Trust 2005-OPT2, Asset-Backed Certificates, Series 2005-OPT2” and which must be an Eligible Account.
“Distribution Date”: The 25th day of any calendar month, or if such 25th day is not a Business Day, the Business Day immediately following such 25th day, commencing in September 2005.
“Due Date”: With respect to each Mortgage Loan and any Distribution Date, the first day of the calendar month in which such Distribution Date occurs on which the Monthly Payment for such Mortgage Loan was due (or, in the case of any Mortgage Loan under the terms of which the Monthly Payment for such Mortgage Loan was due on a day other than the first day of the calendar month in which such Distribution Date occurs, the day during the related Due Period on which such Monthly Payment was due), exclusive of any days of grace.
“Due Period”: With respect to any Distribution Date, the period commencing on the second day of the month preceding the month in which such Distribution Date occurs and ending on the first day of the month in which such Distribution Date occurs.
“Eligible Account”: Any of (i) an account or accounts maintained with a federal or state chartered depository institution or trust company the short-term unsecured debt obligations of which (or, in the case of a depository institution or trust company that is the principal subsidiary of a holding company, the short-term unsecured debt obligations of such holding company) are rated A-1+ by S&P, F-1 by Fitch and P-1 by Xxxxx’x (or comparable ratings if S&P, Fitch and Xxxxx’x are not the Rating Agencies) at the time any amounts are held on deposit therein, (ii) an account or accounts the deposits in which are fully insured by the FDIC up to the insured amount, (iii) a trust account or accounts maintained with the trust department of a federal or state chartered depository institution, national banking association or
trust company acting in its fiduciary capacity or (iv) an account otherwise acceptable to each Rating Agency without reduction or withdrawal of their then current ratings of the Certificates as evidenced by a letter from each Rating Agency to the Trustee and the NIMS Insurer. Eligible Accounts may bear interest.
“ERISA”: The Employee Retirement Income Security Act of 1974, as amended.
“Escrow Account”: The account or accounts created and maintained pursuant to Section 3.09.
“Escrow Payments”: The amounts constituting ground rents, taxes, assessments, water rates, fire and hazard insurance premiums and other payments required to be escrowed by the Mortgagor with the mortgagee pursuant to any Mortgage Loan.
“Excess Overcollateralized Amount”: With respect to the Floating Rate Certificates and any Distribution Date, the excess, if any, of (i) the Overcollateralized Amount for such Distribution Date, assuming that 100% of the Principal Remittance Amount is applied as a principal payment on such Distribution Date over (ii) the Overcollateralization Target Amount for such Distribution Date.
“Extra Principal Distribution Amount”: With respect to any Distribution Date, the lesser of (x) the Monthly Interest Distributable Amount payable on the Class C Certificates on such Distribution Date as reduced by Realized Losses allocated thereto with respect to such Distribution Date pursuant to Section 4.08 and (y) the Overcollateralization Deficiency Amount for such Distribution Date.
“Xxxxxx Xxx”: Federal National Mortgage Association or any successor thereto.
“FDIC”: Federal Deposit Insurance Corporation or any successor thereto.
“Final Recovery Determination”: With respect to any defaulted Mortgage Loan or any REO Property (other than a Mortgage Loan or REO Property purchased by the Originator, the Seller or the Servicer pursuant to or as contemplated by Section 2.03, 3.16(c) or 10.01), a determination made by the Servicer that all Insurance Proceeds, Liquidation Proceeds and other payments or recoveries which the Servicer, in its reasonable good faith judgment, expects to be finally recoverable in respect thereof have been so recovered. The Servicer shall maintain records, prepared by a Servicing Officer, of each Final Recovery Determination made thereby.
“Fitch”: Fitch Ratings, or its successor in interest.
“Fixed-Rate Mortgage Loan”: A first lien or second lien Mortgage Loan which provides for a fixed Mortgage Rate payable with respect thereto. The Fixed-Rate Mortgage Loans are identified as such on the Mortgage Loan Schedule.
“Floating Rate Certificates”: Any Class A Certificate or Mezzanine Certificate.
“Formula Rate”: For any Distribution Date and any Class of the Floating Rate Certificates, the lesser of (i) the Base Rate and (ii) the Maximum Cap Rate.
“Xxxxxxx Mac”: The Federal Home Loan Mortgage Corporation, or any successor thereto.
“Gross Margin”: With respect to each Adjustable-Rate Mortgage Loan, the fixed percentage set forth in the related Mortgage Note that is added to the Index on each Adjustment Date in accordance with the terms of the related Mortgage Note used to determine the Mortgage Rate for such Mortgage Loan.
“Group I Allocation Percentage”: With respect to any Distribution Date, the percentage equivalent of a fraction, the numerator of which is (i) the Group I Principal Remittance Amount for such Distribution Date, and the denominator of which is (ii) the Principal Remittance Amount for such Distribution Date.
“Group I Basic Principal Distribution Amount”: With respect to any Distribution Date, the excess of (i) the Group I Principal Remittance Amount for such Distribution Date over (ii)(a) the Overcollateralization Release Amount, if any, for such Distribution Date multiplied by (b) the Group I Allocation Percentage.
“Group I Certificates”: The Class A-1 Certificates.
“Group I Interest Remittance Amount”: With respect to any Distribution Date, that portion of the Available Funds for such Distribution Date attributable to interest received or advanced with respect to the Group I Mortgage Loans.
“Group I Mortgage Loan”: A Mortgage Loan assigned to Loan Group I with a Stated Principal Balance at origination that conforms to Xxxxxx Xxx and Xxxxxxx Mac loan limits. The aggregate principal balance of the Group I Mortgage Loans as of the Cut-off Date is equal to $670,659,336.72.
“Group I Principal Distribution Amount”: With respect to any Distribution Date, the sum of (i) the Group I Basic Principal Distribution Amount for such Distribution Date and (ii)(a) the Extra Principal Distribution Amount for such Distribution Date multiplied by (b) the Group I Allocation Percentage.
“Group I Principal Remittance Amount”: With respect to any Distribution Date, that portion of Available Funds equal to the sum of (i) each scheduled payment of principal collected or advanced on the Group I Mortgage Loans by the Servicer that were due during the related Due Period, (ii) the principal portion of all full Principal Prepayments of the Group I Mortgage Loans applied by the Servicer during the related Prepayment Period, (iii) the principal portion of all related partial Principal Prepayments, Net Liquidation Proceeds, Insurance Proceeds and Subsequent Recoveries received during the prior calendar month with respect to the Group I Mortgage Loans, (iv) that portion of the Purchase Price, representing principal of any repurchased Group I Mortgage Loan, deposited to the Collection Account during the prior calendar month, (v) the principal portion of any related Substitution Adjustments deposited in the Collection Account during the prior calendar month with respect to the Group I Mortgage Loans and (vi) on the Distribution Date on which the Trust Fund is to be terminated pursuant to Section
10.01, that portion of the Termination Price, in respect of principal on the Group I Mortgage Loans.
“Group I Senior Principal Distribution Amount”: The excess of (x) the Certificate Principal Balance of the Group I Certificates immediately prior to such Distribution Date over (y) the lesser of (A) the product of (i) 66.30% and (ii) the aggregate Stated Principal Balance of the Group I Mortgage Loans as of the last day of the related Due Period (after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or advanced, and unscheduled collections of principal received during the related Prepayment Period) and (B) the aggregate Stated Principal Balance of the Group I Mortgage Loans as of the last day of the related Due Period (after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or advanced, and unscheduled collections of principal received during the related Prepayment Period) minus the related Overcollateralization Floor.
“Group II Allocation Percentage”: With respect to any Distribution Date, the percentage equivalent of a fraction, the numerator of which is (i) the Group II Principal Remittance Amount for such Distribution Date, and the denominator of which is (ii) the Principal Remittance Amount for such Distribution Date.
“Group II Basic Principal Distribution Amount”: With respect to any Distribution Date, the excess of (i) the Group II Principal Remittance Amount for such Distribution Date over (ii)(a) the Overcollateralization Release Amount, if any, for such Distribution Date multiplied by (b) the Group II Allocation Percentage.
“Group II Certificates”: Any Class A-2 Certificate, Class A-3 Certificate, Class A-4 Certificate or Class A-5 Certificate.
“Group II Interest Remittance Amount”: With respect to any Distribution Date, that portion of the Available Funds for such Distribution Date attributable to interest received or advanced with respect to the Group II Mortgage Loans.
“Group II Mortgage Loan”: A Mortgage Loan assigned to Loan Group II with a Stated Principal Balance at origination that may or may not conform to Xxxxxx Mae and Xxxxxxx Mac loan limits. The aggregate principal balance of the Group II Mortgage Loans as of the Cut-off Date is equal to $ 364,829,445.62.
“Group II Principal Distribution Amount”: With respect to any Distribution Date, the sum of (i) the Group II Basic Principal Distribution Amount for such Distribution Date and (ii)(a) the Extra Principal Distribution Amount for such Distribution Date multiplied by (b) the Group II Allocation Percentage.
“Group II Principal Remittance Amount”: With respect to any Distribution Date, that portion of Available Funds equal to the sum of (i) each scheduled payment of principal collected or advanced on the Group II Mortgage Loans by the Servicer that were due during the related Due Period, (ii) the principal portion of all full Principal Prepayments of the Group II Mortgage Loans applied by the Servicer during the related Prepayment Period, (iii) the principal
portion of all related partial Principal Prepayments, Net Liquidation Proceeds, Insurance Proceeds and Subsequent Recoveries received during the prior calendar month with respect to the Group II Mortgage Loans, (iv) that portion of the Purchase Price, representing principal of any repurchased Group II Mortgage Loan, deposited to the Collection Account during the prior calendar month, (v) the principal portion of any related Substitution Adjustments deposited in the Collection Account during the prior calendar month with respect to the Group II Mortgage Loans and (vi) on the Distribution Date on which the Trust Fund is to be terminated pursuant to Section 10.01, that portion of the Termination Price, in respect of principal on the Group II Mortgage Loans.
“Group II Senior Principal Distribution Amount”: The excess of (x) the aggregate Certificate Principal Balance of the Group II Certificates immediately prior to such Distribution Date over (y) the lesser of (A) the product of (i) 66.30% and (ii) the aggregate Stated Principal Balance of the Group II Mortgage Loans as of the last day of the related Due Period (after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or advanced, and unscheduled collections of principal received during the related Prepayment Period) and (B) the aggregate Stated Principal Balance of the Group II Mortgage Loans as of the last day of the related Due Period (after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or advanced, and unscheduled collections of principal received during the related Prepayment Period) minus the related Overcollateralization Floor.
“Highest Priority”: As of any date of determination, the Class A-6 Certificates and the Class of Mezzanine Certificates then outstanding with a Certificate Principal Balance greater than zero, with the highest priority for payments pursuant to Section 4.01, in the following order of decreasing priority: Class A-6, Class M-1, Class M-2, Class M-3, Class M-4, Class M-5, Class M-6, Class M-7, Class M-8 and Class M-9 Certificates.
“Indenture”: An indenture relating to the issuance of notes secured by the Class C Certificates, the Class P Certificates and/or the Class R Certificates (or any portion thereof).
“Independent”: When used with respect to any specified Person, any such Person who (a) is in fact independent of the Depositor, the Servicer and their respective Affiliates, (b) does not have any direct financial interest in or any material indirect financial interest in the Depositor or the Servicer or any Affiliate thereof, and (c) is not connected with the Depositor or the Servicer or any Affiliate thereof as an officer, employee, promoter, underwriter, trustee, partner, director or Person performing similar functions; provided, however, that a Person shall not fail to be Independent of the Depositor or the Servicer or any Affiliate thereof merely because such Person is the beneficial owner of 1% or less of any class of securities issued by the Depositor or the Servicer or any Affiliate thereof, as the case may be.
“Independent Contractor”: Either (i) any Person (other than the Servicer) that would be an “independent contractor” with respect to any of the REMICs created hereunder within the meaning of Section 856(d)(3) of the Code if such REMIC were a real estate investment trust (except that the ownership tests set forth in that section shall be considered to be met by any Person that owns, directly or indirectly, 35% or more of any Class of Certificates), so long as each such REMIC does not receive or derive any income from such Person and provided
that the relationship between such Person and such REMIC is at arm’s length, all within the meaning of Treasury Regulation Section 1.856-4(b)(5), or (ii) any other Person (including the Servicer) if the Trustee has received an Opinion of Counsel to the effect that the taking of any action in respect of any REO Property by such Person, subject to any conditions therein specified, that is otherwise herein contemplated to be taken by an Independent Contractor will not cause such REO Property to cease to qualify as “foreclosure property” within the meaning of Section 860G(a)(8) of the Code (determined without regard to the exception applicable for purposes of Section 860D(a) of the Code), or cause any income realized in respect of such REO Property to fail to qualify as Rents from Real Property.
“Indenture”: An indenture relating to the issuance of notes secured by the Class C Certificates, the Class P Certificates and/or Residual Certificates (or any portion thereof) which may or may not be guaranteed by the NIMS Insurer.
“Index”: With respect to each Adjustable-Rate Mortgage Loan and with respect to each related Adjustment Date, the index as specified in the related Mortgage Note.
“Initial Certificate Principal Balance”: With respect to any Regular Certificate, the amount designated “Initial Certificate Principal Balance” on the face thereof.
“Insurance Proceeds”: Proceeds of any title policy, hazard policy or other insurance policy covering a Mortgage Loan (including the PMI Policy), to the extent such proceeds are received by the Servicer and are not to be applied to the restoration of the related Mortgaged Property or released to the Mortgagor in accordance with the procedures that the Servicer would follow in servicing mortgage loans held for its own account, subject to the terms and conditions of the related Mortgage Note and Mortgage.
“Interest Determination Date”: With respect to the Floating Rate Certificates and each Accrual Period, the second LIBOR Business Day preceding the commencement of such Accrual Period.
“Late Collections”: With respect to any Mortgage Loan, all amounts received subsequent to the Determination Date immediately following any related Due Period, whether as late payments of Monthly Payments or as Insurance Proceeds, Liquidation Proceeds or otherwise, which represent late payments or collections of principal and/or interest due (without regard to any acceleration of payments under the related Mortgage and Mortgage Note) but delinquent on a contractual basis for such Due Period and not previously recovered.
“LIBOR”: With respect to each Accrual Period, the rate determined by the Trustee on the related Interest Determination Date on the basis of the London interbank offered rate for one-month United States dollar deposits, as such rate appears on the Telerate Page 3750, as of 11:00 a.m. (London time) on such Interest Determination Date. If such rate does not appear on Telerate Page 3750, the rate for such Interest Determination Date will be determined on the basis of the offered rates of the Reference Banks for one-month United States dollar deposits, as of 11:00 a.m. (London time) on such Interest Determination Date. The Trustee will request the principal London office of each of the Reference Banks to provide a quotation of its rate. On
such Interest Determination Date, LIBOR for the related Accrual Period will be established by the Trustee as follows:
(i) If on such Interest Determination Date two or more Reference Banks provide such offered quotations, LIBOR for the related Accrual Period shall be the arithmetic mean of such offered quotations (rounded upwards if necessary to the nearest whole multiple of 1/16 of 1%); and
(ii) If on such Interest Determination Date fewer than two Reference Banks provide such offered quotations, LIBOR for the related Accrual Period shall be the higher of (i) LIBOR as determined on the previous Interest Determination Date and (ii) the Reserve Interest Rate.
“LIBOR Business Day”: Any day on which banks in London, England and The City of New York are open and conducting transactions in foreign currency and exchange.
“Liquidated Mortgage Loan”: As to any Distribution Date, any Mortgage Loan in respect of which the Servicer has determined, in accordance with the servicing procedures specified herein, as of the end of the related Prepayment Period, that all Liquidation Proceeds which it expects to recover with respect to the liquidation of the Mortgage Loan or disposition of the related REO Property have been recovered.
“Liquidation Event”: With respect to any Mortgage Loan, any of the following events: (i) such Mortgage Loan is paid in full, (ii) a Final Recovery Determination is made as to such Mortgage Loan or (iii) such Mortgage Loan is removed from the Trust Fund by reason of its being purchased, sold or replaced pursuant to or as contemplated by Section 2.03, Section 3.16(c) or Section 10.01. With respect to any REO Property, either of the following events: (i) a Final Recovery Determination is made as to such REO Property or (ii) such REO Property is removed from the Trust Fund by reason of its being sold or purchased pursuant to Section 3.23 or Section 10.01.
“Liquidation Proceeds”: The amount (other than amounts received in respect of the rental of any REO Property prior to REO Disposition) received by the Servicer in connection with (i) the taking of all or a part of a Mortgaged Property by exercise of the power of eminent domain or condemnation, (ii) the liquidation of a defaulted Mortgage Loan by means of a trustee’s sale, foreclosure sale or otherwise or (iii) the repurchase, substitution or sale of a Mortgage Loan or an REO Property pursuant to or as contemplated by Section 2.03, Section 3.16(c), Section 3.23 or Section 10.01.
“Loan-to-Value Ratio”: As of any date and as to any Mortgage Loan, the fraction, expressed as a percentage, the numerator of which is the Stated Principal Balance of the Mortgage Loan and the denominator of which is the Value of the related Mortgaged Property.
“Loan Group”: Either Loan Group I or Loan Group II, as the context requires.
“Loan Group I”: The group of Mortgage Loans identified in the Mortgage Loan Schedule as having been assigned to Loan Group I.
“Loan Group II”: The group of Mortgage Loans identified in the Mortgage Loan Schedule as having been assigned to Loan Group II.
“Losses”: As defined in Section 9.03.
“Lost Note Affidavit”: With respect to any Mortgage Loan as to which the original Mortgage Note has been permanently lost, misplaced or destroyed and has not been replaced, an affidavit from the Originator certifying that the original Mortgage Note has been lost, misplaced or destroyed (together with a copy of the related Mortgage Note) and indemnifying the Trust against any loss, cost or liability resulting from the failure to deliver the original Mortgage Note in the form of Exhibit H hereto.
“Majority Certificateholders”: The Holders of Certificates evidencing at least 51% of the Voting Rights.
“Marker Rate”: With respect to the Class C Interest and any Distribution Date, a per annum rate equal to two (2) times the weighted average of the Uncertificated REMIC 1 Pass-Through Rates for REMIC 1 Regular Interest LTA1, REMIC 1 Regular Interest LTA2, REMIC 1 Regular Interest LTA3, REMIC 1 Regular Interest LTA4, REMIC 1 Regular Interest LTA5, REMIC 1 Regular Interest LTA6, REMIC 1 Regular Interest LTM1, REMIC 1 Regular Interest LTM2, REMIC 1 Regular Interest LTM3, REMIC 1 Regular Interest LTM4, REMIC 1 Regular Interest LTM5, REMIC 1 Regular Interest LTM6, REMIC 1 Regular Interest LTM7, REMIC 1 Regular Interest LTM8, REMIC 1 Regular Interest LTM9 and REMIC 1 Regular Interest LTZZ, with the rate on each such REMIC 1 Regular Interest (other than REMIC 1 Regular Interest LTZZ) subject to a cap equal to the lesser of (i) LIBOR plus the related Certificate Margin for the related Corresponding Certificate and (ii) the Net WAC Rate for the purpose of this calculation and with the rate on REMIC 1 Regular Interest LTZZ subject to a cap of zero for the purpose of this calculation; provided, however, that for this purpose, calculations of the Uncertificated REMIC 1 Pass-Through Rate and the related caps with respect to each such REMIC 1 Regular Interest (other than REMIC 1 Regular Interest LTZZ) shall be multiplied by a fraction, the numerator of which is the actual number of days in the Accrual Period and the denominator of which is 30.
“Master Agreement”: The Master Mortgage Loan Purchase and Servicing Agreement, dated as of March 1, 2005, among the Originator. the Seller and Option One Owner Trust 2001-1A, Option One Owner Trust 2001-1B, Option One Owner Trust 2001-2, Option One Owner Trust 2002-3, Option One Owner Trust 2003-4 and Option One Owner Trust 2003-5.
“Maximum Cap Rate”: For any Distribution Date and any Class of the Floating Rate Certificates, a per annum rate equal to the product of (x) the weighted average of the Adjusted Net Maximum Mortgage Rates of the Mortgage Loans, weighted on the basis of the outstanding Principal Balances of the Mortgage Loans as of the first day of the month preceding the month of such Distribution Date and (y) a fraction, the numerator of which is 30 and the denominator of which is the actual number of days elapsed in the related Accrual Period.
“Maximum Uncertificated Accrued Interest Deferral Amount”: With respect to any Distribution Date, the excess of (a) accrued interest at the Uncertificated REMIC 1
Pass-Through Rate applicable to REMIC 1 Regular Interest LTZZ for such Distribution Date on a balance equal to the Uncertificated Principal Balance of REMIC 1 Regular Interest LTZZ minus the REMIC 1 Overcollateralization Amount, in each case for such Distribution Date, over (b) the sum of the Uncertificated Accrued Interest on REMIC 1 Regular Interest LTA1, REMIC 1 Regular Interest LTA2, REMIC 1 Regular Interest LTA3, REMIC 1 Regular Interest LTA4, REMIC 1 Regular Interest LTA5, REMIC 1 Regular Interest LTA6, REMIC 1 Regular Interest LTM1, REMIC 1 Regular Interest LTM2, REMIC 1 Regular Interest LTM3, REMIC 1 Regular Interest LTM4, REMIC 1 Regular Interest LTM5, REMIC 1 Regular Interest LTM6, REMIC 1 Regular Interest LTM7, REMIC 1 Regular Interest LTM8 and REMIC 1 Regular Interest LTM9 with the rate on each such REMIC 1 Regular Interest subject to a cap equal to the lesser of (i) LIBOR plus the related Certificate Margin for the related Corresponding Certificate and (ii) the Net WAC Rate for the purpose of this calculation; provided, however, that for this purpose, calculations of the Uncertificated REMIC 1 Pass-Through Rate and the related caps with respect to each such REMIC 1 Regular Interest shall be multiplied by a fraction, the numerator of which is the actual number of days in the Accrual Period and the denominator of which is 30.
“Maximum Mortgage Rate”: With respect to each Adjustable-Rate Mortgage Loan, the percentage set forth in the related Mortgage Note as the maximum Mortgage Rate thereunder.
“MERS”: Mortgage Electronic Registration Systems, Inc., a corporation organized and existing under the laws of the State of Delaware, or any successor thereto.
“MERS® System”: The system of recording transfers of Mortgages electronically maintained by MERS.
“MIN”: The Mortgage Identification Number for Mortgage Loans registered with MERS on the MERS® System.
“MOM Loan”: With respect to any applicable Mortgage Loan, MERS acting as the mortgagee of such Mortgage Loan, solely as nominee for the originator of such Mortgage Loan and its successors and assigns, at the origination thereof.
“Mezzanine Certificate”: Any Class M-1 Certificate, Class M-2 Certificate, Class M-3 Certificate, Class M-4 Certificate, Class M-5 Certificate, Class M-6 Certificate, Class M-7 Certificate, Class M-8 Certificate or Class M-9 Certificate.
“Minimum Mortgage Rate”: With respect to each Adjustable-Rate Mortgage Loan, the percentage set forth in the related Mortgage Note as the minimum Mortgage Rate thereunder.
“Monthly Interest Distributable Amount”: With respect to any Class of the Floating Rate Certificates and Class C Certificates and any Distribution Date, the amount of interest accrued during the related Accrual Period at the related Pass-Through Rate on the Certificate Principal Balance (or Notional Amount in the case of the Class C Certificates) of such Class immediately prior to such Distribution Date, in each case, reduced by any Net Prepayment Interest Shortfalls, Relief Act Interest Shortfalls.
“Monthly Payment”: With respect to any Mortgage Loan, the scheduled monthly payment of principal and interest on such Mortgage Loan which is payable by the related Mortgagor from time to time under the related Mortgage Note, determined: (a) after giving effect to (i) any Deficient Valuation and/or Debt Service Reduction with respect to such Mortgage Loan, (ii) any modifications to a Mortgage Loan pursuant to Section 3.07 and (iii) any reduction in the amount of interest collectible from the related Mortgagor pursuant to the Relief Act; (b) without giving effect to any extension granted or agreed to by the Servicer pursuant to Section 3.07; and (c) on the assumption that all other amounts, if any, due under such Mortgage Loan are paid when due.
“Monthly Cap Termination Payment”: means, for any Distribution Date on or after the date on which a termination payment under the Cap Contract has been received, the amount, if any, that would have been paid to the Trust by the counterparty under the Cap Contract had the Cap Contract not been terminated, which amount shall be equal to the product of (a) the excess, if any, of (i) LIBOR for such Distribution Date (calculated on the date such calculation would be made pursuant to the Cap Contract) subject to a maximum of 10.25% over (ii) the cap rate for such Distribution Date as set forth on Schedule II hereto, (b) the lesser of (I) the notional amount for such Distribution Date as set forth on Schedule II hereto and (II) the aggregate Certificate Principal Balance of the Floating Rate Certificates as of the Business Day immediately preceding such Distribution Date and (c) the actual number of days in the related accrual period divided by 360.
“Moody’s”: Xxxxx’x Investors Service, Inc., or its successor in interest.
“Mortgage”: The mortgage, deed of trust or other instrument creating a first or second lien on, or first or second priority security interest in, a Mortgaged Property securing a Mortgage Note.
“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”: Each mortgage loan transferred and assigned to the Trustee pursuant to Section 2.01 or Section 2.03(d) as from time to time held as a part of the Trust Fund, the Mortgage Loans so held being identified in the Mortgage Loan Schedule.
“Mortgage Loan Schedule”: As of any date, the list of Mortgage Loans included in REMIC 1 on such date, separately identifying the Group I Mortgage Loans and the Group II Mortgage Loans, attached hereto as Exhibit D. The Mortgage Loan Schedule shall be prepared by the Seller and shall set forth the following information with respect to each Mortgage Loan, as applicable:
|
(1) |
the Mortgage Loan identifying number; |
| |
|
(2) |
[reserved]; |
| |
|
(3) |
the state and zip code of the Mortgaged Property; | ||
|
(4) |
a code indicating whether the Mortgaged Property was represented by the borrower, at the time of origination, as being owner-occupied; |
|
(5) |
the type of Residential Dwelling constituting the Mortgaged Property; | |
|
(6) |
the original months to maturity; |
|
|
(7) |
the stated remaining months to maturity from the Cut-off Date based on the original amortization schedule; |
|
(8) |
the Loan-to-Value Ratio at origination; |
|
|
(9) |
the Mortgage Rate in effect immediately following the Cut-off Date; |
|
(10) |
the date on which the first Monthly Payment was due on the Mortgage Loan; |
|
(11) |
the stated maturity date; |
|
|
(12) |
the amount of the Monthly Payment at origination; |
|
(13) |
the amount of the Monthly Payment due on the first Due Date after the Cut- off Date; |
|
(14) |
the last Due Date on which a Monthly Payment was actually applied to the unpaid Stated Principal Balance; |
|
(15) |
the original principal amount of the Mortgage Loan; |
|
(16) |
the Stated Principal Balance of the Mortgage Loan as of the Close of Business on the Cut-off Date; |
|
(17) |
a code indicating the purpose of the Mortgage Loan (i.e., purchase financing, rate/term refinancing, cash-out refinancing); |
|
(18) |
the Mortgage Rate at origination; |
|
(19) |
a code indicating the documentation program (i.e., full documentation, limited income verification, no income verification, alternative income verification); |
|
(20) |
the risk grade; |
| |
|
(21) |
the Value of the Mortgaged Property; |
| |
|
(22) |
the sale price of the Mortgaged Property, if applicable; | ||
|
(23) |
the actual unpaid principal balance of the Mortgage Loan as of the Cut-off Date; |
|
(24) |
the type and term of the related Prepayment Charge; |
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(25) |
with respect to any Adjustable-Rate Mortgage Loan, the rounding code, the minimum Mortgage Rate, the maximum Mortgage Rate, the Gross Margin, the next Adjustment Date and the Periodic Rate Cap; |
|
(26) |
the program code; | ||
|
(27) |
the Loan Group; |
| |
|
(28) |
the lien priority; |
| |
|
(29) |
a code indicating whether such Mortgage Loan is covered under the PMI Policy; and |
|
(30) |
the PMI Premium Rate of such Mortgage Loan. |
The Mortgage Loan Schedule shall set forth the following information, with respect to the Mortgage Loans in the aggregate and for each Loan Group as of the Cut-off Date: (1) the number of Mortgage Loans (separately identifying the number of Fixed-Rate Mortgage Loans and the number of Adjustable-Rate Mortgage Loans); (2) the current Principal Balance of the Mortgage Loans; (3) the weighted average Mortgage Rate of the Mortgage Loans and (4) the weighted average remaining term to maturity of the Mortgage Loans. The Mortgage Loan Schedule shall be amended from time to time by the Servicer in accordance with the provisions of this Agreement. With respect to any Qualified Substitute Mortgage Loan, Cut-off Date shall refer to the related Cut-off Date for such Mortgage Loan, determined in accordance with the definition of Cut-off Date herein. On the Closing Date, the Depositor will deliver to the Servicer, as of the Cut-off Date, an electronic copy of the Mortgage Loan Schedule.
“Mortgage Note”: The original executed note or other evidence of indebtedness evidencing the indebtedness of a Mortgagor under a Mortgage Loan.
“Mortgage Pool”: The pool of Mortgage Loans, identified on Exhibit D from time to time, and any REO Properties acquired in respect thereof.
“Mortgage Rate”: With respect to each Fixed-Rate Mortgage Loan, the rate set forth in the related Mortgage Note. With respect to each Adjustable-Rate Mortgage Loan, the annual rate at which interest accrues on such Mortgage Loan from time to time in accordance with the provisions of the related Mortgage Note, which rate (A) as of any date of determination until the first Adjustment Date following the Cut-off Date shall be the rate set forth in the Mortgage Loan Schedule as the Mortgage Rate in effect immediately following the Cut-off Date and (B) as of any date of determination thereafter shall be the rate as adjusted on the most recent Adjustment Date, to equal the sum, rounded to the next highest or nearest 0.125% (as provided in the Mortgage Note), of the Index, determined as set forth in the related Mortgage Note, plus the related Gross Margin subject to the limitations set forth in the related Mortgage Note. With respect to each Mortgage Loan that becomes an REO Property, as of any date of determination, the annual rate determined in accordance with the immediately preceding sentence as of the date such Mortgage Loan became an REO Property.
“Mortgaged Property”: The underlying property securing a Mortgage Loan, including any REO Property, consisting of a fee simple estate in a parcel of real property improved by a Residential Dwelling.
“Mortgagor”: The obligor on a Mortgage Note.
“Net Liquidation Proceeds”: With respect to any Liquidated Mortgage Loan or any other disposition of related Mortgaged Property (including REO Property) the related Liquidation Proceeds and Insurance Proceeds net of Advances, Servicing Advances, Servicing Fees and any other accrued and unpaid servicing fees or ancillary income received and retained in connection with the liquidation of such Mortgage Loan or Mortgaged Property.
“Net Monthly Excess Cashflow”: With respect to each Distribution Date, the sum of (a) any Overcollateralization Release Amount for such Distribution Date and (b) the excess of (x) Available Funds for such Distribution Date over (y) the sum for such Distribution Date of (A) the Monthly Interest Distributable Amounts for the Floating Rate Certificates, (B) the Unpaid Interest Shortfall Amounts for the Class A Certificates and (C) the Principal Remittance Amount.
“Net Mortgage Rate”: With respect to any Mortgage Loan (or the related REO Property), as of any date of determination, a per annum rate of interest equal to the then applicable Mortgage Rate for such Mortgage Loan minus the Servicing Fee Rate.
“Net Prepayment Interest Shortfall”: With respect to any Distribution Date, the excess, if any, of any Prepayment Interest Shortfalls for such date over the related Compensating Interest.
“Net WAC Rate”: For any Distribution Date and any Class of the Floating Rate Certificates, a per annum rate equal to the product of (x) the weighted average of the Adjusted Net Mortgage Rates of the Mortgage Loans, weighted on the basis of the outstanding Principal Balances of the Mortgage Loans as of the first day of the month preceding the month of such Distribution Date and (y) a fraction, the numerator of which is 30 and the denominator of which is the actual number of days elapsed in the related Accrual Period. For federal income tax purposes, the economic equivalent of such rate shall be expressed as the weighted average of the REMIC 1 Pass-Through Rates on the REMIC 1 Regular Interests, weighted on the basis of the Uncertificated Principal Balance of each such REMIC 1 Regular Interest.
“Net WAC Rate Carryover Amount”: With respect to any Class of the Floating Rate Certificates and any Distribution Date, the sum of (A) the positive excess of (i) the amount of interest accrued on such Class of Certificates on such Distribution Date calculated at the related Formula Rate, over (ii) the amount of interest accrued on such Class of Certificates at the Net WAC Rate for such Distribution Date and (B) the Net WAC Rate Carryover Amount for the previous Distribution Date not previously paid, together with interest thereon at a rate equal to the related Formula Rate for the most recently ended Accrual Period.
“Net WAC Rate Carryover Reserve Account”: The account established and maintained pursuant to Section 4.07.
“New Lease”: Any lease of REO Property entered into on behalf of the Trust, including any lease renewed or extended on behalf of the Trust if the Trust has the right to renegotiate the terms of such lease.
“NIMS Insurer”: Any insurer that is guaranteeing certain payments under notes secured by collateral which includes all or a portion of the Class C Certificates, the Class P Certificates and/or the Residual Certificates.
“Nonrecoverable Advance”: Any Advance or Servicing Advance previously made or proposed to be made in respect of a Mortgage Loan or REO Property that, in the good faith business judgment of the Servicer, will not be ultimately recoverable from Late Collections, Insurance Proceeds, Liquidation Proceeds or condemnation proceeds on such Mortgage Loan or REO Property as provided herein.
“Notional Amount”: Immediately prior to any Distribution Date with respect to the Class C Interest, the aggregate of the Uncertificated Principal Balances of REMIC Regular 1 Interests (other than REMIC 1 Regular Interest LTP).
“Offered Certificates”: The Class A Certificates and the Mezzanine Certificates offered to the public pursuant to the Prospectus Supplement.
“Officers’ Certificate”: A certificate signed by the Chairman of the Board, the Vice Chairman of the Board, the President or a vice president (however denominated), or by the Treasurer, the Secretary, or one of the assistant treasurers or assistant secretaries of the Servicer, the Seller or the Depositor, as applicable.
“Opinion of Counsel”: A written opinion of counsel, who may, without limitation, be a salaried counsel for the Depositor or the Servicer, acceptable to the Trustee, except that any opinion of counsel relating to (a) the qualification of any REMIC as a REMIC or (b) compliance with the REMIC Provisions must be an opinion of Independent counsel.
“Optional Termination Date”: The first Distribution Date on which the Terminator may opt to terminate the Trust Fund pursuant to Section 10.01.
“Original Class Certificate Principal Balance”: With respect to the Floating Rate Certificates, the Class C Certificates, the Class C Interest, the Class P Certificates and the Class P Interest, the corresponding amounts set forth opposite such Class above in the Preliminary Statement.
“Originator”: Option One Mortgage Corporation., or its successor in interest.
“Overcollateralization Deficiency Amount”: With respect to any Distribution Date, the amount, if any, by which the Overcollateralization Target Amount exceeds the Overcollateralized Amount on such Distribution Date (assuming that 100% of the Principal Remittance Amount is applied as a principal distribution on such Distribution Date).
“Overcollateralization Floor”: With respect to the Group I Certificates, $3,353,296.68. With respect to the Group II Certificates, $1,824,147.23. With respect to the Class A-6 Certificates and the Mezzanine Certificates, $5,177,443.91.
“Overcollateralization Release Amount”: With respect to any Distribution Date, the lesser of (x) the Principal Remittance Amount for such Distribution Date and (y) the Excess Overcollateralized Amount.
“Overcollateralization Target Amount”: With respect to any Distribution Date (x) prior to the Stepdown Date, 0.65% of the aggregate Principal Balance of the Mortgage Loans as of the Cut-off Date and (y) on or after the Stepdown Date, 1.30% of the aggregate Stated Principal Balance of the Mortgage Loans for the related Distribution Date, subject to a floor equal to 0.50% of the aggregate Stated Principal Balance of the Mortgage Loans as of the Cut-off Date; provided however, if a Trigger Event is in effect on the related Distribution Date, the Overcollateralization Target Amount will be equal to the Overcollateralization Target Amount for the previous Distribution Date. Notwithstanding the foregoing, on and after any Distribution Date following the reduction of the aggregate Certificate Principal Balance of the Floating Rate Certificates to zero, the Overcollateralization Target Amount shall be zero.
“Overcollateralized Amount”: For any Distribution Date, the amount equal to (i) the aggregate Stated Principal Balance of the Mortgage Loans as of the last day of the related Due Period (after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or advanced, and unscheduled collections of principal received during the related Prepayment Period) minus (ii) the sum of the aggregate Certificate Principal Balance of the Floating Rate Certificates and the Class P Certificates as of such Distribution Date after giving effect to distributions to be made on such Distribution Date.
“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.
“Pass-Through Rate”: With respect to any Class of the Floating Rate Certificates and any Distribution Date, the lesser of (x) the related Formula Rate for such Distribution Date and (y) the Net WAC Rate for such Distribution Date. With respect to the Class C Interest and any Distribution Date, a per annum rate equal to the percentage equivalent of a fraction, the numerator of which is (x) the sum of (i) 100% of the interest on REMIC 1 Regular Interest LTP and (ii) interest on the Uncertificated Balance of each REMIC 1 Regular Interest (other than REMIC 1 Regular Interest LTP) at a rate equal to the related Uncertificated REMIC 1 Pass-Through Rate minus the Marker Rate and the denominator of which is (y) the aggregate Uncertificated Balance of REMIC 1 Regular Interests XXXX, XXX0, XXX0, XXX0, XXX0, XXX0, XXX0, LTM1, LTM2, LTM3, LTM4, LTM5, LTM6, LTM7, LTM8, LTM9 and LTZZ.
With respect to the Class C Certificates, 100% of the interest distributable to the Class C Interest, expressed as a per annum rate.
“Paying Agent”: Any paying agent appointed pursuant to Section 5.05.
“Percentage Interest”: With respect to any Certificate (other than a Class C Certificates or a Residual Certificate), a fraction, expressed as a percentage, the numerator of which is the Initial Certificate Principal Balance represented by such Certificate and the denominator of which is the Original Class Certificate Principal Balance of the related Class. With respect to a Residual Certificate or Class C Certificate, the portion of the Class evidenced thereby, expressed as a percentage, as stated on the face of such Certificate; provided, however, that the sum of all such percentages for each such Classes totals 100%.
“Periodic Rate Cap”: With respect to each Adjustable-Rate Mortgage Loan and any Adjustment Date therefor, the fixed percentage set forth in the related Mortgage Note, which is the maximum amount by which the Mortgage Rate for such Mortgage Loan may increase or decrease (without regard to the Maximum Mortgage Rate or the Minimum Mortgage Rate) on such Adjustment Date from the Mortgage Rate in effect immediately prior to such Adjustment Date.
“Permitted Investments”: Any one or more of the following obligations or securities acquired at a purchase price of not greater than par, regardless of whether issued or managed by the Depositor, the Servicer, the NIMS Insurer, the Trustee or any of their respective Affiliates or for which an Affiliate of the NIMS Insurer or Trustee serves as an advisor:
|
(i) |
direct obligations of, or obligations fully guaranteed as to timely payment of principal and interest by, the United States or any agency or instrumentality thereof, provided such obligations are backed by the full faith and credit of the United States; |
|
(ii) |
(A) demand and time deposits in, certificates of deposit of, bankers’ acceptances issued by or federal funds sold by any depository institution or trust company (including the Trustee or its agent acting in their respective commercial capacities) incorporated under the laws of the United States of America or any state thereof and subject to supervision and examination by federal and/or state authorities, so long as, at the time of such investment or contractual commitment providing for such investment, such depository institution or trust company (or, if the only Rating Agency is S&P, in the case of the principal depository institution in a depository institution holding company, debt obligations of the depository institution holding company) or its ultimate parent has a short-term uninsured debt rating in one of the two highest available ratings of Moody’s and the highest available rating category of Fitch and S&P and provided that each such investment has an original maturity of no more than 365 days; and provided further that, if the only Rating Agency is S&P 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 S&P if S&P is the Rating Agency; |
and (B) any other demand or time deposit or deposit which is fully insured by the FDIC;
|
(iii) |
repurchase obligations with a term not to exceed 30 days with respect to any security described in clause (i) above and entered into with a depository institution or trust company (acting as principal) rated F-1+ or higher by Fitch, P-1 by Moody’s and rated A-1+ or higher by S&P, provided, however, that collateral transferred pursuant to such repurchase obligation must be of the type described in clause (i) above and must (A) be valued daily at current market prices plus accrued interest, (B) pursuant to such valuation, be equal, at all times, to 105% of the cash transferred by the Trustee in exchange for such collateral and (C) be delivered to the Trustee or, if the Trustee is supplying the collateral, an agent for the Trustee, in such a manner as to accomplish perfection of a security interest in the collateral by possession of certificated securities; |
|
(iv) |
securities bearing interest or sold at a discount that are issued by any corporation incorporated under the laws of the United States of America or any State thereof and that are rated by S&P (and if rated by any other Rating Agency, also by such other Rating Agency) in its highest long-term unsecured rating category at the time of such investment or contractual commitment providing for such investment; |
|
(v) |
commercial paper (including both non-interest-bearing discount obligations and interest-bearing obligations payable on demand or on a specified date not more than 30 days after the date of acquisition thereof) that is rated by S&P (and if rated by any other Rating Agency, also by such other Rating Agency) in its highest short-term unsecured debt rating available at the time of such investment; |
|
(vi) |
units of money market funds, including those money market funds managed or advised by the Trustee or its Affiliates, that have been rated “AAA” by Fitch (if rated by Fitch), “Aaa” by Moody’s and “AAAm” or “AAAm-G” by S&P; and |
|
(vii) |
if previously confirmed in writing to the Trustee, any other demand, money market or time deposit, or any other obligation, security or investment, as may be acceptable to the Rating Agencies in writing as a permitted investment of funds backing securities having ratings equivalent to its highest initial rating of the Class A Certificates; |
provided, that no instrument described hereunder shall evidence either the right to receive (a) only interest with respect to the obligations underlying such instrument or (b) both principal and interest payments derived from obligations underlying such instrument and the interest and principal payments with respect to such instrument provide a yield to maturity at par greater than 120% of the yield to maturity at par of the underlying obligations.
“Permitted Transferee”: Any transferee of a Residual Certificate other than a Disqualified Organization or a non-U.S. 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.
“Plan”: Any employee benefit plan or certain other retirement plans and arrangements, including individual retirement accounts and annuities, Xxxxx plans and bank collective investment funds and insurance company general or separate accounts in which such plans, accounts or arrangements are invested, that are subject to ERISA or Section 4975 of the Code.
“PMI Insurer”: Radian Guaranty Inc., a Pennsylvania corporation, or its successors in interest.
“PMI Mortgage Loans”: The list of Mortgage Loans insured by the PMI Insurer attached hereto on the Mortgage Loan Schedule.
“PMI Premium”: The amount payable to the PMI Insurer on each Distribution Date, which amount shall equal one twelfth of the product of (i) the PMI Premium Rate, multiplied by (ii) the aggregate Stated Principal Balance of the PMI Mortgage Loans and any related REO Properties as of the first day of the related Due Period (after giving effect to scheduled payments of principal due during the Due Period relating to the previous Distribution Date, to the extent received or advanced) plus any applicable premium taxes on PMI Mortgage Loans located in West Virginia and Kentucky.
“PMI Premium Rate”: 1.02% per annum.
“PMI Policy”: The Primary Mortgage Insurance Policy No. 59131 (policy reference number: 05-993047) with respect to the PMI Mortgage Loans, including all endorsements thereto dated the Closing Date, issued by the PMI Insurer and the Commitment Letter, dated August 18, 2005, between the PMI Insurer and Greenwich Capital Markets Inc.
“Pool Balance”: As of any date of determination, the aggregate Stated Principal Balance of the Mortgage Loans in both Loan Groups as of such date.
“Prepayment Assumption”: As defined in the Prospectus Supplement.
“Prepayment Charge”: With respect to any Mortgage Loan, the charges or premiums, if any, due in connection with a full or partial Principal Prepayment of such Mortgage Loan in accordance with the terms thereof (other than any Servicer Prepayment Charge Payment Amount).
“Prepayment Charge Schedule”: As of any date, the list of Prepayment Charges on the Mortgage Loans included in the Trust Fund on such date, attached hereto as Schedule I (including the prepayment charge summary attached thereto). The Prepayment Charge Schedule shall set forth the following information with respect to each Prepayment Charge:
|
(i) |
the Mortgage Loan identifying number; |
| |
|
(ii) |
a code indicating the type of Prepayment Charge; |
| |
|
(iii) |
the state of origination of the related Mortgage Loan; | ||
|
(iv) |
the date on which the first monthly payment was due on the related Mortgage Loan; |
|
(v) |
the term of the related Prepayment Charge; and |
|
(vi) |
the Stated Principal Balance of the related Mortgage Loan as of the Cut-off Date. |
The Prepayment Charge Schedule shall be amended from time to time by the Servicer in accordance with the provisions of this Agreement and a copy of such amended Prepayment Charge Schedule shall be furnished by the Servicer to the NIMS Insurer.
“Prepayment Interest Excess”: With respect to any Distribution Date, for each Mortgage Loan that was the subject of a Principal Prepayment in full during the portion of the related Prepayment Period occurring between the first day and the 15th day of the calendar month in which such Distribution Date occurs, an amount equal to interest (to the extent received) at the applicable Net Mortgage Rate on the amount of such Principal Prepayment for the number of days commencing on the first day of the calendar month in which such Distribution Date occurs and ending on the date on which such prepayment is so applied.
“Prepayment Interest Shortfall”: With respect to any Distribution Date, for each Mortgage Loan that was the subject of a Principal Prepayment in full during the portion of the related Prepayment Period occurring from the first day of the related Prepayment Period through the last day of the calendar month preceding the month in which such Distribution Date occurs, an amount equal to interest on the amount of such Principal Prepayment for the number of days commencing on the date such Principal Prepayment was applied and ending on the last day of the calendar month preceding the month in which such Distribution Date occurs.
“Prepayment Period”: With respect to any Distribution Date, the period commencing on the 16th day of the calendar month preceding the month in which the related Distribution Date occurs and ending on the 15th day of the calendar month in which such Distribution Date occurs.
“Principal Balance”: As to any Mortgage Loan other than a Liquidated Mortgage Loan, and any day, the related Cut-off Date Principal Balance, minus all collections credited against the Cut-off Date Principal Balance of any such Mortgage Loan. For purposes of this definition, a Liquidated Mortgage Loan shall be deemed to have a Principal Balance equal to the Principal Balance of the related Mortgage Loan as of the final recovery of related Liquidation Proceeds and a Principal Balance of zero thereafter. As to any REO Property and any day, the Principal Balance of the related Mortgage Loan immediately prior to such Mortgage Loan becoming REO Property minus any REO Principal Amortization received with respect thereto on or prior to such day.
“Principal Prepayment”: Any payment of principal made by the Mortgagor on a Mortgage Loan which is received in advance of its scheduled Due Date and which is not accompanied by an amount of interest representing the full amount of scheduled interest due on any Due Date in any month or months subsequent to the month of prepayment.
“Principal Remittance Amount”: With respect to any Distribution Date, the sum of the Group I Principal Remittance Amount and the Group II Principal Remittance Amount.
“Prospectus Supplement”: That certain Prospectus Supplement dated August 15, 2005 relating to the public offering of the Class A Certificates and the Mezzanine Certificates.
“Purchase Price”: With respect to any Mortgage Loan or REO Property to be purchased pursuant by the Seller to or as contemplated by Section 2.03, 3.16(c) or 10.01, and as confirmed by an Officers’ Certificate from the Seller to the Trustee, an amount equal to the sum of (i) 100% of the Stated Principal Balance thereof as of the date of purchase (or such other price as provided in Section 10.01), (ii) in the case of (x) a Mortgage Loan, accrued interest on such Stated Principal Balance at the applicable Mortgage Rate in effect from time to time from the Due Date as to which interest was last covered by a payment by the Mortgagor or an Advance by the Servicer, which payment or Advance had as of the date of purchase been distributed pursuant to Section 4.01, through the end of the calendar month in which the purchase is to be effected, and (y) an REO Property, the sum of (1) accrued interest on such Stated Principal Balance at the applicable Mortgage Rate in effect from time to time from the Due Date as to which interest was last covered by a payment by the Mortgagor or an advance by the Servicer through the end of the calendar month immediately preceding the calendar month in which such REO Property was acquired, plus (2) REO Imputed Interest for such REO Property for each calendar month commencing with the calendar month in which such REO Property was acquired and ending with the calendar month in which such purchase is to be effected, net of the total of all net rental income, Insurance Proceeds, Liquidation Proceeds and Advances that as of the date of purchase had been distributed as or to cover REO Imputed Interest pursuant to Section 4.04, (iii) any unreimbursed Servicing Advances and Advances and any unpaid Servicing Fees allocable to such Mortgage Loan or REO Property, (iv) any amounts previously withdrawn from the Collection Account in respect of such Mortgage Loan or REO Property pursuant to Section 3.23 and (v) in the case of a Mortgage Loan required to be purchased pursuant to Section 2.03, expenses reasonably incurred or to be incurred by the Servicer, the NIMS Insurer or the Trustee in respect of the breach or defect giving rise to the purchase obligation including any costs and damages incurred by the Trust Fund in connection with any violation by such loan of any predatory or abusive lending law. With respect to the Originator and any Mortgage Loan or REO Property to be purchased pursuant to or as contemplated by Section 2.03 or 10.01, and as confirmed by a certificate of an Officer’s Certificate of the Originator to the Trustee, an amount equal to the amount set forth pursuant to the terms of the Master Agreement.
“Qualified Insurer”: Any insurance company acceptable to Xxxxxx Xxx.
“Qualified Substitute Mortgage Loan”: A mortgage loan substituted for a Deleted Mortgage Loan by the Seller pursuant to the terms of this Agreement or the Assignment Agreement which must, on the date of such substitution, (i) have an outstanding Stated Principal Balance (or in the case of a substitution of more than one mortgage loan for a Deleted Mortgage
Loan, an aggregate Stated Principal Balance), after application of all scheduled payments of principal and interest due during or prior to the month of substitution, not in excess of, and not more than 5% less than, the outstanding Stated Principal Balance of the Deleted Mortgage Loan as of the Due Date in the calendar month during which the substitution occurs, (ii) have a Mortgage Rate not less than (and not more than one percentage point in excess of) the Mortgage Rate of the Deleted Mortgage Loan, (iii) if the Qualified Substitute Mortgage Loan is an Adjustable-Rate Mortgage Loan, have a Maximum Mortgage Rate not less than the Maximum Mortgage Rate on the Deleted Mortgage Loan, (iv) if the Qualified Substitute Mortgage Loan is an Adjustable-Rate Mortgage Loan, have a Minimum Mortgage Rate not less than the Minimum Mortgage Rate of the Deleted Mortgage Loan, (v) if the Qualified Substitute Mortgage Loan is an Adjustable-Rate Mortgage Loan, have a Gross Margin equal to or greater than the Gross Margin of the Deleted Mortgage Loan, (vi) if the Qualified Substitute Mortgage Loan is an Adjustable-Rate Mortgage Loan, have a next Adjustment Date not more than two months later than the next Adjustment Date on the Deleted Mortgage Loan, (vii) [reserved], (viii) have a remaining term to maturity not greater than (and not more than one year less than) that of the Deleted Mortgage Loan, (ix) be current as of the date of substitution, (x) have a Loan-to-Value Ratio as of the date of substitution equal to or lower than the Loan-to-Value Ratio of the Deleted Mortgage Loan as of such date, (xi) have a risk grading determined by the Originator at least equal to the risk grading assigned on the Deleted Mortgage Loan, (xii) have been underwritten or reunderwritten by the Originator in accordance with the same underwriting criteria and guidelines as the Deleted Mortgage Loan, (xiii) be a first lien mortgage loan if the Deleted Mortgage Loan is a first lien mortgage loan; (xiv) be covered by the PMI Policy if the Deleted Mortgage Loan was covered by the PMI Policy and (xv) conform to each representation and warranty assigned to the Depositor pursuant to the Assignment Agreement. In the event that one or more mortgage loans are substituted for one or more Deleted Mortgage Loans, the amounts described in clause (i) hereof shall be determined on the basis of aggregate Stated Principal Balance, the Mortgage Rates described in clauses (ii) through (vi) hereof shall be satisfied for each such mortgage loan, the risk gradings described in clause (x) hereof shall be satisfied as to each such mortgage loan, the terms described in clause (viii) hereof shall be determined on the basis of weighted average remaining term to maturity (provided that no such mortgage loan may have a remaining term to maturity longer than the Deleted Mortgage Loan), the Loan-to-Value Ratios described in clause (x) hereof shall be satisfied as to each such mortgage loan and, except to the extent otherwise provided in this sentence, the representations and warranties described in clause (xiv) hereof must be satisfied as to each Qualified Substitute Mortgage Loan or in the aggregate, as the case may be. A mortgage loan substituted for a Deleted Mortgage Loan pursuant to the terms of the Master Agreement must, on the date of such substitution, conform to the terms set forth in the Master Agreement.
“Rating Agency or Rating Agencies”: Fitch, Xxxxx’x and S&P or their successors. If such agencies or their successors are no longer in existence, “Rating Agencies” shall be such nationally recognized statistical rating agencies, or other comparable Persons, designated by the Depositor, notice of which designation shall be given to the Trustee and Servicer.
“Realized Loss”: With respect to any Liquidated Mortgage Loan, the amount of loss realized equal to the portion of the Stated Principal Balance remaining unpaid after application of all Net Liquidation Proceeds in respect of such Mortgage Loan. If the Servicer
receives Subsequent Recoveries with respect to any Mortgage Loan, the amount of the Realized Loss with respect to that Mortgage Loan will be reduced to the extent such recoveries are applied to principal distributions on any Distribution Date.
“Record Date”: With respect to (i) the Class P Certificates, the Class C Certificates and the Residual Certificates, the Close of Business on the last Business Day of the calendar month preceding the month in which the related Distribution Date occurs and (ii) the Floating Rate Certificates, the Close of Business on the Business Day immediately preceding the related Distribution Date; provided, however, that following the date on which Definitive Certificates for any of the Floating Rate Certificates are available pursuant to Section 5.02, the Record Date for such Certificates that are Definitive Certificates shall be the last Business Day of the calendar month preceding the month in which the related Distribution Date occurs.
“Reference Banks”: Those banks (i) with an established place of business in London, England, (ii) not controlling, under the control of or under common control with the Originator or the Servicer or any Affiliate thereof and (iii) which have been designated as such by the Trustee after consultation with the Depositor; provided, however, that if fewer than two of such banks provide a LIBOR rate, then any leading banks selected by the Trustee after consultation with the Depositor which are engaged in transactions in United States dollar deposits in the international Eurocurrency market.
“Refinanced Mortgage Loan”: A Mortgage Loan the proceeds of which were not used to purchase the related Mortgaged Property.
“Regular Certificate”: Any of the Floating Rate Certificates, Class C Certificates or Class P Certificates.
“Reimbursement amount”: As defined in Section 3.29.
“Relief Act”: The Servicemembers Civil Relief Act, as amended, or any state law providing for similar relief.
“Relief Act Interest Shortfall”: With respect to any Distribution Date, for any Mortgage Loan with respect to which there has been a reduction in the amount of interest collectible thereon for the most recently ended Due Period as a result of the application of the Relief Act or any similar state or local laws, the amount by which (i) interest collectible on such Mortgage Loan during such Due Period is less than (ii) one month’s interest on the Principal Balance of such Mortgage Loan at the Mortgage Rate for such Mortgage Loan before giving effect to the application of the Relief Act or such state or local laws.
“REMIC”: A “real estate mortgage investment conduit” within the meaning of Section 860D of the Code.
“REMIC 1”: The segregated pool of assets subject hereto, constituting the primary trust created hereby and to be administered hereunder, with respect to which a REMIC election is to be made consisting of: (i) such Mortgage Loans as from time to time are subject to this Agreement, together with the Mortgage Files relating thereto, and together with all collections thereon and proceeds thereof, (ii) any REO Property, together with all collections
thereon and proceeds thereof, (iii) the Trustee’s rights with respect to the Mortgage Loans under all insurance policies, including the PMI Policy, required to be maintained pursuant to this Agreement and any proceeds thereof, (iv) the Depositor’s rights under the Assignment Agreement (including any security interest created thereby) and (v) the Collection Account, the Distribution Account (subject to the last sentence of this definition) and any REO Account and such assets that are deposited therein from time to time and any investments thereof, together with any and all income, proceeds and payments with respect thereto. Notwithstanding the foregoing, however, a REMIC election will not be made with respect to the Net WAC Rate Carryover Reserve Account, the Cap Contract or any Servicer Prepayment Charge Payment Amounts.
“REMIC 1 Interest Loss Allocation Amount”: With respect to any Distribution Date, an amount equal to (a) the product of (i) the aggregate Stated Principal Balance of the Mortgage Loans and related REO Properties then outstanding and (ii) the Uncertificated REMIC 1 Pass-Through Rate for REMIC 1 Regular Interest LTAA minus the Marker Rate, divided by (b) 12.
“REMIC 1 Overcollateralization Amount”: With respect to any date of determination, (i) 1.00% of the aggregate Uncertificated Principal Balance of the REMIC 1 Regular Interests (other than the REMIC 1 Regular Interest LTP) minus (ii) the aggregate Uncertificated Principal Balances of REMIC 1 Regular Interest LTA1, REMIC 1 Regular Interest LTA2, REMIC 1 Regular Interest LTA3, REMIC 1 Regular Interest LTA4, REMIC 1 Regular Interest LTA5, REMIC 1 Regular Interest LTA6, REMIC 1 Regular Interest LTM1, REMIC 1 Regular Interest LTM2, REMIC 1 Regular Interest LTM3, REMIC 1 Regular Interest LTM4, REMIC 1 Regular Interest LTM5, REMIC 1 Regular Interest LTM6, REMIC 1 Regular Interest LTM7, REMIC 1 Regular Interest LTM8 and REMIC 1 Regular Interest LTM9, in each case as of such date of determination.
“REMIC 1 Overcollateralization Target Amount”: 1.00% of the Overcollateralization Target Amount.
“REMIC 1 Principal Loss Allocation Amount”: With respect to any Distribution Date, an amount equal to the product of (i) the aggregate Stated Principal Balance of the Mortgage Loans and related REO Properties then outstanding and (ii) 1 minus a fraction, the numerator of which is two times the aggregate Uncertificated Principal Balance of REMIC 1 Regular Interest LTA1, REMIC 1 Regular Interest LTA2, REMIC 1 Regular Interest LTA3, REMIC 1 Regular Interest LTA4, REMIC 1 Regular Interest LTA5, REMIC 1 Regular Interest LTA6, REMIC 1 Regular Interest LTM1, REMIC 1 Regular Interest LTM2, REMIC 1 Regular Interest LTM3, REMIC 1 Regular Interest LTM4, REMIC 1 Regular Interest LTM5, REMIC 1 Regular Interest LTM6, REMIC 1 Regular Interest LTM7, REMIC 1 Regular Interest LTM8 and REMIC 1 Regular Interest LTM9 and the denominator of which is the aggregate Uncertificated Principal Balance of REMIC 1 Regular Interest LTA1, REMIC 1 Regular Interest LTA2, REMIC 1 Regular Interest LTA3, REMIC 1 Regular Interest LTA4, REMIC 1 Regular Interest LTA5, REMIC 1 Regular Interest LTA6, REMIC 1 Regular Interest LTM1, REMIC 1 Regular Interest LTM2, REMIC 1 Regular Interest LTM3, REMIC 1 Regular Interest LTM4, REMIC 1 Regular Interest LTM5, REMIC 1 Regular Interest LTM6, REMIC 1 Regular Interest LTM7,
REMIC 1 Regular Interest LTM8, REMIC 1 Regular Interest LTM9 and REMIC 1 Regular Interest LTZZ.
“REMIC 1 Regular Interests”: One of the separate non-certificated beneficial ownership interests in REMIC 1 issued hereunder and designated as a Regular Interest in REMIC 1. Each REMIC 1 Regular Interest shall accrue interest at the Uncertificated REMIC 1 Pass-Through Rate in effect from time to time, and shall be entitled to distributions of principal, subject to the terms and conditions hereof, in an aggregate amount equal to its initial Uncertificated Principal Balance as set forth in the Preliminary Statement hereto. The following is a list of each of the REMIC 1 Regular Interests: REMIC 1 Regular Interest LTAA, REMIC 1 Regular Interest LTA1, REMIC 1 Regular Interest LTA2, REMIC 1 Regular Interest LTA3, REMIC 1 Regular Interest LTA4, REMIC 1 Regular Interest LTA5, REMIC 1 Regular Interest LTA6, REMIC 1 Regular Interest LTM1, REMIC 1 Regular Interest LTM2, REMIC 1 Regular Interest LTM3, REMIC 1 Regular Interest LTM4, REMIC 1 Regular Interest LTM5, REMIC 1 Regular Interest LTM6, REMIC 1 Regular Interest LTM7, REMIC 1 Regular Interest LTM8, REMIC 1 Regular Interest LTM9, REMIC 1 Regular Interest LTZZ and REMIC 1 Regular Interest LTP.
“REMIC 2”: The segregated pool of assets consisting of all of the REMIC 1 Regular Interests conveyed in trust to the Trustee, for the benefit of the Holders of the Regular Certificates (other than the Class C Certificates and Class P Certificates), the Class C Interest, the Class P Interest and the Class R Certificates (in respect of the Class R-2 Interest), pursuant to Article II hereunder, and all amounts deposited therein, with respect to which a separate REMIC election is to be made.
“REMIC 3”: The segregated pool of assets consisting of the Class C Interest conveyed in trust to the Trustee, for the benefit of the Holders of the Class C Certificates and the Class R-X Certificates (in respect of the Class R-3 Interest), pursuant to Article II hereunder, and all amounts deposited therein, with respect to which a separate REMIC election is to be made.
“REMIC 4”: The segregated pool of assets consisting of the Class P Interest conveyed in trust to the Trustee, for the benefit of the Holders of the Class P Certificates and the Class R-X Certificates (in respect of the Class R-4 Interest), pursuant to Article II hereunder, and all amounts deposited therein, with respect to which a separate REMIC election is to be made.
“REMIC Provisions”: Provisions of the federal income tax law relating to real estate mortgage investment conduits which appear at Section 860A through 860G of Subchapter M of Chapter 1 of the Code, and related provisions, and regulations and rulings promulgated thereunder, as the foregoing may be in effect from time to time.
“REMIC Regular Interests”: The REMIC 1 Regular Interests, the Class C Interest and the Class P Interest.
“Remittance Report”: A report prepared by the Servicer and delivered to the Trustee and the NIMS Insurer pursuant to Section 4.04.
“Rents from Real Property”: With respect to any REO Property, gross income of the character described in Section 856(d) of the Code.
“REO Account”: The account or accounts maintained by the Servicer in respect of an REO Property pursuant to Section 3.23.
“REO Disposition”: The sale or other disposition of an REO Property on behalf of the Trust Fund.
“REO Imputed Interest”: As to any REO Property, for any calendar month during which such REO Property was at any time part of the Trust Fund, one month’s interest at the applicable Net Mortgage Rate on the Stated Principal Balance of such REO Property (or, in the case of the first such calendar month, of the related Mortgage Loan if appropriate) as of the Close of Business on the Distribution Date in such calendar month.
“REO Principal Amortization”: With respect to any REO Property, for any calendar month, the excess, if any, of (a) the aggregate of all amounts received in respect of such REO Property during such calendar month, whether in the form of rental income, sale proceeds (including, without limitation, that portion of the Termination Price paid in connection with a purchase of all of the Mortgage Loans and REO Properties pursuant to Section 10.01 that is allocable to such REO Property) or otherwise, net of any portion of such amounts (i) payable pursuant to Section 3.23 in respect of the proper operation, management and maintenance of such REO Property or (ii) payable or reimbursable to the Servicer pursuant to Section 3.23 for unpaid Servicing Fees in respect of the related Mortgage Loan and unreimbursed Servicing Advances and Advances in respect of such REO Property or the related Mortgage Loan, over (b) the REO Imputed Interest in respect of such REO Property for such calendar month.
“REO Property”: A Mortgaged Property acquired by the Servicer on behalf of the Trust Fund through foreclosure or deed-in-lieu of foreclosure, as described in Section 3.23.
“Request for Release”: A release signed by a Servicing Officer, in the form of Exhibit E attached hereto.
“Reserve Interest Rate”: With respect to any Interest Determination Date, the rate per annum that the Trustee determines to be either (i) the arithmetic mean (rounded upwards if necessary to the nearest whole multiple of 1/16 of 1%) of the one-month United States dollar lending rates which banks in The City of New York selected by the Depositor are quoting on the relevant Interest Determination Date to the principal London offices of leading banks in the London interbank market or (ii) in the event that the Trustee can determine no such arithmetic mean, in the case of any Interest Determination Date after the initial Interest Determination Date, the lowest one-month United States dollar lending rate which such New York banks selected by the Depositor are quoting on such Interest Determination Date to leading European banks.
“Residential Dwelling”: Any one of the following: (i) a detached one-family dwelling, (ii) a detached two- to four-family dwelling, (iii) a one-family dwelling unit in a Xxxxxx Xxx eligible condominium project, (iv) a manufactured home, or (v) a detached one-family dwelling in a planned unit development, none of which is a co-operative or mobile home.
“Residual Certificate”: The Class R Certificates and the Class R-X Certificates.
“Residual Interest”: The sole class of “residual interests” in a REMIC within the meaning of Section 860G(a)(2) of the Code.
“Responsible Officer”: When used with respect to the Trustee, any director, any vice president, any assistant vice president, the Secretary, any assistant secretary, the Treasurer, any assistant treasurer or any other officer of the Trustee customarily performing functions similar to those performed by any of the above designated officers and, with respect to a particular matter, to whom such matter is referred because of such officer’s knowledge of and familiarity with the particular subject.
“S&P”: Standard & Poor’s Ratings Services, a division of The XxXxxx-Xxxx Companies, Inc., or its successor in interest.
“Seller”: Greenwich Capital Financial Products, Inc., a Delaware corporation, in its capacity as Seller under the Assignment Agreement.
“Senior Credit Enhancement Percentage”: For any Distribution Date, the percentage equivalent of a fraction, the numerator of which is the sum of the aggregate Certificate Principal Balance of the Class A-6 Certificates, the Mezzanine Certificates and the Class C Certificates, and the denominator of which is the aggregate Stated Principal Balance of the Mortgage Loans calculated prior to taking into account payments of principal on the Mortgage Loans and distribution of the Group I Principal Distribution Amount and the Group II Principal Distribution Amount to the Holders of the Certificates then entitled to distributions of principal on such Distribution Date.
“Senior Principal Distribution Amount”: With respect to any Distribution Date, the sum of (i) the Group I Senior Principal Distribution Amount and (ii) the Group II Senior Principal Distribution Amount.
“Servicer”: Option One Mortgage Corporation, or any successor servicer appointed as herein provided, in its capacity as Servicer hereunder.
“Servicer Certification”: As defined in Section 3.22(b) hereof.
“Servicer Event of Termination”: One or more of the events described in Section 7.01.
“Servicer Prepayment Charge Payment Amount”: The amounts payable by the Servicer in respect of any waived Prepayment Charges pursuant to Section 2.05 or Section 3.01.
“Servicer Remittance Date”: With respect to any Distribution Date, the Business Day prior to such Distribution Date.
“Servicing Advance Reimbursement Amount”: As defined in Section 3.29.
“Servicing Advances”: All customary, reasonable and necessary “out of pocket” costs and expenses (including reasonable attorneys’ fees and expenses) incurred by the Servicer in the performance of its servicing obligations, including, but not limited to, the cost of (i) the preservation, restoration, inspection and protection of the Mortgaged Property, (ii) any enforcement or judicial proceedings, including foreclosures, (iii) the management and liquidation of the REO Property, (iv) obtaining broker price opinions, (v) locating missing Mortgage Loan documents and (vi) compliance with the obligations under Sections 3.01, 3.09, 3.14, 3.16, and 3.23. Servicing Advances also include any reasonable “out-of-pocket” costs and expenses (including legal fees) incurred by the Servicer in connection with executing and recording instruments of satisfaction, deeds of reconveyance or Assignments of Mortgage in connection with any foreclosure in respect of any Mortgage Loan to the extent not recovered from the related Mortgagor or otherwise payable under this Agreement. The Servicer shall not be required to make any Servicing Advance that would be a Nonrecoverable Advance.
“Servicing Fee”: With respect to each Mortgage Loan and for any Due Period, an amount equal to one month’s interest (or in the event of any payment of interest which accompanies a Principal Prepayment in full made by the Mortgagor during such calendar month, interest for the number of days covered by such payment of interest) at the related Servicing Fee Rate on the same principal amount on which interest on such Mortgage Loan accrues for such calendar month. A portion of such Servicing Fee may be retained by any Sub-Servicer as its servicing compensation.
“Servicing Fee Rate”: 0.30% per annum for the first 10 Due Periods; 0.40% per annum for Due Periods 11 through 30; and 0.65% per annum for Due Period 31 and thereafter.
“Servicing Officer”: Any officer of the Servicer involved in, or responsible for, the administration and servicing of Mortgage Loans, whose name and specimen signature appear on a list of servicing officers furnished by the Servicer to the Trustee and the Depositor on the Closing Date, as such list may from time to time be amended.
“Servicing Standard”: As defined in Section 3.01.
“Servicing Transfer Costs”: Shall mean all reasonable costs and expenses incurred by the Trustee in connection with the transfer of servicing from a predecessor servicer, including, without limitation, any reasonable costs or expenses associated with the complete transfer of all servicing data and the completion, correction or manipulation of such servicing data as may be required by the Trustee to correct any errors or insufficiencies in the servicing data or otherwise to enable the Trustee (or any successor servicer appointed pursuant to Section 7.02) to service the Mortgage Loans properly and effectively and any fees associated with MERS.
“Startup Day”: As defined in Section 9.01(b) hereof.
“Stated Principal Balance”: With respect to any Mortgage Loan: (a) as of any date of determination up to but not including the Distribution Date on which the proceeds, if any, of a Liquidation Event with respect to such Mortgage Loan would be distributed, the outstanding principal balance of such Mortgage Loan as of the Cut-off Date as shown in the Mortgage Loan Schedule, minus the sum of (i) the principal portion of each Monthly Payment due on a Due Date
subsequent to the Cut-off Date to the extent received from the Mortgagor or advanced by the Servicer and distributed pursuant to Section 4.01 on or before such date of determination, (ii) all Principal Prepayments received after the Cut-off Date to the extent distributed pursuant to Section 4.01 on or before such date of determination, (iii) all Liquidation Proceeds and Insurance Proceeds to the extent distributed pursuant to Section 4.01 on or before such date of determination, and (iv) any Realized Loss incurred with respect thereto as a result of a Deficient Valuation made during or prior to the Due Period for the most recent Distribution Date coinciding with or preceding such date of determination; and (b) as of any date of determination coinciding with or subsequent to the Distribution Date on which the proceeds, if any, of a Liquidation Event with respect to such Mortgage Loan would be distributed, zero. With respect to any REO Property: (a) as of any date of determination up to but not including the Distribution Date on which the proceeds, if any, of a Liquidation Event with respect to such REO Property would be distributed, an amount (not less than zero) equal to the Stated Principal Balance of the related Mortgage Loan as of the date on which such REO Property was acquired on behalf of the Trust Fund, minus the aggregate amount of REO Principal Amortization in respect of such REO Property for all previously ended calendar months, to the extent distributed pursuant to Section 4.01 on or before such date of determination; and (b) as of any date of determination coinciding with or subsequent to the Distribution Date on which the proceeds, if any, of a Liquidation Event with respect to such REO Property would be distributed, zero.
“Stepdown Date”: The earlier to occur of (i) the Distribution Date on which the aggregate Certificate Principal Balance of the Class A Certificates have been reduced to zero and (ii) the later to occur of (x) the Distribution Date occurring in September 2008 and (y) the first Distribution Date on which the Senior Credit Enhancement Percentage (calculated for this purpose only after taking into account payments of principal on the Mortgage Loans but prior to distribution of the Group I Principal Distribution Amount and the Group II Principal Distribution Amount to the Certificates then entitled to distributions of principal on such Distribution Date) is equal to or greater than 33.70%.
“Sub-Servicer”: Any Person with which the Servicer has entered into a Sub- Servicing Agreement and which meets the qualifications of a Sub-Servicer pursuant to Section 3.02.
“Sub-Servicing Account”: An account established by a Sub-Servicer which meets the requirements set forth in Section 3.08 and is otherwise acceptable to the Servicer.
“Sub-Servicing Agreement”: The written contract between the Servicer and a Sub-Servicer relating to servicing and administration of certain Mortgage Loans as provided in Section 3.02.
“Subsequent Recoveries”: As of any Distribution Date, amounts received by the Servicer (net of any related expenses permitted to be reimbursed pursuant to Section 3.11) specifically related to a Mortgage Loan that was the subject of a liquidation or an REO Disposition prior to the related Prepayment Period that resulted in a Realized Loss.
“Substitution Adjustment”: As defined in Section 2.03(d) hereof.
“Tax Matters Person”: The tax matters person appointed pursuant to Section 9.01(e) hereof.
“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 the REMIC Taxable Income or Net Loss Allocation, or any successor forms, to be filed by the Trustee on behalf of each REMIC, 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.
“Termination Price”: As defined in Section 10.01(a) hereof.
“Terminator”: As defined in Section 10.01(a) hereof.
“Three Month Rolling Delinquency Percentage”: With respect to the Mortgage Loans and any Distribution Date, the average for the three most recent calendar months of the fraction, expressed as a percentage, the numerator of which is (x) the sum (without duplication) of the aggregate of the Stated Principal Balances of all Mortgage Loans that are (i) 60 or more days Delinquent, (ii) in bankruptcy and 60 or more days Delinquent, (iii) in foreclosure and 60 or more days Delinquent or (iv) REO Properties, and the denominator of which is (y) the sum of the Stated Principal Balances of the Mortgage Loans, in the case of both (x) and (y), as of the Close of Business on the last Business Day of each of the three most recent calendar months.
“Trigger Event”: A Trigger Event is in effect with respect to any Distribution Date on or after the Stepdown Date if:
(a) the Delinquency Percentage exceeds 54.90% of the Class A-6 Credit Enhancement Percentage; or
(b) the aggregate amount of Realized Losses incurred since the Cut-off Date through the last day of the related Due Period (reduced by the aggregate amount of Subsequent Recoveries received since the Cut-off Date through the last day of the related Due Period) divided by the aggregate Stated Principal Balance of the Mortgage Loans as of the Cut-off Date exceeds the applicable percentages set forth below with respect to such Distribution Date:
Distribution Date Occurring In |
Percentage |
September 2008 through August 2009 |
2.15% for the first month, plus an additional 1/12th of 0.75% for each month thereafter. |
September 2009 through August 2010 |
2.90% for the first month, plus an additional 1/12th of 0.50% for each month thereafter. |
September 2010 through August 2011 |
3.40% for the first month, plus an additional 1/12th of 0.20% for each month thereafter. |
September 2011 and thereafter |
3.60% for each month. |
“Trust”: Soundview Home Loan Trust 2005-OPT2, the trust created hereunder.
“Trust Fund”: All of the assets of the Trust, which is the trust created hereunder consisting of REMIC 1, REMIC 2, REMIC 3, REMIC 4, the Cap Contract and the right to receive any amounts from the Net WAC Rate Carryover Reserve Account and any Servicer Prepayment Charge Payment Amounts.
“Trustee”: Deutsche Bank National Trust Company, a national banking association, or any successor trustee appointed as herein provided.
“Trustee Compensation”: The amount payable to the Trustee on each Distribution Date pursuant to Section 8.05 as compensation for all services rendered by it in the execution of the trust hereby created and in the exercise and performance of any of the powers and duties of the Trustee hereunder.
“Unadjusted Net WAC 30/360 Rate”: For any Distribution Date, a per annum rate equal to the weighted average of the Adjusted Net Mortgage Rates of the Mortgage Loans for such Distribution Date.
“Uncertificated Accrued Interest”: With respect to each REMIC Regular Interest on each Distribution Date, an amount equal to one month’s interest at the related Uncertificated REMIC Pass-Through Rate on the Uncertificated Principal Balance of such REMIC Regular Interest. In each case, Uncertificated Accrued Interest will be reduced by any Net Prepayment Interest Shortfalls, Relief Act Interest Shortfalls (allocated to such REMIC Regular Interests based on their respective entitlements to interest irrespective of any Net Prepayment Interest Shortfalls and Relief Act Interest Shortfalls for such Distribution Date).
“Uncertificated Principal Balance”: With respect to each REMIC Regular Interest, the amount of such REMIC Regular Interest outstanding as of any date of determination. As of the Closing Date, the Uncertificated Principal Balance of each REMIC Regular Interest shall equal the amount set forth in the Preliminary Statement hereto as its initial Uncertificated Principal Balance. On each Distribution Date, the Uncertificated Principal Balance of each REMIC Regular Interest shall be reduced by all distributions of principal made on such REMIC Regular Interest on such Distribution Date pursuant to Section 4.08 and, if and to the extent necessary and appropriate, shall be further reduced on such Distribution Date by Realized Losses as provided in Section 4.08, and the Uncertificated Principal Balance of REMIC 1 Regular Interest LTZZ shall be increased by interest deferrals as provided in Section 4.08. With respect to the Class C Interest as of any date of determination, an amount equal to the excess, if any, of (A) the then aggregate Uncertificated Principal Balance of the REMIC 1 Regular Interests over (B) the then aggregate Certificate Principal Balance of the Floating Rate Certificates and the Class P Certificates then outstanding. The Uncertificated Principal Balance of each REMIC Regular Interest that has an Uncertificated Principal Balance shall never be less than zero.
“Uncertificated REMIC Pass-Through Rate”: The Uncertificated REMIC 1 Pass-Through Rate.
“Uncertificated REMIC 1 Pass-Through Rate”: With respect to REMIC 1 Regular Interests, the weighted average of the Adjusted Net Mortgage Rates of the Mortgage Loans.
“Uninsured Cause”: Any cause of damage to a Mortgaged Property such that the complete restoration of such property is not fully reimbursable by the hazard insurance policies required to be maintained pursuant to Section 3.14.
“United States Person” or “U.S. Person”: A citizen or resident of the United States, a corporation, partnership (or other entity treated as a corporation or partnership for United States federal income tax purposes) created 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) provided that, for purposes solely of the restrictions on the transfer of Residual Certificates, no partnership or other entity treated as a partnership for United States federal income tax purposes shall be treated as a United States Person unless all persons that own an interest in such partnership either directly or through any entity that is not a corporation for United States federal income tax purposes are required by the applicable operative agreement to be United States Persons, or an estate the income of which from sources without the United States is includible in gross income for United States federal income tax purposes regardless of its connection with the conduct of a trade or business within the United States, or a trust if a court within the United States is able to exercise primary supervision over the administration of the trust and one or more United States persons have authority to control all substantial decisions of the trust. The term “United States” shall have the meaning set forth in Section 7701 of the Code or successor provisions.
“Unpaid Interest Shortfall Amount”: With respect to any Class of the Floating Rate Certificates and (i) the first Distribution Date, zero, and (ii) any Distribution Date after the first Distribution Date, the amount, if any, by which (a) the sum of (1) the Monthly Interest Distributable Amount for such Class for the immediately preceding Distribution Date and (2) the outstanding Unpaid Interest Shortfall Amount, if any, for such Class for such preceding Distribution Date exceeds (b) the aggregate amount distributed on such Class in respect of interest pursuant to clause (a) of this definition on such preceding Distribution Date, plus interest on the amount of interest due but not paid on the Certificates of such Class on such preceding Distribution Date, to the extent permitted by law, at the Pass-Through Rate for such Class for the related Accrual Period.
“Value”: With respect to any Mortgaged Property, the lesser of (i) the lesser of (a) the value thereof as determined by an appraisal made for the originator of the Mortgage Loan at the time of origination of the Mortgage Loan by an appraiser who met the minimum requirements of Xxxxxx Xxx and Xxxxxxx Mac, and (b) the value thereof as determined by a review appraisal conducted by the Originator in the event any such review appraisal determines an appraised value ten percent or more lower than the value thereof as determined by the appraisal referred to in clause (i)(a) above and (ii) the purchase price paid for the related Mortgaged Property by the Mortgagor with the proceeds of the Mortgage Loan, provided, however, in the case of a Refinanced Mortgage Loan, such value of the Mortgaged Property is based solely upon the lesser of (1) the value determined by an appraisal made for the Originator of such Refinanced Mortgage Loan at the time of origination of such Refinanced Mortgage Loan by an appraiser who met the minimum requirements of Xxxxxx Mae and Xxxxxxx Mac and (2) the value thereof as determined by a review appraisal conducted by the Originator in the event any such review appraisal determines an appraised value ten percent or more lower than the value thereof as determined by the appraisal referred to in clause (ii)(1) above.
“Voting Rights”: The portion of the voting rights of all of the Certificates which is allocated to any Certificate. At all times the Floating Rate Certificates and the Class C Certificates shall have 98% of the Voting Rights (allocated among the Holders of the Floating Rate Certificates and the Class C Certificates in proportion to the then outstanding Certificate Principal Balances of their respective Certificates), the Class P Certificates shall have 1% of the Voting Rights and the Residual Certificates shall have 1% of the Voting Rights. The Voting Rights allocated to any Class of Certificates (other than the Class P Certificates and the Residual Certificates) shall be allocated among all Holders of each such Class in proportion to the outstanding Certificate Principal Balance of such Certificates, and the Voting Rights allocated to the Class P Certificates and the Residual Certificates shall be allocated among all Holders of each such Class in proportion to such Holders’ respective Percentage Interest; provided, however that when none of the Regular Certificates are outstanding, 100% of the Voting Rights shall be allocated among Holders of the Residual Certificates in accordance with such Holders’ respective Percentage Interests in the Certificates of such Class.
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SECTION 1.02 |
Accounting. |
Unless otherwise specified herein, for the purpose of any definition or calculation, whenever amounts are required to be netted, subtracted or added or any distributions are taken into account such definition or calculation and any related definitions or calculations shall be determined without duplication of such functions.
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SECTION 1.03 |
Allocation of Certain Interest Shortfalls. |
For purposes of calculating the amount of the Monthly Interest Distributable Amount for the Floating Rate Certificates and the Class C Certificates for any Distribution Date, (1) the aggregate amount of any Net Prepayment Interest Shortfalls and any Relief Act Interest Shortfalls incurred in respect of the Mortgage Loans for any Distribution Date shall be allocated first, among the Class C Certificates on a pro rata basis based on, and to the extent of, one month’s interest at the then applicable Pass-Through Rate on the Notional Amount of each such Certificate and, thereafter, among the Floating Rate Certificates on a pro rata basis based on, and to the extent of, one month’s interest at the then applicable respective Pass-Through Rate on the respective Certificate Principal Balance of each such Certificate and (2) the aggregate amount of any Realized Losses and Net WAC Rate Carryover Amounts shall be allocated among the Class C Certificates on a pro rata basis based on, and to the extent of, one month’s interest at the then applicable Pass-Through Rate on the Notional Amount of each such Certificate.
For purposes of calculating the amount of Uncertificated Accrued Interest for the REMIC 1 Regular Interests for any Distribution Date, the aggregate amount of any Net Prepayment Interest Shortfalls and any Relief Act Interest Shortfalls incurred in respect of the Mortgage Loans for any Distribution Date shall be allocated among REMIC 1 Regular Interest LTAA, REMIC 1 Regular Interest LTA1, REMIC 1 Regular Interest LTA2, REMIC 1 Regular Interest LTA3, REMIC 1 Regular Interest LTA4, REMIC 1 Regular Interest LTA5, REMIC 1 Regular Interest LTA6, REMIC 1 Regular Interest LTM1, REMIC 1 Regular Interest LTM2, REMIC 1 Regular Interest LTM3, REMIC 1 Regular Interest LTM4, REMIC 1 Regular Interest LTM5, REMIC 1 Regular Interest LTM6, REMIC 1 Regular Interest LTM7, REMIC 1 Regular Interest LTM8, REMIC 1 Regular Interest LTM9 and REMIC 1 Regular Interest LTZZ pro rata
based on, and to the extent of, one month’s interest at the then applicable respective Uncertificated REMIC 1 Pass-Through Rate on the respective Uncertificated Principal Balance of each such REMIC 1 Regular Interest.
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SECTION 1.04 |
Rights of the NIMS Insurer. |
Each of the rights of the NIMS Insurer set forth in this Agreement shall exist so long as (i) the NIMS Insurer has undertaken to guarantee certain payments of notes issued pursuant to an Indenture and (ii) any series of notes issued pursuant to one or more Indentures remain outstanding or the NIMS Insurer is owed amounts in respect of its guarantee of payment on such notes; provided, however, the NIMS Insurer shall not have any rights hereunder (except pursuant to Section 11.01 in the case of clause (ii) below) so long as (i) the NIMS Insurer has not undertaken to guarantee certain payments of notes issued pursuant to the Indenture or (ii) any default has occurred and is continuing under the insurance policy issued by the NIMS Insurer with respect to such notes.
ARTICLE II
CONVEYANCE OF MORTGAGE LOANS;
ORIGINAL ISSUANCE OF CERTIFICATES
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SECTION 2.01 |
Conveyance of Mortgage Loans. |
The Depositor, concurrently with the execution and delivery hereof, does hereby transfer, assign, set over and otherwise convey in trust to the Trustee without recourse for the benefit of the Certificateholders all the right, title and interest of the Depositor, including any security interest therein for the benefit of the Depositor, in and to (i) each Mortgage Loan identified on the Mortgage Loan Schedule, including the related Cut-off Date Principal Balance, all interest accruing thereon on and after the Cut-off Date and all collections in respect of interest and principal due after the Cut-off Date; (ii) property which secured each such Mortgage Loan and which has been acquired by foreclosure or deed in lieu of foreclosure; (iii) its interest in any insurance policies (including the PMI Policy) in respect of the Mortgage Loans; (iv) the rights of the Depositor under the Master Agreement (as assigned to the Depositor pursuant to the terms of the Assignment Agreement), (v) the right to receive any amounts payable under the Cap Contract, (vi) all other assets included or to be included in the Trust Fund and (vii) all proceeds of any of the foregoing. Such assignment includes all interest and principal due and collected by the Depositor or the Servicer after the Cut-off Date with respect to the Mortgage Loans.
The Depositor hereby directs the Trustee to execute, deliver and perform its obligations under the Cap Contract on the Closing Date and thereafter on behalf of the Holders of the Floating Rate Certificates. The Depositor, the Servicer and the Holders of the Floating Rate Certificates by their acceptance of such Certificates acknowledge and agree that the Trustee shall execute, deliver and perform its obligations under the Cap Contract and shall do so solely in its capacity as Trustee of the Trust Fund and not in its individual capacity. In the event that the Trustee receives a termination payment under the Cap Contract, the Trustee shall deposit such termination payment into a separate account (the “Cap Termination Reserve Account”) and shall, on each Distribution Date following receipt of such termination payment (other than a Distribution Date described in the following sentence), withdraw from such account the Monthly Cap Termination Payment and distribute it in accordance with Section 4.01(d) of this Agreement. If a termination payment under the Cap Contract has been received, on (i) the Distribution Date on which the Certificate Principal Balances of the Regular Certificates have been reduced to zero, (ii) the final payment or other liquidation of the last Mortgage Loan in the Trust, (iii) the optional purchase by the Terminator of the Mortgage Loans as described in Section 10.01 or (iv) the Distribution Date in August 2035, the Trustee shall withdraw all amounts remaining in the Cap Termination Reserve Account and distribute such amounts, if any, in accordance with Section 4.01 of this Agreement.
In connection with such transfer and assignment, the Depositor, does hereby deliver to, and deposit with the Custodian on behalf of the Trustee, the following documents or instruments with respect to each Mortgage Loan so transferred and assigned (with respect to each Mortgage Loan, a “Mortgage File”):
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(i) |
the original Mortgage Note, endorsed either (A) in blank or (B) in the following form: “Pay to the order of Deutsche Bank National Trust Company, as Trustee, without recourse” or with respect to any lost Mortgage Note, an original Lost Note Affidavit stating that the original mortgage note was lost, misplaced or destroyed, together with a copy of the related mortgage note; provided, however, that such substitutions of Lost Note Affidavits for original Mortgage Notes may occur only with respect to Mortgage Loans, the aggregate Cut-off Date Principal Balance |
of which is less than or equal to 1.00% of the Pool Balance as of the Cut-off Date;
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(ii) |
the original Mortgage (noting the presence of the MIN of the Mortgage Loan and language indicating that the Mortgage Loan is a MOM Loan if the Mortgage Loan is a MOM Loan), with evidence of recording thereon, and the original recorded power of attorney, if the Mortgage was executed pursuant to a power of attorney, with evidence of recording thereon or, if such Mortgage or power of attorney has been submitted for recording but has not been returned from the applicable public recording office, has been lost or is not otherwise available, a copy of such Mortgage or power of attorney, as the case may be, certified to be a true and complete copy of the original submitted for recording; |
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(iii) |
unless the Mortgage Loan is registered on the MERS® System, an original Assignment, in form and substance acceptable for recording. The Mortgage shall be assigned either (A) in blank or (B) to “Deutsche Bank National Trust Company, as Trustee, without recourse” |
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(iv) |
an original of any intervening assignment of Mortgage showing a complete chain of assignments (or to MERS if the Mortgage Loan is registered on the MERS® System and noting the presence of MIN); |
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(v) |
the original or a certified copy of lender’s title insurance policy; and |
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(vi) |
the original or copies of each assumption, modification, written assurance or substitution agreement, if any. |
The Depositor herewith also delivers to the Trustee an executed copy of the Assignment Agreement, the Master Agreement and the PMI Policy.
If any of the documents referred to in Section 2.01(ii), (iii) or (iv) above has as of the Closing Date been submitted for recording but either (x) has not been returned from the applicable public recording office or (y) has been lost or such public recording office has retained the original of such document, the obligations of the Depositor to deliver such documents shall be deemed to be satisfied upon (1) delivery to the Custodian on behalf of the Trustee no later than the Closing Date, of a copy of each such document certified by the Originator in the case of (x) above or the applicable public recording office in the case of (y) above to be a true and complete copy of the original that was submitted for recording and (2) if such copy is certified by the Originator, delivery to the Custodian on behalf of the Trustee, promptly upon receipt thereof of either the original or a copy of such document certified by the applicable public recording office to be a true and complete copy of the original. If the original lender’s title insurance policy, or a certified copy thereof, was not delivered pursuant to Section 2.01(v) above, the Depositor shall deliver or cause to be delivered to the Custodian on behalf of the Trustee, the original or a copy of a written commitment or interim binder or preliminary report of title issued by the title insurance or escrow company, with the original or a certified copy thereof to be delivered to the Custodian on behalf of the Trustee, promptly upon receipt
thereof. The Servicer or the Depositor shall deliver or cause to be delivered to the Custodian on behalf of the Trustee promptly upon receipt thereof any other documents constituting a part of a Mortgage File received with respect to any Mortgage Loan, including, but not limited to, any original documents evidencing an assumption or modification of any Mortgage Loan.
Upon discovery or receipt of notice of any materially defective document in, or that a document is missing from, a Mortgage File, the Trustee (or the Custodian on behalf of the Trustee) shall notify the Servicer and the Servicer shall enforce the obligations of the Originator under the Master Agreement to cure such defect or deliver such missing document to the Trustee or the Custodian within 120 days. If the Originator does not cure such defect or deliver such missing document within such time period, the Servicer shall use commercially reasonable efforts to attempt to enforce the obligations of the Originator to either repurchase or substitute for such Mortgage Loan in accordance with Section 2.03; provided, however, that the Servicer shall not be under any obligation to take any action pursuant to this paragraph unless directed by the Depositor and provided, further, the Depositor hereby agrees to assist the Servicer in enforcing any obligations of the Originator to repurchase or substitute for a Mortgage Loan which has breached a representation or warranty under the Assignment Agreement. In connection with the foregoing, it is understood that the Custodian on behalf of the Trustee shall have no duty to discover any such defects except in the course of performing its review of the Mortgage Files to the extent set forth herein.
Except with respect to any Mortgage Loan for which MERS is identified on the Mortgage, the Trustee shall enforce the obligations of the Originator under the Master Agreement to cause the Assignments which were delivered in blank to be completed and to record all Assignments referred to in Section 2.01(iii) hereof and, to the extent necessary, in Section 2.01(iv) hereof. The Trustee shall enforce the obligations of the Originator under the Master Agreement to deliver such assignments for recording within 180 days of the Closing Date. In the event that any such Assignment is lost or returned unrecorded because of a defect therein, the Trustee shall enforce the obligations of the Originator under the Master Agreement to promptly have a substitute Assignment prepared or have such defect cured, as the case may be, and thereafter cause each such Assignment to be duly recorded.
Notwithstanding the foregoing, for administrative convenience and facilitation of servicing and to reduce closing costs, the Assignments of Mortgage shall not be required to be submitted for recording (except with respect to any Mortgage Loan located in Maryland) unless the Trustee (or the Custodian on behalf of the Trustee) and the Depositor receive notice that such failure to record would result in a withdrawal or a downgrading by any Rating Agency of the rating on any Class of Certificates; provided, however, each Assignment, except with respect to any Mortgage Loan for which MERS is identified on the Mortgage, shall be submitted for recording in the manner described above, at no expense to the Trust Fund or Trustee, upon the earliest to occur of: (i) reasonable direction by the Holders of Certificates entitled to at least 25% of the Voting Rights, (ii) the occurrence of a Servicer Event of Termination, (iii) the occurrence of a bankruptcy, insolvency or foreclosure relating to the Seller, (iv) the occurrence of a servicing transfer as described in Section 7.02 hereof, (v) upon receipt of notice from the Servicer, the occurrence of a bankruptcy, insolvency or foreclosure relating to the Mortgagor under the related Mortgage, (vi) upon receipt of notice from the Servicer, any Mortgage Loan that is 90 days or more Delinquent and such recordation would be necessary to facilitate
conversion of the Mortgaged Property in accordance with Section 3.16 and (vii) reasonable direction by the NIMS Insurer. In the event of (i) through (vii) set forth in the immediately preceding sentence, the Trustee shall enforce the obligations of the Seller to deliver such Assignments for recording as provided above, promptly and in any event within 30 days following receipt of notice by the Seller. Notwithstanding the foregoing, if the Seller fails to pay the cost of recording the Assignments, such expense will be paid by the Trustee (if it reasonably believes it will be reimbursed) and the Trustee shall be reimbursed for such expenses by the Trust.
The Servicer shall forward to the Custodian original documents evidencing an assumption, modification, consolidation or extension of any Mortgage Loan entered into in accordance with this Agreement within two weeks of their execution; provided, however, that the Servicer shall provide the Custodian with a certified true copy of any such document submitted for recordation within two weeks of its execution, and shall provide the original of any document submitted for recordation or a copy of such document certified by the appropriate public recording office to be a true and complete copy of the original within 365 days of its submission for recordation. In the event that the Servicer cannot provide a copy of such document certified by the public recording office within such 365 day period, the Servicer shall deliver to the Custodian, within such 365 day period, an Officers’ Certificate of the Servicer which shall (A) identify the recorded document, (B) state that the recorded document has not been delivered to the Custodian due solely to a delay caused by the public recording office, (C) state the amount of time generally required by the applicable recording office to record and return a document submitted for recordation, if known and (D) specify the date the applicable recorded document is expected to be delivered to the Custodian, and, upon receipt of a copy of such document certified by the public recording office, the Servicer shall immediately deliver such document to the Custodian. In the event the appropriate public recording office will not certify as to the accuracy of such document, the Servicer shall deliver a copy of such document certified by an officer of the Servicer to be a true and complete copy of the original to the Custodian.
The parties hereto understand and agree that it is not intended that any Mortgage Loan be included in the Trust that is a high-cost home loan as defined by the Homeownership and Equity Protection Act of 1994 or any other applicable predatory or abusive lending laws.
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SECTION 2.02 |
Acceptance by Trustee. |
Subject to the provisions of Section 2.01 and subject to the review described below and any exceptions noted on the exception report described in the next paragraph below, the Trustee acknowledges receipt by it or the Custodian on its behalf of the documents referred to in Section 2.01 above and all other assets included in the definition of “Trust Fund” and declares that it (or the Custodian on its behalf) holds and will hold such documents and the other documents delivered to it constituting a Mortgage File, and that it holds or will hold all such assets and such other assets included in the definition of “Trust Fund” in trust for the exclusive use and benefit of all present and future Certificateholders.
The Trustee agrees that it (or a Custodian will agree on its behalf) shall, for the benefit of the Certificateholders, review, or that it or a Custodian on its behalf has reviewed
pursuant to Section 2.01 each Mortgage File on or prior to the Closing Date, with respect to each Mortgage Loan (or, with respect to any document delivered after the Startup Day, within 45 days of receipt and with respect to any Qualified Substitute Mortgage Loan, within 45 days after the assignment thereof). The Trustee further agrees that it or a Custodian on its behalf shall, for the benefit of the Certificateholders, certify to the Depositor and the Servicer (with a copy to the NIMS Insurer) in substantially the form attached hereto as Exhibit F-1, within 45 days after the Closing Date, with respect to each Mortgage Loan (or, with respect to any document delivered after the Startup Day, within 45 days of receipt and with respect to any Qualified Substitute Mortgage, within 45 days after the assignment thereof) that, as to each Mortgage Loan listed in the respective Mortgage Loan Schedule (other than any Mortgage Loan paid in full or any Mortgage Loan specifically identified in the exception report annexed thereto as not being covered by such certification), (i) all documents required to be delivered to it (or the Custodian on its behalf) pursuant to Section 2.01 of this Agreement are in its possession, (ii) such documents have been reviewed by it (or the Custodian on its behalf) and have not been mutilated, damaged or torn and appear on their face to relate to such Mortgage Loan and (iii) based on its examination and only as to the foregoing, the information set forth in the Mortgage Loan Schedule that corresponds to items (1) and (3) of the Mortgage Loan Schedule accurately reflects information set forth in the Mortgage File. It is herein acknowledged that, in conducting such review, the Trustee (or the Custodian, as applicable) is under no duty or obligation to inspect, review or examine any such documents, instruments, certificates or other papers to determine that they are genuine, legally enforceable, valid or binding 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.
Prior to the first anniversary date of this Agreement the Trustee (or the Custodian on its behalf) shall deliver to the Depositor and the Servicer, with a copy to the NIMS Insurer a final certification in the form annexed hereto as Exhibit F-2, with any applicable exceptions noted thereon.
If in the process of reviewing the Mortgage Files and making or preparing, as the case may be, the certifications referred to above, the Trustee (or the Custodian, as applicable) finds any document or documents constituting a part of a Mortgage File to be missing or not to conform with respect to any characteristics which are within the scope of the Trustee’s (or the Custodian’s, as applicable) review as provided herein, at the conclusion of its review, the Trustee(or the Custodian on its behalf) shall so notify the Seller, the Depositor, the NIMS Insurer and the Servicer. In addition, upon the discovery by the Depositor, the NIMS Insurer or the Servicer (or upon receipt by the Trustee of written notification of such breach) of a breach of any of the representations and warranties made by the Originator in the Master Agreement or in the Assignment Agreement in respect of any Mortgage Loan which materially adversely affects such Mortgage Loan or the interests of the related Certificateholders in such Mortgage Loan, the party discovering such breach shall give prompt written notice to the NIMS Insurer and the other parties to this Agreement.
Notwithstanding anything to the contrary in this Agreement, in no event shall the Trustee be liable to any party hereto or to any third party for the performance of any custody-related functions, including without limitation with respect to which the Custodian shall fail to take action on behalf of the Trustee or, with respect to the performance of custody-related
functions the Custodian shall fail to satisfy all the related requirements under this Agreement or the Custodial Agreement.
The Depositor and the Trustee intend that the assignment and transfer herein contemplated constitute a sale of the Mortgage Loans, the related Mortgage Notes and the related documents, conveying good title thereto free and clear of any liens and encumbrances, from the Depositor to the Trustee in trust for the benefit of the Certificateholders and that such property not be part of the Depositor’s estate or property of the Depositor in the event of any insolvency by the Depositor. In the event that such conveyance is deemed to be, or to be made as security for, a loan, the parties intend that the Depositor shall be deemed to have granted and does hereby grant to the Trustee a first priority perfected security interest in all of the Depositor’s right, title and interest in and to the Mortgage Loans, the related Mortgage Notes and the related documents, and that this Agreement shall constitute a security agreement under applicable law.
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SECTION 2.03 |
Repurchase or Substitution of Mortgage Loans by the Originator or the Seller. |
(a) Upon discovery or receipt of written notice of any materially defective document in, or that a document is missing from, a Mortgage File or of the breach by the Originator or the Seller, as applicable, of any representation, warranty or covenant under the Master Agreement or the Assignment Agreement, as applicable, in respect of any Mortgage Loan which materially adversely affects the value of such Mortgage Loan or the interest therein of the Certificateholders, the Trustee (or the Custodian on its behalf) shall promptly notify the NIMS Insurer and the Servicer of such defect, missing document or breach and the Servicer shall request that the Originator deliver such missing document or that the Originator cure such defect or breach within 90 days from the date the Originator was notified of such missing document, defect or breach, and if the Originator does not deliver such missing document or cure such defect or breach in all material respects during such period, the Servicer shall use commercially reasonable efforts to attempt to enforce the Originator’s obligation under the Master Agreement or the Seller’s obligation under the Assignment Agreement and notify the Originator or the Seller, as applicable, of its obligation to repurchase such Mortgage Loan from the Trust Fund at the Purchase Price on or prior to the Determination Date following the expiration of such 90 day period (subject to Section 2.03(e)); provided, however, that the Servicer shall not be under any obligation to take any action pursuant to this paragraph unless directed by the Depositor and provided, further, the Depositor hereby agrees to assist the Servicer in enforcing any obligations of the Originator to repurchase or substitute for a Mortgage Loan which has breached a representation or warranty under the Assignment Agreement. The Purchase Price for the repurchased Mortgage Loan shall be remitted to the Servicer for deposit in the Collection Account, and the Trustee (or the Custodian on behalf of the Trustee), upon receipt of written certification from the Servicer of such deposit, shall release to the Originator or the Seller, as applicable, the related Mortgage File and shall execute and deliver such instruments of transfer or assignment, in each case without recourse, as the Originator or the Seller, as applicable, shall furnish to it and as shall be necessary to vest in the Originator or Seller, as applicable, any Mortgage Loan released pursuant hereto and the Trustee shall have no further responsibility with regard to such Mortgage File (it being understood that neither the Trustee nor the Custodian shall have any responsibility for determining the sufficiency of such assignment for its intended purpose). In lieu of repurchasing any such Mortgage Loan as provided above, the Originator or
the Seller, as applicable, may cause such Mortgage Loan to be removed from the Trust Fund (in which case it shall become a Deleted Mortgage Loan) and substitute one or more Qualified Substitute Mortgage Loans in the manner and subject to the limitations set forth in Section 2.03(d); provided, however, the Seller may not substitute for any Mortgage Loan which breaches a representation or warranty regarding abusive or predatory lending laws. In furtherance of the foregoing, if the Originator or the Seller, as applicable, is not a member of MERS and repurchases a Mortgage Loan which is registered on the MERS® System, the Originator or the Seller, as applicable, at its own expense and without any right of reimbursement, shall cause MERS to execute and deliver an assignment of the Mortgage in recordable form to transfer the Mortgage from MERS to the Originator or the Seller, as applicable, and shall cause such Mortgage to be removed from registration on the MERS® System in accordance with MERS’ rules and regulations. It is understood and agreed that the obligation of the Originator or the Seller, as applicable, to cure or to repurchase (or to substitute for) any Mortgage Loan as to which a document is missing, a material defect in a constituent document exists or as to which such a breach has occurred and is continuing shall constitute the sole remedy against the Originator or the Seller, as applicable, respecting such omission, defect or breach available to the Trustee on behalf of the Certificateholders.
(b) Within 90 days of the earlier of discovery by the Depositor or receipt of notice by the Depositor of the breach of any representation, warranty or covenant of the Depositor set forth in Section 2.06, which materially and adversely affects the interests of the Certificateholders in any Mortgage Loan, the Depositor shall cure such breach in all material respects.
(c) Within 90 days of the earlier of discovery by the Servicer or receipt of notice by the Servicer of the breach of any representation, warranty or covenant of the Servicer set forth in Section 2.05 which materially and adversely affects the interests of the Certificateholders in any Mortgage Loan, the Servicer shall cure such breach in all material respects.
(d) Any substitution of Qualified Substitute Mortgage Loans for Deleted Mortgage Loans made pursuant to Section 2.03(a) must be effected prior to the last Business Day that is within two years after the Closing Date. As to any Deleted Mortgage Loan for which the Originator or the Seller, as applicable, substitutes a Qualified Substitute Mortgage Loan or Loans, such substitution shall be effected by the Originator or the Seller, as applicable, delivering to the Trustee (or the Custodian on behalf of the Trustee), for such Qualified Substitute Mortgage Loan or Loans, the Mortgage Note, the Mortgage and the Assignment to the Trustee in blank, and such other documents and agreements, with all necessary endorsements thereon, as are required by Section 2.01, together with an Officers’ Certificate providing that each such Qualified Substitute Mortgage Loan satisfies the definition thereof and specifying the Substitution Adjustment (as described below), if any, in connection with such substitution. The Trustee (or the Custodian on behalf of the Trustee) shall acknowledge receipt for such Qualified Substitute Mortgage Loan or Loans and, within 45 days thereafter, shall review such documents as specified in Section 2.02 and deliver, with respect to such Qualified Substitute Mortgage Loan or Loans, a certification substantially in the form attached hereto as Exhibit F-1 (with a copy to the NIMS Insurer), with any applicable exceptions noted thereon. Within one year of the date of substitution, the Trustee (or the Custodian on behalf of the Trustee) shall deliver to the Servicer a
certification substantially in the form of Exhibit F-2 hereto (with a copy to the NIMS Insurer) with respect to such Qualified Substitute Mortgage Loan or Loans, with any applicable exceptions noted thereon. Monthly Payments due with respect to Qualified Substitute Mortgage Loans in the month of substitution are not part of the Trust Fund and will be retained by the Originator or the Seller, as applicable. For the month of substitution, distributions to Certificateholders will reflect the collections and recoveries in respect of such Deleted Mortgage Loan in the Due Period preceding the month of substitution and the Originator or the Seller, as applicable, shall thereafter be entitled to retain all amounts subsequently received in respect of such Deleted Mortgage Loan. The Depositor shall give or cause to be given written notice to the NIMS Insurer and the Trustee, who shall forward such notice to the Certificateholders, that such substitution has taken place, shall amend the Mortgage Loan Schedule to reflect the removal of such Deleted Mortgage Loan from the terms of this Agreement and the substitution of the Qualified Substitute Mortgage Loan or Loans and shall deliver a copy of such amended Mortgage Loan Schedule to the NIMS Insurer and the Trustee. Upon such substitution by the Originator or the Seller, as applicable, such Qualified Substitute Mortgage Loan or Loans shall constitute part of the Mortgage Pool and shall be subject in all respects to the terms of this Agreement and the Assignment Agreement, including all applicable representations and warranties thereof included in the Assignment Agreement as of the date of substitution.
For any month in which the Originator or the Seller, as applicable, substitutes one or more Qualified Substitute Mortgage Loans for one or more Deleted Mortgage Loans, the Servicer will determine the amount (the “Substitution Adjustment”), if any, by which the aggregate Purchase Price of all such Deleted Mortgage Loans exceeds the aggregate, as to each such Qualified Substitute Mortgage Loan, of the Stated Principal Balance thereof as of the date of substitution, together with one month’s interest on such Stated Principal Balance at the applicable Mortgage Rate. On the date of such substitution, the Originator or the Seller, as applicable, will deliver or cause to be delivered to the Servicer for deposit in the Collection Account an amount equal to the Substitution Adjustment, if any, and the Trustee (or the Custodian on behalf of the Trustee), upon receipt of the related Qualified Substitute Mortgage Loan or Loans and certification by the Servicer of such deposit, shall release to the Originator or the Seller, as applicable, the related Mortgage File or Files and shall execute and deliver such instruments of transfer or assignment, in each case without recourse, as the Originator or the Seller, as applicable, shall deliver to it and as shall be necessary to vest therein any Deleted Mortgage Loan released pursuant hereto.
In addition, the Originator or the Seller, as applicable, shall obtain at its own expense and deliver to the Trustee and the NIMS Insurer 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)(I) of the Code or on “contributions after the startup date” under Section 860G(d)(I) of the Code or (b) any REMIC to fail to qualify as a REMIC at any time that any Certificate is outstanding. If such Opinion of Counsel can not be delivered, then such substitution may only be effected at such time as the required Opinion of Counsel can be given.
(e) Upon discovery by the Depositor, the Servicer, the NIMS Insurer or the Trustee that any Mortgage Loan does not constitute a “qualified mortgage” within the meaning of Section 860G(a)(3) of the Code, the party discovering such fact shall within two Business
Days give written notice thereof to the other parties hereto. In connection therewith, the Originator or the Depositor, as the case may be, shall repurchase or, subject to the limitations set forth in Section 2.03(d), substitute one or more Qualified Substitute Mortgage Loans for the affected Mortgage Loan within 90 days of the earlier of discovery or receipt of such notice with respect to such affected Mortgage Loan. Such repurchase or substitution shall be made (i) by the Originator if the affected Mortgage Loan’s status as a non-qualified mortgage is or results from a breach of any representation, warranty or covenant made by the Originator under the related Assignment Agreement or (ii) the Depositor, if the affected Mortgage Loan’s status as a non-qualified mortgage is a breach of any representation or warranty of the Depositor set forth in Section 2.06, or if its status as a non-qualified mortgage is a breach of no representation or warranty. Any such repurchase or substitution shall be made in the same manner as set forth in Section 2.03(a) or 2.03(d), if made by the Originator, or Section 2.03(b), if made by the Depositor. The Trustee (or the Custodian on behalf of the Trustee) shall reconvey to the Depositor or the Originator, as the case may be, the Mortgage Loan to be released pursuant hereto in the same manner, and on the same terms and conditions, as it would a Mortgage Loan repurchased for breach of a representation or warranty.
(f) Upon discovery or receipt of written notice of a breach by the Seller of any representation, warranty or covenant made by the Seller under the Assignment Agreement in respect of any Mortgage Loan which materially adversely affects the value of such Mortgage Loan or the interest therein of the Certificateholders, and if either (i) such Mortgage Loan is not in breach of any representation, warranty or covenant of the Originator or (ii) the Originator has failed to remedy such representation, warranty or covenant with respect to such Mortgage Loan, then the Trustee shall promptly notify the Servicer of such breach and the Servicer shall request that the Seller remedy such breach by the Seller, to the extent provided in the Assignment Agreement, in the manner and within the time periods set forth in the Assignment Agreement.
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SECTION 2.04 |
Intentionally Omitted. |
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SECTION 2.05 |
Representations, Warranties and Covenants of the Servicer. |
The Servicer hereby represents, warrants and covenants to the Trustee, for the benefit of each of the Trustee and the Certificateholders, and to the Depositor, that as of the Closing Date or as of such date specifically provided herein:
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(i) |
The Servicer is duly organized, validly existing, and in good standing under the laws of the jurisdiction of its formation and has all licenses necessary to carry on its business as now being conducted and is licensed, qualified and in good standing in the states where the Mortgaged Property is located (or is otherwise exempt under applicable law from such qualification) if the laws of such state require licensing or qualification in order to conduct business of the type conducted by the Servicer or to ensure the enforceability or validity of each Mortgage Loan; the Servicer has the power and authority to execute and deliver this Agreement and to perform in accordance herewith; the execution, delivery and performance of this Agreement (including all instruments of transfer to be delivered |
pursuant to this Agreement) and all documents and instruments contemplated hereby which are executed and delivered by the Servicer and the consummation of the transactions contemplated hereby have been duly and validly authorized; this Agreement and all documents and instruments contemplated hereby which are executed and delivered by the Servicer, assuming due authorization, execution and delivery by the other parties hereto, evidences the valid, binding and enforceable obligation of the Servicer, subject to applicable bankruptcy, insolvency, reorganization, moratorium or other similar laws affecting the enforcement of creditors’ rights generally; and all requisite corporate action has been taken by the Servicer to make this Agreement and all documents and instruments contemplated hereby which are executed and delivered by the Servicer valid and binding upon the Servicer in accordance with its terms;
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(ii) |
The consummation of the transactions contemplated by this Agreement are in the ordinary course of business of the Servicer and will not result in the material breach of any term or provision of the charter or by-laws of the Servicer or result in the breach of any term or provision of, or conflict with or constitute a default under or result in the acceleration of any obligation under, any agreement, indenture or loan or credit agreement or other instrument to which the Servicer or its property is subject, or result in the violation of any law, rule, regulation, order, judgment or decree to which the Servicer or its property is subject; |
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(iii) |
The execution and delivery of this Agreement by the Servicer and the performance and compliance with its obligations and covenants hereunder do not require the consent or approval of any governmental authority or, if such consent or approval is required, it has been obtained; |
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(iv) |
[Reserved]; |
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(v) |
The Servicer does not believe, nor does it have any reason or cause to believe, that it cannot perform each and every covenant contained in this Agreement; |
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(vi) |
There is no action, suit, proceeding or investigation pending or, to its knowledge, threatened against the Servicer that, either individually or in the aggregate, which would reasonably be expected to (A) result in any change in the business, operations, financial condition, properties or assets of the Servicer that might prohibit or materially and adversely affect the performance by such Servicer of its obligations under, or the validity or enforceability of, this Agreement, or (B) result in any material impairment of the right or ability of the Servicer to carry on its business substantially as now conducted, or (C) draw into question the validity or enforceability of this Agreement or of any action taken or to be taken in connection with the obligations of the Servicer contemplated herein, or (D) impair |
materially the ability of the Servicer to perform under the terms of this Agreement;
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(vii) |
Neither this Agreement nor any information, certificate of an officer, statement furnished in writing or report delivered to the Trustee by the Servicer in connection with the transactions contemplated hereby contains any untrue statement of a material fact; |
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(viii) |
The Servicer will not waive any Prepayment Charge unless it is waived in accordance with the standard set forth in Section 3.01; and |
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(ix) |
The Servicer will transmit full-file credit reporting data for each Mortgage Loan pursuant to Xxxxxx Xxx Guide Announcement 95-19 and that for each Mortgage Loan, the Servicer agrees to report one of the following statuses each month as follows: new origination, current, delinquent (30-, 60-, 90-days, etc.), foreclosed or charged off. |
It is understood and agreed that the representations, warranties and covenants set forth in this Section 2.05 shall survive delivery of the Mortgage Files to the Trustee (or the Custodian on behalf of the Trustee) and shall inure to the benefit of the Trustee, the Depositor and the Certificateholders. Upon discovery by any of the Depositor, the NIMS Insurer, the Servicer or the Trustee of a breach of any of the foregoing representations, warranties and covenants which materially and adversely affects the value of any Mortgage Loan, Prepayment Charge or the interests therein of the Certificateholders, the party discovering such breach shall give prompt written notice (but in no event later than two Business Days following such discovery) to the Servicer, the NIMS Insurer and the Trustee. Notwithstanding the foregoing, within 90 days of the earlier of discovery by the Servicer or receipt of notice by the Servicer of the breach of the representation or covenant of the Servicer set forth in Section 2.05(viii) above which materially and adversely affects the interests of the Holders of the Class P Certificates in any Prepayment Charge, the Servicer must pay the amount of such waived Prepayment Charge, for the benefit of the Holders of the Class P Certificates, by depositing such amount into the Collection Account. The foregoing shall not, however, limit any remedies available to the Certificateholders, the Depositor or the Trustee on behalf of the Certificateholders, pursuant to the Master Agreement respecting a breach of the representations, warranties and covenants of the Originator.
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SECTION 2.06 |
Representations and Warranties of the Depositor. |
The Depositor represents and warrants to the Trust, the Servicer and the Trustee on behalf of the Certificateholders as follows:
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(i) |
This agreement constitutes a legal, valid and binding obligation of the Depositor, enforceable against the Depositor in accordance with its terms, except as enforceability may be limited by applicable bankruptcy, insolvency, reorganization, moratorium or other similar laws now or hereafter in effect affecting the enforcement of creditors’ rights in general |
and except as such enforceability may be limited by general principles of equity (whether considered in a proceeding at law or in equity);
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(ii) |
Immediately prior to the sale and assignment by the Depositor to the Trustee on behalf of the Trust of each Mortgage Loan, the Depositor had good and marketable title to each Mortgage Loan (insofar as such title was conveyed to it by the Seller) subject to no prior lien, claim, participation interest, mortgage, security interest, pledge, charge or other encumbrance or other interest of any nature; |
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(iii) |
As of the Closing Date, the Depositor has transferred all right, title and interest in the Mortgage Loans to the Trustee on behalf of the Trust; |
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(iv) |
The Depositor has not transferred the Mortgage Loans to the Trustee on behalf of the Trust with any intent to hinder, delay or defraud any of its creditors; |
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(v) |
The Depositor has been duly incorporated and is validly existing as a corporation in good standing under the laws of Delaware, with full corporate power and authority to own its assets and conduct its business as presently being conducted; |
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(vi) |
The Depositor is not in violation of its articles of incorporation or by-laws or in default in the performance or observance of any material obligation, agreement, covenant or condition contained in any contract, indenture, mortgage, loan agreement, note, lease or other instrument to which the Depositor is a party or by which it or its properties may be bound, which default might result in any material adverse changes in the financial condition, earnings, affairs or business of the Depositor or which might materially and adversely affect the properties or assets, taken as a whole, of the Depositor; |
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(vii) |
The execution, delivery and performance of this Agreement by the Depositor, and the consummation of the transactions contemplated thereby, do not and will not result in a material breach or violation of any of the terms or provisions of, or, to the knowledge of the Depositor, constitute a default under, any indenture, mortgage, deed of trust, loan agreement or other agreement or instrument to which the Depositor is a party or by which the Depositor is bound or to which any of the property or assets of the Depositor is subject, nor will such actions result in any violation of the provisions of the articles of incorporation or by-laws of the Depositor or, to the best of the Depositor’s knowledge without independent investigation, any statute or any order, rule or regulation of any court or governmental agency or body having jurisdiction over the Depositor or any of its properties or assets (except for such conflicts, breaches, violations and defaults as would not have a material adverse |
effect on the ability of the Depositor to perform its obligations under this Agreement);
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(viii) |
To the best of the Depositor’s knowledge without any independent investigation, no consent, approval, authorization, order, registration or qualification of or with any court or governmental agency or body of the United States or any other jurisdiction is required for the issuance of the Certificates, or the consummation by the Depositor of the other transactions contemplated by this Agreement, except such consents, approvals, authorizations, registrations or qualifications as (a) may be required under State securities or Blue Sky laws, (b) have been previously obtained or (c) the failure of which to obtain would not have a material adverse effect on the performance by the Depositor of its obligations under, or the validity or enforceability of, this Agreement; and |
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(ix) |
There are no actions, proceedings or investigations pending before or, to the Depositor’s knowledge, threatened by any court, administrative agency or other tribunal to which the Depositor is a party or of which any of its properties is the subject: (a) which if determined adversely to the Depositor would have a material adverse effect on the business, results of operations or financial condition of the Depositor; (b) asserting the invalidity of this Agreement or the Certificates; (c) seeking to prevent the issuance of the Certificates or the consummation by the Depositor of any of the transactions contemplated by this Agreement, as the case may be; or (d) which might materially and adversely affect the performance by the Depositor of its obligations under, or the validity or enforceability of, this Agreement. |
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SECTION 2.07 |
Issuance of Certificates. |
The Trustee (or the Custodian on behalf of the Trustee) acknowledges the assignment to it of the Mortgage Loans and the delivery to it (or the Custodian on behalf of the Trustee) of the Mortgage Files, subject to any exceptions noted by the Custodian in its exception report delivered pursuant to Section 2.02, together with the assignment to it of all other assets included in the Trust Fund, receipt of which is hereby acknowledged. Concurrently with such assignment and delivery and in exchange therefor, the Trustee, pursuant to the written request of the Depositor executed by an officer of the Depositor, has executed, authenticated and delivered to or upon the order of the Depositor, the Certificates in authorized denominations. The interests evidenced by the Certificates constitute the entire beneficial ownership interest in the Trust Fund.
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SECTION 2.08 |
[Reserved]. |
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SECTION 2.09 |
Acceptance of REMIC 1, REMIC 2, REMIC 3 and REMIC 4 by the Trustee; Conveyance of REMIC 1 Regular Interests, Class C Interest and Class P Interest; Issuance of Certificates. |
(a) The Depositor, concurrently with the execution and delivery hereof, does hereby transfer, assign, set over and otherwise convey in trust to the Trustee without recourse all the right, title and interest of the Depositor in and to the assets described in the definition of REMIC 1 for the benefit of the holders of the REMIC 1 Regular Interests (which are uncertificated) and the Class R Certificates (in respect of the Class R-1 Interest). The Trustee acknowledges receipt of the assets described in the definition of REMIC 1 Regular Interests (which are uncertificated) and declares that it holds and will hold the same in trust for the exclusive use and benefit of the holders of the REMIC 1 Regular Interests and the Class R Certificates (in respect of the Class R-1 Interest). The interests evidenced by the Class R-1 Interest, together with the REMIC 1 Regular Interests, constitute the entire beneficial ownership interest in REMIC 1.
(b) The Depositor concurrently with the execution and delivery hereof, does hereby transfer, assign, set over and otherwise convey in trust to the Trustee without recourse all the right, title and interest of the Depositor in and to the REMIC 1 Regular Interests for the benefit of the holders of the Floating Rate Certificates, the Class C Interest, the Class P Interest and the Class R Certificates (in respect of the Class R-2 Interest). The Trustee acknowledges receipt of the REMIC 1 Regular Interests and declares that it holds and will hold the same in trust for the exclusive use and benefit of the holders of the Floating Rate Certificates, the Class C Interest, the Class P Interest and the Class R Certificates (in respect of the Class R-2 Interest). The interests evidenced by the Class R-2 Interest, together with the Floating Rate Certificates, the Class C Interest and the Class P Interest, constitute the entire beneficial ownership interest in REMIC 2.
(c) The Depositor concurrently with the execution and delivery hereof, does hereby transfer, assign, set over and otherwise convey in trust to the Trustee without recourse all the right, title and interest of the Depositor in and to the Class C Interest (which is uncertificated) for the benefit of the Holders of the Class C Certificates and the Class R-X Certificates (in respect of the Class R-3 Interest). The interests evidenced by the Class R-3 Interest, together with the Class C Certificates, constitute the entire beneficial ownership interest in REMIC 3.
(d) The Depositor concurrently with the execution and delivery hereof, does hereby transfer, assign, set over and otherwise convey in trust to the Trustee without recourse all the right, title and interest of the Depositor in and to the Class P Interest (which is uncertificated) for the benefit of the Holders of the Class P Certificates and the Class R-X Certificates (in respect of the Class R-4 Interest). The interests evidenced by the Class R-4 Interest, together with the Class P Certificates, constitute the entire beneficial ownership interest in REMIC 4.
(e) The Depositor, concurrently with the execution and delivery hereof, does hereby transfer, assign, set over and otherwise convey in trust to the Trustee without recourse all
the right, title and interest of the Depositor in and to the assets described in the definition of REMIC 1 for the benefit of the holders of the REMIC 1 Regular Interests (which are uncertificated) and the Class R Certificates (in respect of the Class R-1 Interest). The Trustee acknowledges receipt of the assets described in the definition of REMIC 1 and declares that it holds and will hold the same in trust for the exclusive use and benefit of the holders of the REMIC 1 Regular Interests and the Class R Certificates (in respect of the Class R-1 Interest). The interests evidenced by the Class R-1 Interest, together with the REMIC 1 Regular Interests, constitute the entire beneficial ownership interest in REMIC 1.
(f) In exchange for the REMIC 1 Regular Interests and, concurrently with the assignment to the Trustee thereof, pursuant to the written request of the Depositor executed by an officer of the Depositor, the Trustee has executed, authenticated and delivered to or upon the order of the Depositor, the Regular Certificates (other than the Class C Certificates and Class P Certificates) in authorized denominations, which Certificates, together with the Class C Interests and Class P Interests and the Class R Certificates (in respect of the Class R-2 Interest), evidence the entire beneficial ownership interest in REMIC 2.
(g) In exchange for the Class C Interest and, concurrently with the assignment to the Trustee thereof, pursuant to the written request of the Depositor executed by an officer of the Depositor, the Trustee has executed, authenticated and delivered to or upon the order of the Depositor, the Class C Certificates in authorized denominations, which Certificates, together with the Class R-X Certificates (in respect of the Class R-3 Interest), evidence the entire beneficial ownership interest in REMIC 3.
(h) In exchange for the Class P Interest and, concurrently with the assignment to the Trustee thereof, pursuant to the written request of the Depositor executed by an officer of the Depositor, the Trustee has executed, authenticated and delivered to or upon the order of the Depositor, the Class P Certificates in authorized denominations, which Certificates, together with the Class R-X Certificates (in respect of the Class R-4 Interest), evidence the entire beneficial ownership interest in REMIC 4.
(i) Concurrently with (i) the assignment and delivery to the Trustee of REMIC 1 (including the Residual Interest therein represented by the Class R-1 Interest) and the acceptance by the Trustee thereof, pursuant to Section 2.01, Section 2.02 and Section 2.09(a), (ii) the assignment and delivery to the Trustee of REMIC 2 (including the Residual Interest therein represented by the Class R-2 Interest) and the acceptance by the Trustee thereof, pursuant to Section 2.09(b), (iii) the assignment and delivery to the Trustee of REMIC 3 (including the Residual Interest therein represented by the Class R-3 Interest) and the acceptance by the Trustee thereof, pursuant to Section 2.09(c) and (iv) the assignment and delivery to the Trustee of REMIC 4 (including the Residual Interest therein represented by the Class R-4 Interest) and the acceptance by the Trustee thereof, pursuant to Section 2.09(d), the Trustee, pursuant to the written request of the Depositor executed by an officer of the Depositor, has executed, authenticated and delivered to or upon the order of the Depositor, the Class R Certificates (evidencing the Class R-1 Interest and the Class R-2 Interest) and the Class R-X Certificates (evidencing the Class R-3 and Class R-4 Interest) in authorized denominations.
ARTICLE III
ADMINISTRATION AND SERVICING
OF THE MORTGAGE LOANS
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SECTION 3.01 |
Servicer to Act as Servicer. |
The Servicer shall service and administer the Mortgage Loans on behalf of the Trust and in the best interests of and for the benefit of the Certificateholders (as determined by the Servicer in its reasonable judgment) in accordance with the terms of this Agreement and the Mortgage Loans and, to the extent consistent with such terms, in the same manner in which it services and administers similar mortgage loans for its own portfolio, giving due consideration to customary and usual standards of practice of mortgage lenders and loan servicers administering similar mortgage loans but without regard to:
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(i) |
any relationship that the Servicer, any Sub-Servicer or any Affiliate of the Servicer or any Sub-Servicer may have with the related Mortgagor; |
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(ii) |
the ownership or non-ownership of any Certificate by the Servicer or any Affiliate of the Servicer; |
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(iii) |
the Servicer’s obligation to make Advances or Servicing Advances; or |
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(iv) |
the Servicer’s or any Sub-Servicer’s right to receive compensation for its services hereunder or with respect to any particular transaction (the “Servicing Standard”). |
To the extent consistent with the foregoing, the Servicer (a) shall seek the timely and complete recovery of principal and interest on the Mortgage Notes and (b) shall waive (or permit a Sub-Servicer to waive) a Prepayment Charge only under the following circumstances: (i) such waiver is standard and customary in servicing similar Mortgage Loans and (ii) such waiver relates to a default or a reasonably foreseeable default and would, in the reasonable judgment of the Servicer, maximize recovery of total proceeds taking into account the value of such Prepayment Charge and the related Mortgage Loan, (iii) the collection of such Prepayment Charge would be in violation of applicable laws or (iv) the Servicer has not received information and documentation sufficient to confirm the existence or amount of such Prepayment Charge. If a Prepayment Charge is waived as permitted by meeting the standard described in clauses (iii) or (iv) above, then the Servicer shall make commercially reasonable efforts to attempt to enforce the obligations of the Originator under the Master Agreement to pay the amount of such waived Prepayment Charge, for the benefit of the Holders of the Class P Certificates; provided, however, that the Servicer shall not be under any obligation to take any action pursuant to this paragraph unless directed by the Depositor and provided, further, the Depositor hereby agrees to assist the Servicer in enforcing any obligations of the Originator to repurchase or substitute for a Mortgage Loan which has breached a representation or warranty under the Assignment Agreement. If the Servicer makes a good faith determination as evidenced by an officer’s certificate delivered by the Servicer to the Trustee, that the Servicer’s efforts are not reasonably expected to be successful in enforcing such rights, it shall notify the Trustee of such failure and the Trustee,
with the cooperation of the Servicer, shall enforce the obligation of the Originator under the Master Agreement to pay to the Servicer the amount of such waived Prepayment Charge. If the Originator fails to pay the amount of such waived Prepayment Charge in accordance with its obligations under the Master Agreement, the Trustee, the Servicer and the Depositor shall consult on further actions to be taken against the Originator.
Subject only to the above-described servicing standards and the terms of this Agreement and of the Mortgage Loans, the Servicer shall have full power and authority, acting alone or through Sub-Servicers as provided in Section 3.02, to do or cause to be done any and all things in connection with such servicing and administration which it may deem necessary or desirable. Without limiting the generality of the foregoing, the Servicer, in the name of the Trust Fund, is hereby authorized and empowered by the Trustee when the Servicer believes it appropriate in its best judgment in accordance with the Servicing Standard, to execute and deliver, on behalf of the Certificateholders and the Trustee, any and all instruments of satisfaction or cancellation, or of partial or full release or discharge, and all other comparable instruments, with respect to the Mortgage Loans and the Mortgaged Properties and to institute foreclosure proceedings or obtain a deed-in-lieu of foreclosure so as to convert the ownership of such properties, and to hold or cause to be held title to such properties, on behalf of the Trustee and Certificateholders. The Servicer shall service and administer the Mortgage Loans in accordance with applicable state and federal law and shall provide to the Mortgagors any reports required to be provided to them thereby. The Servicer shall also comply in the performance of this Agreement with all reasonable rules and requirements of each insurer under any standard hazard insurance policy. Subject to Section 3.17, within five (5) days of the Closing Date, the Trustee shall execute and furnish to the Servicer and any Sub-Servicer any special or limited powers of attorney and other documents necessary or appropriate to enable the Servicer or any Sub-Servicer to carry out their servicing and administrative duties hereunder; provided, such limited powers of attorney or other documents shall be prepared by the Servicer and submitted to the Trustee for execution. The Trustee shall not be liable for the actions by the Servicer or any Sub-Servicers under such powers of attorney.
The Servicer further is authorized and empowered by the Trustee, on behalf of the Certificateholders and the Trustee, in its own name or in the name of the Sub-Servicer, when the Servicer or the Sub-Servicer, as the case may be, believes it is appropriate in its best judgment to register any Mortgage Loan on the MERS® System, or cause the removal from the registration of any Mortgage Loan on the MERS® System, to execute and deliver, on behalf of the Trustee and the Certificateholders or any of them, any and all instruments of assignment and other comparable instruments with respect to such assignment or re-recording of a Mortgage in the name of MERS, solely as nominee for the Trustee and its successors and assigns. Any reasonable expenses incurred in connection with the actions described in the preceding sentence or as a result of MERS discontinuing or becoming unable to continue operations in connection with the MERS® System, shall be reimbursable to the Servicer by withdrawal from the Collection Account pursuant to Section 3.11.
Subject to Section 3.09 hereof, in accordance with the standards of the preceding paragraph, the Servicer, on escrowed accounts, shall advance or cause to be advanced funds as necessary for the purpose of effecting the payment of taxes and assessments on the Mortgaged Properties, which advances shall be Servicing Advances reimbursable in the first instance from
related collections from the Mortgagors pursuant to Section 3.09, and further as provided in Section 3.11. Any cost incurred by the Servicer or by Sub-Servicers in effecting the payment of taxes and assessments on a Mortgaged Property shall not, for the purpose of calculating distributions to Certificateholders, be added to the unpaid Stated Principal Balance of the related Mortgage Loan, notwithstanding that the terms of such Mortgage Loan so permit.
Notwithstanding anything in this Agreement to the contrary, the Servicer may not make any future advances with respect to a Mortgage Loan (except as provided in Section 4.04) and the Servicer shall not (i) permit any modification with respect to any Mortgage Loan that would change the Mortgage Rate, reduce or increase the Stated Principal Balance (except for reductions resulting from actual payments of principal) or change the final maturity date on such Mortgage Loan (unless, in any such case, as provided in Section 3.07, the Mortgagor is in default with respect to the Mortgage Loan or such default is, in the judgment of the Servicer, reasonably foreseeable) or (ii) permit any modification, waiver or amendment of any term of any Mortgage Loan that would both (A) effect an exchange or reissuance of such Mortgage Loan under Section 1001 of the Code (or Treasury regulations promulgated thereunder) and (B) cause any REMIC created hereunder to fail to qualify as a REMIC under the Code or the imposition of any tax on “prohibited transactions” or “contributions after the startup date” under the REMIC Provisions.
The Servicer shall also undertake to defend, with respect to a claim against the Trustee or the Trust, any claims against the Trust, the Trustee or itself by a Mortgagor which relate to or affect the servicing of any Mortgage Loan. This shall not be construed as an assumption of liability in such matters. The Trustee shall notify the Servicer of any such claim as soon as practicable after receiving notice of such claim. The Servicer shall not be liable for any delay in responding to any claim of which it has not received timely notice. The Trustee shall cooperate with the Servicer in all aspects of the defense of such claims, including the timely delivery of all relevant litigation files and other related information. In the event the Servicer acts on behalf of the Trustee, the Trust or itself in any such litigation, the Trust shall pay all costs and expenses (including attorneys’ fees, court costs, settlements and judgments) associated with the defense and management of such claim; provided, however, that the Servicer shall not be indemnified for any such cost or expense relating to claims against the Servicer and incurred by reason of its willful misfeasance, bad faith or negligence in the performance of its duties hereunder.
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SECTION 3.02 |
Sub-Servicing Agreements Between Servicer and Sub-Servicers. |
(a) The Servicer may enter into Sub-Servicing Agreements with Sub-Servicers, which may be Affiliates of the Servicer, for the servicing and administration of the Mortgage Loans; provided, however, (i) such sub-servicing arrangement and the terms of the related Sub-Servicing Agreement must provide for the servicing of the Mortgage Loans in a manner consistent with the servicing arrangement contemplated hereunder and (ii) the NIMS Insurer shall have consented to such sub-servicing agreement. The Trustee is hereby authorized to acknowledge, at the request of the Servicer, any Sub-Servicing Agreement. No such acknowledgment shall be deemed to imply that the Trustee has consented to any such Sub-Servicing Agreement, has passed upon whether such Sub-Servicing Agreement meets the requirements applicable to Sub-Servicing Agreements set forth in this Agreement or has passed
upon whether such Sub-Servicing Agreement is otherwise permitted under this Agreement. The Servicer may, in connection with its duties as Servicer hereunder, enter into transactions with any of its Affiliates relating to the Mortgage Loans; provided, that (i) such transaction is in the ordinary course of business of the Servicer, and (ii) the terms of such transaction are no less favorable to the Servicer than it would obtain in a comparable arm’s-length transaction with a person that is not an Affiliate of the Servicer.
Each Sub-Servicer shall be (i) authorized to transact business in the state or states where the related Mortgaged Properties it is to service are situated, if and to the extent required by applicable law to enable the Sub-Servicer to perform its obligations hereunder and under the Sub-Servicing Agreement and (ii) a Xxxxxxx Mac or Xxxxxx Mae approved mortgage servicer. Each Sub-Servicing Agreement must impose on the Sub-Servicer requirements conforming to the provisions set forth in Section 3.08 and provide for servicing of the Mortgage Loans consistent with the terms of this Agreement. The Servicer will examine each Sub-Servicing Agreement and will be familiar with the terms thereof. The terms of any Sub-Servicing Agreement will not be inconsistent with any of the provisions of this Agreement. Any variation in any Sub-Servicing Agreements from the provisions set forth in Section 3.08 relating to insurance or priority requirements of Sub-Servicing Accounts, or credits and charges to the Sub-Servicing Accounts or the timing and amount of remittances by the Sub-Servicers to the Servicer, are conclusively deemed to be inconsistent with this Agreement and therefore prohibited. The Servicer shall deliver to the NIMS Insurer and the Trustee copies of all Sub-Servicing Agreements, and any amendments or modifications thereof, promptly upon the Servicer’s execution and delivery of such instruments.
(b) As part of its servicing activities hereunder, the Servicer, for the benefit of the Trustee and the Certificateholders, shall enforce the obligations of each Sub-Servicer under the related Sub-Servicing Agreement, including, without limitation, any obligation to make advances in respect of delinquent payments as required by a Sub-Servicing Agreement. Such enforcement, including, without limitation, the legal prosecution of claims, termination of Sub-Servicing Agreements, 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 Servicer, in its good faith business judgment, would require were it the owner of the related Mortgage Loans. The 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 Loans, or (ii) from a specific recovery of costs, expenses or attorneys’ fees against the party against whom such enforcement is directed.
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SECTION 3.03 |
Successor Sub-Servicers. |
The Servicer, with the consent of the NIMS Insurer, shall be entitled to terminate any Sub-Servicing Agreement and the rights and obligations of any Sub-Servicer pursuant to any Sub-Servicing Agreement in accordance with the terms and conditions of such Sub-Servicing Agreement. In the event of termination of any Sub-Servicer, all servicing obligations of such Sub-Servicer shall be assumed simultaneously by the Servicer without any act or deed on the part of such Sub-Servicer or the Servicer, and the Servicer either shall service directly the related Mortgage Loans or shall enter into a Sub-Servicing Agreement with a successor Sub-Servicer which qualifies under Section 3.02.
Any Sub-Servicing Agreement shall include the provision that such agreement may be immediately terminated by the Servicer or the Trustee (if the Trustee is acting as Servicer) without fee, in accordance with the terms of this Agreement, in the event that the Servicer (or the Trustee, if such party is then acting as Servicer) shall, for any reason, no longer be the Servicer (including termination due to a Servicer Event of Termination).
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SECTION 3.04 |
Liability of the Servicer. |
Notwithstanding any Sub-Servicing Agreement or the provisions of this Agreement relating to agreements or arrangements between the Servicer and a Sub-Servicer or reference to actions taken through a Sub-Servicer or otherwise, the Servicer shall remain obligated and primarily 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 Sub-Servicing Agreements or arrangements or by virtue of indemnification from the Sub-Servicer and to the same extent and under the same terms and conditions as if the Servicer alone were servicing and administering the Mortgage Loans. The Servicer shall be entitled to enter into any agreement with a Sub-Servicer for indemnification of the Servicer by such Sub-Servicer and nothing contained in this Agreement shall be deemed to limit or modify such indemnification.
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SECTION 3.05 |
No Contractual Relationship Between Sub-Servicers and the NIMS Insurer, the Trustee or Certificateholders. |
Any Sub-Servicing Agreement that may be entered into and any transactions or services relating to the Mortgage Loans involving a Sub-Servicer in its capacity as such shall be deemed to be between the Sub-Servicer and the Servicer alone, and the NIMS Insurer, the Trustee or Certificateholders shall not be deemed parties thereto and shall have no claims, rights, obligations, duties or liabilities with respect to the Sub-Servicer except as set forth in Section 3.06. The Servicer shall be solely liable for all fees owed by it to any Sub-Servicer, irrespective of whether the Servicer’s compensation pursuant to this Agreement is sufficient to pay such fees.
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SECTION 3.06 |
Assumption or Termination of Sub-Servicing Agreements by Trustee. |
In the event the Servicer shall for any reason no longer be the servicer (including by reason of the occurrence of a Servicer Event of Termination), the Trustee, in addition to its duties under Section 7.02, shall thereupon assume all of the rights and obligations of the Servicer under each Sub-Servicing Agreement that the Servicer may have entered into, unless the Trustee elects to terminate any Sub-Servicing Agreement in accordance with its terms as provided in Section 3.03. Upon such assumption, the Trustee (or the successor servicer appointed pursuant to Section 7.02) shall be deemed, subject to Section 3.03, to have assumed all of the departing Servicer’s interest therein and to have replaced the departing Servicer as a party to each Sub-Servicing Agreement to the same extent as if each Sub-Servicing Agreement had been assigned to the assuming party, except that (i) the departing Servicer shall not thereby be relieved of any liability or obligations under any Sub-Servicing Agreement that arose before it ceased to be the
Servicer and (ii) neither the Trustee nor any successor Servicer shall be deemed to have assumed any liability or obligation of the Servicer that arose before it ceased to be the Servicer.
The Servicer at its expense shall, upon request of the Trustee, deliver to the assuming party all documents and records relating to each Sub-Servicing Agreement and the Mortgage Loans then being serviced and an accounting of amounts collected and held by or on behalf of it, and otherwise use its best efforts to effect the orderly and efficient transfer of the Sub-Servicing Agreements to the assuming party. All Servicing Transfer Costs shall be paid by the predecessor Servicer upon presentation of reasonable documentation of such costs, and if such predecessor Servicer is the Trustee or it defaults in its obligation to pay such costs, such costs shall be paid by the successor Servicer or the Trustee (in which case the successor Servicer or the Trustee, as applicable, shall be entitled to reimbursement therefor from the assets of the Trust).
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SECTION 3.07 |
Collection of Certain Mortgage Loan Payments. |
The Servicer shall make reasonable efforts, in accordance with the Servicing Standard, to collect all payments called for under the terms and provisions of the Mortgage Loans and the provisions of any applicable insurance policies provided to the Servicer. Consistent with the foregoing, the Servicer may in its discretion (i) waive any late payment charge or, if applicable, any penalty interest or any provisions of any Mortgage Loan requiring the related Mortgagor to submit to mandatory arbitration with respect to disputes arising thereunder, or (ii) extend the due dates for the Monthly Payments due on a Mortgage Note for a period of not greater than 180 days; provided, however, that any extension pursuant to clause (ii) above shall not affect the amortization schedule of any Mortgage Loan for purposes of any computation hereunder, except as provided below. In the event of any such arrangement pursuant to clause (ii) above, the Servicer shall make timely Advances on such Mortgage Loan during such extension pursuant to Section 4.04 and in accordance with the amortization schedule of such Mortgage Loan without modification thereof by reason of such arrangement. Notwithstanding the foregoing, in the event that any Mortgage Loan is in default or, in the judgment of the Servicer, such default is reasonably foreseeable, the Servicer, consistent with the standards set forth in Section 3.01, may also waive, modify or vary any term of such Mortgage Loan (including modifications that would change the Mortgage Rate, forgive the payment of principal or interest or extend the final maturity date of such Mortgage Loan), accept payment from the related Mortgagor of an amount less than the Stated Principal Balance in final satisfaction of such Mortgage Loan, or consent to the postponement of strict compliance with any such term or otherwise grant indulgence to any Mortgagor (any and all such waivers, modifications, variances, forgiveness of principal or interest, postponements, or indulgences collectively referred to herein as “forbearance”), provided, however, that the NIMS Insurer’s prior written consent shall be required for any modification, waiver or amendment if the aggregate number of outstanding Mortgage Loans which have been modified, waived or amended exceeds 5% of the number of Mortgage Loans as of the Cut-off Date. The Servicer's analysis supporting any forbearance and the conclusion that any forbearance meets the standards of Section 3.01 and the Loss Mitigation Procedures shall be reflected in writing in the Mortgage File.
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SECTION 3.08 |
Sub-Servicing Accounts. |
In those cases where a Sub-Servicer is servicing a Mortgage Loan pursuant to a Sub- Servicing Agreement, the Sub-Servicer will be required to establish and maintain one or more accounts (collectively, the “Sub-Servicing Account”). The Sub-Servicing Account shall be an Eligible Account and shall comply with all requirements of this Agreement relating to the Collection Account. The Sub-Servicer shall deposit in the clearing account in which it customarily deposits payments and collections on mortgage loans in connection with its mortgage loan servicing activities on a daily basis, and in no event more than one Business Day after the Sub-Servicer’s receipt thereof, all proceeds of Mortgage Loans received by the Sub-Servicer less its servicing compensation to the extent permitted by the Sub-Servicing Agreement, and shall thereafter deposit such amounts in the Sub-Servicing Account, in no event more than two Business Days after the receipt of such amounts. The Sub-Servicer shall thereafter deposit such proceeds in the Collection Account or remit such proceeds to the Servicer for deposit in the Collection Account not later than two Business Days after the deposit of such amounts in the Sub-Servicing Account. For purposes of this Agreement, the Servicer shall be deemed to have received payments on the Mortgage Loans when the Sub-Servicer receives such payments.
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SECTION 3.09 |
Collection of Taxes, Assessments and Similar Items; Escrow Accounts. |
To the extent required by the related Mortgage Note, the Servicer shall establish and maintain, or cause to be established and maintained, one or more accounts (the “Escrow Accounts”), into which all Escrow Payments shall be deposited and retained. Escrow Accounts shall be Eligible Accounts. The Servicer shall deposit in the clearing account in which it customarily deposits payments and collections on mortgage loans in connection with its mortgage loan servicing activities, all Escrow Payments collected on account of the Mortgage Loans and shall deposit in the Escrow Accounts, in no event more than two Business Days after the receipt of such Escrow Payments, all Escrow Payments collected on account of the Mortgage Loans for the purpose of effecting the payment of any such items as required under the terms of this Agreement. Withdrawals of amounts from an Escrow Account may be made only to (i) effect payment of taxes, assessments, hazard insurance premiums, and comparable items in a manner and at a time that assures that the lien priority of the Mortgage is not jeopardized (or, with respect to the payment of taxes, in a manner and at a time that avoids the loss of the Mortgaged Property due to a tax sale or the foreclosure as a result of a tax lien); (ii) reimburse the Servicer (or a Sub-Servicer to the extent provided in the related Sub-Servicing Agreement) out of related collections for any Servicing Advances made pursuant to Section 3.01 (with respect to taxes and assessments) and Section 3.14 (with respect to hazard insurance); (iii) refund to Mortgagors any sums as may be determined to be overages; (iv) pay interest, if required and as described below, to Mortgagors on balances in the Escrow Account; or (v) clear and terminate the Escrow Account at the termination of the Servicer’s obligations and responsibilities in respect of the Mortgage Loans under this Agreement in accordance with Article X. In the event the Servicer shall deposit in a Escrow Account any amount not required to be deposited therein, it may at any time withdraw such amount from such Escrow Account, any provision herein to the contrary notwithstanding. The Servicer will be responsible for the administration of the Escrow Accounts and will be obligated to make Servicing Advances to such accounts when and as necessary to avoid the lapse of insurance coverage on the Mortgaged Property, or which the
Servicer knows, or in the exercise of the required standard of care of the Servicer hereunder should know, is necessary to avoid the loss of the Mortgaged Property due to a tax sale or the foreclosure as a result of a tax lien. If any such payment has not been made and the Servicer receives notice of a tax lien with respect to the Mortgage being imposed, the Servicer will, within 10 Business Days of receipt of such notice, advance or cause to be advanced funds necessary to discharge such lien on the Mortgaged Property. As part of its servicing duties, the Servicer or any Sub-Servicers shall pay to the Mortgagors interest on funds in the Escrow Accounts, to the extent required by law and, to the extent that interest earned on funds in the Escrow Accounts is insufficient, to pay such interest from its or their own funds, without any reimbursement therefor. The Servicer may pay to itself any excess interest on funds in the Escrow Accounts, to the extent such action is in conformity with the Servicing Standard, is permitted by law and such amounts are not required to be paid to Mortgagors or used for any of the other purposes set forth above.
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SECTION 3.10 |
Collection Account and Distribution Account. |
(a) On behalf of the Trust Fund, the Servicer shall establish and maintain, or cause to be established and maintained, one or more accounts (such account or accounts, the “Collection Account”), held in trust for the benefit of the Trustee and the Certificateholders. On behalf of the Trust Fund, the Servicer shall deposit or cause to be deposited in the Collection Account, in no event more than two Business Days after the Servicer’s receipt thereof, as and when received or as otherwise required hereunder, the following payments and collections received or made by it subsequent to the Cut-off Date (other than in respect of principal or interest on the Mortgage Loans due on or before the Cut-off Date) or payments (other than Principal Prepayments) received by it on or prior to the Cut-off Date but allocable to a Due Period subsequent thereto:
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(i) |
all payments on account of principal, including Principal Prepayments (but not Prepayment Charges), on the Mortgage Loans; |
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(ii) |
all payments on account of interest (net of the Servicing Fee) on each Mortgage Loan; |
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(iii) |
all Insurance Proceeds, Net Liquidation Proceeds, Subsequent Recoveries and condemnation proceeds (other than proceeds collected in respect of any particular REO Property and amounts paid in connection with a purchase of Mortgage Loans and REO Properties pursuant to Section 10.01); |
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(iv) |
any amounts required to be deposited pursuant to Section 3.12 in connection with any losses realized on Permitted Investments with respect to funds held in the Collection Account; |
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(v) |
any amounts required to be deposited by the Servicer pursuant to the second paragraph of Section 3.14(a) in respect of any blanket policy deductibles; |
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(vi) |
all proceeds of any Mortgage Loan repurchased or purchased in accordance with Section 2.03, Section 3.16(c) or Section 10.01; |
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(vii) |
all amounts required to be deposited in connection with Substitution Adjustments pursuant to Section 2.03; |
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(viii) |
all Prepayment Charges collected by the Servicer and any Servicer Prepayment Charge Payment Amounts in connection with the Principal Prepayment of any of the Mortgage Loans; and |
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(ix) |
without duplication, all payments of claims under the PMI Policy. |
The foregoing requirements for deposit in the Collection Account shall be exclusive, it being understood and agreed that, without limiting the generality of the foregoing, payments in the nature of Servicing Fees, late payment charges, assumption fees, insufficient funds charges and ancillary income (other than Prepayment Charges) need not be deposited by the Servicer in the Collection Account and may be retained by the Servicer as additional compensation. In the event the Servicer shall deposit in the Collection Account any amount not required to be deposited therein, it may at any time withdraw such amount from the Collection Account, any provision herein to the contrary notwithstanding.
(b) On behalf of the Trust Fund, the Trustee shall establish and maintain one or more segregated, non-interest bearing trust accounts (such account or accounts, the “Distribution Account”), held in trust for the benefit of the Trustee and the Certificateholders. On behalf of the Trust Fund, the Servicer shall deliver to the Trustee in immediately available funds for deposit in the Distribution Account on or before 1:00 p.m. New York time on the Servicer Remittance Date, that portion of the Available Funds (calculated without regard to the references in the definition thereof to amounts that may be withdrawn from the Distribution Account) for the related Distribution Date then on deposit in the Collection Account, the amount of all Prepayment Charges collected during the applicable Prepayment Period by the Servicer and Servicer Prepayment Charge Payment Amounts in connection with the Principal Prepayment of any of the Mortgage Loans then on deposit in the Collection Account, the amount of any funds reimbursable to an Advancing Person pursuant to Section 3.29 (unless such amounts are to be remitted in another manner as specified in the documentation establishing the related Advance Facility).
If, by 1:00 p.m. New York time, on the Servicer Remittance Date, the Servicer fails to remit to the Trustee for deposit into the Distribution Account any amounts required to be so remitted by the Servicer pursuant to this Agreement, the Servicer shall pay to the Trustee, for its own account, interest on such amounts at the prime rate for such date (as set forth in the Wall Street Journal) for the period commencing on the Servicer Remittance Date through the Business Day on which such failure is remedied.
(c) Funds in the Collection Account and the Distribution Account may be invested in Permitted Investments in accordance with the provisions set forth in Section 3.12. The Servicer shall give written notice to the NIMS Insurer and the Trustee of the location of the Collection Account maintained by it when established and prior to any change thereof. The
Trustee shall give notice to the NIMS Insurer, the Servicer and the Depositor of the location of the Distribution Account when established and prior to any change thereof.
(d) Funds held in the Collection Account at any time may be delivered by the Servicer to the Trustee for deposit in an account (which may be the Distribution Account and must satisfy the standards for the Distribution Account as set forth in the definition thereof) and for all purposes of this Agreement shall be deemed to be a part of the Collection Account; provided, however, that the Trustee shall have the sole authority to withdraw any funds held pursuant to this subsection (d). In the event the Servicer shall deliver to the Trustee for deposit in the Distribution Account any amount not required to be deposited therein, it may at any time request that the Trustee withdraw such amount from the Distribution Account and remit to it any such amount, any provision herein to the contrary notwithstanding. In addition, the Servicer, with respect to items (i) through (iv) below, shall deliver to the Trustee from time to time for deposit, and the Trustee, with respect to items (i) through (iv) below, shall so deposit, in the Distribution Account:
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(i) |
any Advances, as required pursuant to Section 4.04; |
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(ii) |
any amounts required to be deposited pursuant to Section 3.23(d) or (f) in connection with any REO Property; |
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(iii) |
any amounts to be paid by the Servicer in connection with a purchase of Mortgage Loans and REO Properties pursuant to Section 10.01; |
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(iv) |
any Compensating Interest to be deposited pursuant to Section 3.24 in connection with any Prepayment Interest Shortfall; and |
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(v) |
any amounts required to be paid to the Trustee pursuant to the Agreement, including, but not limited to Section 3.06 and Section 7.02. |
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SECTION 3.11 |
Withdrawals from the Collection Account and Distribution Account. |
(a) The Servicer shall, from time to time, make withdrawals from the Collection Account for any of the following purposes or as described in Section 4.04:
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(i) |
to remit to the Trustee for deposit in the Distribution Account the amounts required to be so remitted pursuant to Section 3.10(b) or permitted to be so remitted pursuant to the first sentence of Section 3.10(d); |
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(ii) |
subject to Section 3.16(d), to reimburse the Servicer for (a) any unreimbursed Advances to the extent of amounts received which represent Late Collections (net of the related Servicing Fees), Liquidation Proceeds and Insurance Proceeds on Mortgage Loans or REO Properties with respect to which such Advances were made in accordance with the provisions of Section 4.04; or (b) without limiting any right of withdrawal set forth in clause (vi) below, any unreimbursed Advances that, upon a Final Recovery Determination with respect to such Mortgage Loan, are |
Nonrecoverable Advances, but only to the extent that Late Collections (net of the related Servicing Fees), Liquidation Proceeds and Insurance Proceeds received with respect to such Mortgage Loan are insufficient to reimburse the Servicer for such unreimbursed Advances; or (c) subject to 4.04(b), any unreimbursed Advances to the extent of funds held in the Collection Account for future distribution that were not included in Available Funds for the preceding Distribution Date;
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(iii) |
subject to Section 3.16(d), to pay the Servicer or any Sub-Servicer (a) any unpaid Servicing Fees, (b) any unreimbursed Servicing Advances with respect to each Mortgage Loan, but only to the extent of any Late Collections, Liquidation Proceeds and Insurance Proceeds received with respect to such Mortgage Loan or REO Property, and (c) without limiting any right of withdrawal set forth in clause (vi) below, any Servicing Advances made with respect to a Mortgage Loan that, upon a Final Recovery Determination with respect to such Mortgage Loan are Nonrecoverable Advances, but only to the extent that Late Collections, Liquidation Proceeds and Insurance Proceeds received with respect to such Mortgage Loan are insufficient to reimburse the Servicer or any Sub-Servicer for Servicing Advances; |
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(iv) |
to pay to the Servicer as additional servicing compensation (in addition to the Servicing Fee) on the Servicer Remittance Date any interest or investment income earned on funds deposited in the Collection Account; |
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(v) |
to pay itself, the NIMS Insurer, the Originator or the Seller, as applicable, with respect to each Mortgage Loan that has previously been purchased or replaced pursuant to Section 2.03 or Section 3.16(c) all amounts received thereon subsequent to the date of purchase or substitution, as the case may be and any enforcement expenses reasonably incurred in respect of such breach or defect, including any expenses arising out of the enforcement of such purchase obligations; |
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(vi) |
to reimburse the Servicer for any Advance or Servicing Advance previously made which the Servicer has determined to be a Nonrecoverable Advance in accordance with the provisions of Section 4.04; |
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(vii) |
to pay, or to reimburse the Servicer for Servicing Advances in respect of, expenses incurred in connection with any Mortgage Loan pursuant to Section 3.16(b); |
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(viii) |
to reimburse the Servicer for expenses incurred by or reimbursable to the Servicer pursuant to Section 6.03; |
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(ix) |
to pay itself any Prepayment Interest Excess; |
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(x) |
to clear and terminate the Collection Account pursuant to Section 10.01; and |
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(xi) |
to withdraw any amount deposited in the Collection Account and not required to be deposited therein. |
The foregoing requirements for withdrawal from the Collection Account shall be exclusive. In the event the Servicer shall deposit in the Collection Account any amount not required to be deposited therein, it may at any time withdraw such amount from the Collection Account, any provision herein to the contrary notwithstanding.
The Servicer shall keep and maintain separate accounting, on a Mortgage Loan by Mortgage Loan basis, for the purpose of justifying any withdrawal from the Collection Account, to the extent held by or on behalf of it, pursuant to subclauses (ii), (iii), (iv), (v), (vi) and (vii) above. The Servicer shall provide written notification to the NIMS Insurer and the Trustee, on or prior to the next succeeding Servicer Remittance Date, upon making any withdrawals from the Collection Account pursuant to subclause (vi) above; provided that an Officers’ Certificate in the form described under Section 4.04(d) shall suffice for such written notification to the Trustee in respect hereof.
(b) The Trustee shall, from time to time, make withdrawals from the Distribution Account, for any of the following purposes, without priority:
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(i) |
to make distributions in accordance with Section 4.01; |
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(ii) |
[Reserved]; |
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(iii) |
to pay any amounts in respect of taxes pursuant to Section 9.01(g); |
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(iv) |
to clear and terminate the Distribution Account pursuant to Section 10.01; | |||
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(v) |
to pay any amounts required to be paid to the Trustee pursuant to this Agreement, including but not limited to funds required to be paid pursuant to Section 3.06, Section 4.01, Section 7.02 and Section 8.05; |
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(vi) |
to pay to the Trustee, any interest or investment income earned on funds deposited in the Distribution Account; |
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(vii) |
to pay to an Advancing Person reimbursements for Advances and/or Servicing Advances pursuant to Section 3.29; |
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(viii) |
to pay to the Custodian, the Custodian Fee; and | |
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(ix) |
to pay the PMI Insurer the PMI Premium. |
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SECTION 3.12 |
Investment of Funds in the Collection Account and the Distribution Account. |
(a) The Servicer may direct any depository institution maintaining the Collection Account and any REO Account to invest the funds on deposit in such accounts and the Trustee may invest the funds on deposit in the Distribution Account or hold such funds uninvested (each such account, for the purposes of this Section 3.12, an “Investment Account”). All investments pursuant to this Section 3.12 shall be in one or more Permitted Investments bearing interest or sold at a discount, and maturing, unless payable on demand, (i) no later than the Business Day immediately preceding the date on which such funds are required to be withdrawn from such account pursuant to this Agreement, if a Person other than the Trustee is the obligor thereon or if such investment is managed or advised by a Person other than the Trustee or an Affiliate of the Trustee, and (ii) no later than the date on which such funds are required to be withdrawn from such account pursuant to this Agreement, if the Trustee is the obligor thereon or if such investment is managed or advised by the Trustee or any Affiliate. All such Permitted Investments shall be held to maturity, unless payable on demand. Any investment of funds in an Investment Account shall be made in the name of the Trustee (in its capacity as such), or in the name of a nominee of the Trustee. The Trustee shall be entitled to sole possession (except with respect to investment direction of funds held in the Collection Account and any REO Account, and any income and gain realized thereon) over each such investment, and any certificate or other instrument evidencing any such investment shall be delivered directly to the Trustee or its agent, together with any document of transfer necessary to transfer title to such investment to the Trustee or its nominee. In the event amounts on deposit in an Investment Account are at any time invested in a Permitted Investment payable on demand, the Trustee shall:
(x) consistent with any notice required to be given thereunder, demand that payment thereon be made on the last day such Permitted Investment may otherwise mature hereunder in an amount equal to the lesser of (1) all amounts then payable thereunder and (2) the amount required to be withdrawn on such date; and
(y) demand payment of all amounts due thereunder promptly upon determination by a Responsible Officer of the Trustee that such Permitted Investment would not constitute a Permitted Investment in respect of funds thereafter on deposit in the Investment Account.
(b) All income and gain realized from the investment of funds deposited in the Collection Account and any REO Account held by or on behalf of the Servicer shall be for the benefit of the Servicer and shall be subject to its withdrawal in accordance with Section 3.11, Section 3.29 or Section 3.23, as applicable. The Servicer shall deposit in the Collection Account or any REO Account, as applicable, the amount of any loss of principal incurred in respect of any such Permitted Investment made with funds in such Account immediately upon realization of such loss.
(c) All income and gain realized from the investment of funds deposited in the Distribution Account shall be for the benefit of the Trustee. The Trustee shall deposit in the Distribution Account the amount of any loss of principal incurred in respect of any such
Permitted Investment made with funds in such Account immediately upon realization of such loss. Notwithstanding the foregoing, the Trustee may at its discretion, and without liability, hold the funds in the Distribution Account uninvested.
(d) Except as otherwise expressly provided in this Agreement, if any default occurs in the making of a payment due under any Permitted Investment, or if a default occurs in any other performance required under any Permitted Investment, the Trustee may and, subject to Section 8.01 and Section 8.02(a)(v), upon the request of the NIMS Insurer or the Holders of Certificates representing more than 50% of the Voting Rights allocated to any Class of Certificates, shall take such action as may be appropriate to enforce such payment or performance, including the institution and prosecution of appropriate proceedings.
(e) The Trustee or its Affiliates are permitted to receive additional compensation that could be deemed to be in the Trustee’s economic self-interest for (i) serving as investment adviser, administrator, shareholder servicing agent, custodian or sub-custodian with respect to certain of the Permitted Investments, (ii) using Affiliates to effect transactions in certain Permitted Investments and (iii) effecting transactions in certain Permitted Investments. Such compensation shall not be considered an amount that is reimbursable or payable to the Trustee pursuant to Section 3.11 or 3.12 or otherwise payable in respect of extraordinary Trust Fund expenses.
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SECTION 3.13 |
[Reserved]. |
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SECTION 3.14 |
Maintenance of Hazard Insurance and Errors and Omissions and Fidelity Coverage. |
(a) The Servicer shall cause to be maintained for each Mortgage Loan hazard insurance with extended coverage on the Mortgaged Property in an amount which is at least equal to the lesser of (i) the current Principal Balance of such Mortgage Loan and (ii) the amount necessary to fully compensate for any damage or loss to the improvements that are a part of such property on a replacement cost basis, in each case in an amount not less than such amount as is necessary to avoid the application of any coinsurance clause contained in the related hazard insurance policy. The Servicer shall also cause to be maintained hazard insurance with extended coverage on each REO Property in an amount which is at least equal to the lesser of (i) the maximum insurable value of the improvements which are a part of such property and (ii) the outstanding Principal Balance of the related Mortgage Loan at the time it became an REO Property. The Servicer will comply in the performance of this Agreement with all reasonable rules and requirements of each insurer under any such hazard policies. Any amounts to be collected by the Servicer under any such policies (other than amounts to be applied to the restoration or repair of the property subject to the related Mortgage or amounts to be released to the Mortgagor in accordance with the procedures that the Servicer would follow in servicing loans held for its own account, subject to the terms and conditions of the related Mortgage and Mortgage Note) shall be deposited in the Collection Account, subject to withdrawal pursuant to Section 3.11, if received in respect of a Mortgage Loan, or in the REO Account, subject to withdrawal pursuant to Section 3.23, if received in respect of an REO Property. Any cost incurred by the Servicer in maintaining any such insurance shall not, for the purpose of calculating distributions to Certificateholders, be added to the unpaid Principal Balance of the
related Mortgage Loan, notwithstanding that the terms of such Mortgage Loan so permit. It is understood and agreed that no earthquake or other additional insurance is to be required of any Mortgagor other than pursuant to such applicable laws and regulations as shall at any time be in force and as shall require such additional insurance. If the Mortgaged Property or REO Property is at any time in an area identified in the Federal Register by the Federal Emergency Management Agency as having special flood hazards and flood insurance has been made available, the Servicer will cause to be maintained a flood insurance policy in respect thereof. Such flood insurance shall be in an amount equal to the lesser of (i) the unpaid Principal Balance of the related Mortgage Loan 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 Servicer shall obtain and maintain a blanket policy 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 two sentences of this Section 3.14, it being understood and agreed that such policy may contain a deductible clause on terms substantially equivalent to those commercially available and maintained by competent servicers, in which case the Servicer shall, in the event that there shall not have been maintained on the related Mortgaged Property or REO Property a policy complying with the first two sentences of this Section 3.14, and there shall have been one or more losses which would have been covered by such policy, deposit to the Collection Account from its own funds the amount not otherwise payable under the blanket policy because of such deductible clause. In connection with its activities as servicer of the Mortgage Loans, the Servicer agrees to prepare and present, on behalf of itself, the Depositor, the Trustee and Certificateholders, claims under any such blanket policy in a timely fashion in accordance with the terms of such policy.
(b) The Servicer shall keep in force during the term of this Agreement a policy or policies of insurance covering errors and omissions for failure in the performance of the Servicer’s obligations under this Agreement, which policy or policies shall be in such form and amount that would meet the requirements of Xxxxxx Xxx or Xxxxxxx Mac if it were the purchaser of the Mortgage Loans, unless the Servicer has obtained a waiver of such requirements from Xxxxxx Mae or Xxxxxxx Mac. The Servicer shall provide the Trustee and the NIMS Insurer, upon request, with copies of such insurance policies and fidelity bond. The Servicer shall also maintain a fidelity bond in the form and amount that would meet the requirements of Xxxxxx Xxx or Xxxxxxx Mac, unless the Servicer has obtained a waiver of such requirements from Xxxxxx Mae or Xxxxxxx Mac. The Servicer shall be deemed to have complied with this provision if an Affiliate of the Servicer has such errors and omissions and fidelity bond coverage and, by the terms of such insurance policy or fidelity bond, the coverage afforded thereunder extends to the Servicer. Any such errors and omissions policy and fidelity bond shall by its terms not be cancelable without thirty days’ prior written notice to the Trustee and the NIMS Insurer. The Servicer shall also cause each Sub-Servicer to maintain a policy of insurance covering errors and omissions and a fidelity bond which would meet such requirements.
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SECTION 3.15 |
Enforcement of Due-On-Sale Clauses; Assumption Agreements. |
The Servicer will, to the extent it has knowledge of any conveyance or prospective conveyance of any Mortgaged Property by any Mortgagor (whether by absolute conveyance or by contract of sale, and whether or not the Mortgagor remains or is to remain liable under the Mortgage Note and/or the Mortgage), exercise its rights to accelerate the maturity of such Mortgage Loan under the “due-on-sale” clause, if any, applicable thereto; provided, however, that the Servicer shall not be required to take such action if in its sole business judgment the Servicer believes it is not in the best interests of the Trust Fund and shall not exercise any such rights if prohibited by law from doing so. If the Servicer reasonably believes it is unable under applicable law to enforce such “due-on-sale” clause, or if any of the other conditions set forth in the proviso to the preceding sentence apply, the Servicer will enter into an assumption and modification agreement from or with the person to whom such property has been conveyed or is proposed to be conveyed, pursuant to which such person becomes liable under the Mortgage Note and, to the extent permitted by applicable state law, the Mortgagor remains liable thereon. The Servicer is also authorized, to the extent permitted under the related Mortgage Note, to enter into a substitution of liability agreement with such person, pursuant to which the original Mortgagor is released from liability and such person is substituted as the Mortgagor and becomes liable under the Mortgage Note, provided that no such substitution shall be effective unless such person satisfies the current underwriting criteria of the Servicer for a mortgage loan similar to the related Mortgage Loan. In connection with any assumption, modification or substitution, the Servicer shall apply such underwriting standards and follow such practices and procedures as shall be normal and usual in its general mortgage servicing activities and as it applies to other mortgage loans owned solely by it. The Servicer shall not take or enter into any assumption and modification agreement, however, unless (to the extent practicable in the circumstances) it shall have received confirmation, in writing, of the continued effectiveness of any applicable hazard insurance policy. Any fee collected by the Servicer in respect of an assumption, modification or substitution of liability agreement shall be retained by the Servicer as additional servicing compensation. In connection with any such assumption, no material term of the Mortgage Note (including but not limited to the related Mortgage Rate and the amount of the Monthly Payment) may be amended or modified, except as otherwise required pursuant to the terms thereof. The Servicer shall notify the Trustee that any such substitution, modification or assumption agreement has been completed by forwarding to the Trustee the executed original of such substitution, modification or assumption agreement, which document shall be added to the related Mortgage File and shall, for all purposes, be considered a part of such Mortgage File to the same extent as all other documents and instruments constituting a part thereof.
Notwithstanding the foregoing paragraph or any other provision of this Agreement, the Servicer shall not be deemed to be in default, breach or any other violation of its obligations hereunder by reason of any assumption of a Mortgage Loan by operation of law or by the terms of the Mortgage Note or any assumption which the Servicer may be restricted by law from preventing, for any reason whatsoever. For purposes of this Section 3.15, the term “assumption” is deemed to also include a sale (of the Mortgaged Property) subject to the Mortgage that is not accompanied by an assumption or substitution of liability agreement.
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SECTION 3.16 |
Realization Upon Defaulted Mortgage Loans. |
(a) The Servicer shall use its reasonable efforts, consistent with the Servicing Standard, to foreclose upon or otherwise comparably convert 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. Title to any such property shall be taken in the name of the Trustee or its nominee, on behalf of the Certificateholders, subject to applicable law. The Servicer shall be responsible for all costs and expenses incurred by it in any such proceedings; provided, however, that such costs and expenses will be recoverable as Servicing Advances by the Servicer as contemplated in Section 3.11(a) and Section 3.23. The foregoing is subject to the provision that, in any case in which a Mortgaged Property shall have suffered damage from an Uninsured Cause, the Servicer shall not be required to expend its own funds toward the restoration of such property unless it shall determine in its discretion that such restoration will increase the proceeds of liquidation of the related Mortgage Loan after reimbursement to itself for such expenses.
(b) Notwithstanding the foregoing provisions of this Section 3.16 or any other provision of this Agreement, with respect to any Mortgage Loan as to which the Servicer has received actual notice of, or has actual knowledge of, the presence of any toxic or hazardous substance on the related Mortgaged Property, the Servicer shall not, on behalf of the Trustee, either (i) obtain title to such Mortgaged Property as a result of or in lieu of foreclosure or otherwise, or (ii) otherwise acquire possession of, or take any other action with respect to, such Mortgaged Property, if, as a result of any such action, the Trustee, the Trust Fund or the Certificateholders would be considered to hold title to, to be a “mortgagee-in-possession” of, or to be an “owner” or “operator” of such Mortgaged Property within the meaning of the Comprehensive Environmental Response, Compensation and Liability Act of 1980, as amended from time to time, or any comparable law, unless the Servicer has also previously determined, based on its reasonable judgment and a report prepared by a Person who regularly conducts environmental audits using customary industry standards, that:
(A) such Mortgaged Property is in compliance with applicable environmental laws or, if not, that it would be in the best economic interest of the Trust Fund to take such actions as are necessary to bring the Mortgaged Property into compliance therewith; and
(B) there are no circumstances present at such Mortgaged Property relating to the use, management or disposal of any hazardous substances, hazardous materials, hazardous wastes, or petroleum-based materials for which investigation, testing, monitoring, containment, clean-up or remediation could be required under any federal, state or local law or regulation, or that if any such materials are present for which such action could be required, that it would be in the best economic interest of the Trust Fund to take such actions with respect to the affected Mortgaged Property.
Notwithstanding the foregoing, if such environmental audit reveals, or if the Servicer has actual knowledge or notice, that such Mortgaged Property contains such wastes or substances, the Servicer shall not foreclose or accept a deed in lieu of foreclosure without the prior written consent of the NIMS Insurer.
The cost of the environmental audit report contemplated by this Section 3.16 shall be advanced by the Servicer, subject to the Servicer’s right to be reimbursed therefor from the Collection Account as provided in Section 3.11(a)(vii), such right of reimbursement being prior to the rights of Certificateholders to receive any amount in the Collection Account received in respect of the affected Mortgage Loan or other Mortgage Loans.
If the Servicer determines, as described above, that it is in the best economic interest of the Trust Fund to take such actions as are necessary to bring any such Mortgaged Property into compliance with applicable environmental laws, or to take such action with respect to the containment, clean-up or remediation of hazardous substances, hazardous materials, hazardous wastes or petroleum-based materials affecting any such Mortgaged Property, then the Servicer shall take such action as it deems to be in the best economic interest of the Trust Fund; provided that any amounts disbursed by the Servicer pursuant to this Section 3.16(b) shall constitute Servicing Advances, subject to Section 4.04(d). The cost of any such compliance, containment, clean-up or remediation shall be advanced by the Servicer, subject to the Servicer’s right to be reimbursed therefor from the Collection Account as provided in Section 3.11(a)(vii), such right of reimbursement being prior to the rights of Certificateholders to receive any amount in the Collection Account received in respect of the affected Mortgage Loan or other Mortgage Loans.
(c) The Servicer may, at its option, purchase a Mortgage Loan which has become 90 or more days delinquent or for which the Servicer has accepted a deed in lieu of foreclosure. Prior to purchase pursuant to this Section 3.16(c), the Servicer shall be required to continue to make Advances pursuant to Section 4.04. The Servicer shall not use any procedure in selecting Mortgage Loans to be repurchased which is materially adverse to the interests of the Certificateholders. The Servicer shall purchase such delinquent Mortgage Loan at a price equal to the Purchase Price of such Mortgage Loan. Any such purchase of a Mortgage Loan pursuant to this Section 3.16(c) shall be accomplished by deposit in the Collection Account of the amount of the Purchase Price. Upon the satisfaction of the requirements set forth in Section 3.17(a), the Trustee shall immediately deliver the Mortgage File and any related documentation to the Servicer and will execute such documents provided to it as are necessary to convey the Mortgage Loan to the Servicer.
(d) Proceeds received in connection with any Final Recovery Determination, as well as any recovery resulting from a partial collection of Insurance Proceeds, Liquidation Proceeds or condemnation proceeds, in respect of any Mortgage Loan, will be applied in the following order of priority: first, to unpaid Servicing Fees; second, to reimburse the Servicer or any Sub-Servicer for any related unreimbursed Servicing Advances pursuant to Section 3.11(a)(iii) and Advances pursuant to Section 3.11(a)(ii); third, to accrued and unpaid interest on the Mortgage Loan, to the date of the Final Recovery Determination, or to the Due Date prior to the Distribution Date on which such amounts are to be distributed if not in connection with a Final Recovery Determination; and fourth, as a recovery of principal of the Mortgage Loan. The portion of the recovery so allocated to unpaid Servicing Fees shall be reimbursed to the Servicer or any Sub-Servicer pursuant to Section 3.11(a)(iii).
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SECTION 3.17 |
Trustee to Cooperate; Release of Mortgage Files. |
(a) Upon the payment in full of any Mortgage Loan, or the receipt by the Servicer of a notification that payment in full shall be escrowed in a manner customary for such purposes, the Servicer shall deliver to the Custodian, in written (with two executed copies) or electronic format, a Request for Release in the form of Exhibit E hereto (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 Collection Account pursuant to Section 3.10 have been or will be so deposited) signed by a Servicing Officer (or in a mutually agreeable electronic format that will, in lieu of a signature on its face, originate from a Servicing Officer) and shall request delivery to it or its designee of the Mortgage File. Upon receipt of such certification and request, the Custodian, pursuant to the Custodial Agreement, shall release the related Mortgage File to the Servicer or its designee (which, shall be sent by overnight mail at the Servicer’s expense) and the Servicer is authorized to cause the removal from the registration on the MERS® System of any such Mortgage Loan, if applicable. Except as otherwise provided herein, no expenses incurred in connection with any instrument of satisfaction or deed of reconveyance shall be chargeable to the Collection Account or the Distribution Account.
(b) From time to time and as appropriate for the servicing or foreclosure of any Mortgage Loan, including, for this purpose, collection under any insurance policy relating to the Mortgage Loans, the Custodian, pursuant tot eh Custodial Agreement, shall, upon any request made by or on behalf of the Servicer and delivery to the Custodian of two executed copies of a written Request for Release in the form of Exhibit E hereto signed by a Servicing Officer (or in a mutually agreeable electronic format that will, in lieu of a signature on its face, originate from a Servicing Officer), release the related Mortgage File to the Servicer or its designee within three Business Days, which, shall be sent by overnight mail, at the expense of the Servicer or the related Mortgagor, and the Trustee (or the Custodian on behalf of the Trustee) shall, at the written direction of the Servicer, execute such documents provided to it by the Servicer as shall be necessary to the prosecution of any such proceedings. Such Request for Release shall obligate the Servicer to return each and every document previously requested from the Mortgage File to the Trustee (or the Custodian on behalf of the Trustee) when the need therefor by the Servicer no longer exists, unless the Mortgage Loan has been liquidated and the Liquidation Proceeds relating to the Mortgage Loan have been deposited in the Collection Account or the Mortgage File or such document 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 Servicer has delivered, or caused to be delivered, to the Custodian an additional Request for Release certifying as to such liquidation or action or proceedings. Upon the request of the Trustee (or the Custodian on behalf of the Trustee), the Servicer shall provide notice to the Trustee (or the Custodian on behalf of the Trustee) of 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. Upon receipt of a Request for Release, in written (with two executed copies) or electronic format (or in a mutually agreeable electronic format that will, in lieu of a signature on its face, originate from a Servicing Officer), from a Servicing Officer stating that such Mortgage Loan was liquidated and that all amounts received or to be received in connection with such liquidation that are required to be deposited into the Collection Account have been so deposited, or that such Mortgage Loan has become an REO Property, such Mortgage Loan shall
be released by the Trustee (or the Custodian on behalf of the Trustee) to the Servicer or its designee within three Business Days.
(c) Upon written certification of a Servicing Officer, the Trustee (or the Custodian on behalf of the Trustee) shall execute and deliver to the Servicer or the Sub-Servicer, as the case may be, copies of 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. Each such certification shall include a request that such pleadings or documents be executed by the Trustee (or the Custodian on behalf of the Trustee) and a statement as to the reason such documents or pleadings are required and that the execution and delivery thereof by the Trustee (or the Custodian on behalf of the Trustee) will not 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.
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SECTION 3.18 |
Servicing Compensation. |
As compensation for its activities hereunder, the Servicer shall be entitled to the Servicing Fee with respect to each Mortgage Loan payable solely from payments of interest in respect of such Mortgage Loan, subject to Section 3.24. In addition, the Servicer shall be entitled to recover unpaid Servicing Fees out of Insurance Proceeds, Liquidation Proceeds or condemnation proceeds to the extent permitted by Section 3.11(a)(iii) and out of amounts derived from the operation and sale of an REO Property to the extent permitted by Section 3.23. Except as provided in Section 3.29, the right to receive the Servicing Fee may not be transferred in whole or in part except in connection with the transfer of all of the Servicer’s responsibilities and obligations under this Agreement; provided, however, that the Servicer may pay from the Servicing Fee any amounts due to a Sub-Servicer pursuant to a Sub-Servicing Agreement entered into under Section 3.02.
Additional servicing compensation in the form of assumption fees, late payment charges, insufficient funds charges, ancillary income or otherwise (other than Prepayment Charges) shall be retained by the Servicer only to the extent such fees or charges are received by the Servicer. The Servicer shall also be entitled pursuant to Section 3.11(a)(iv) to withdraw from the Collection Account and pursuant to Section 3.23(b) to withdraw from any REO Account, as additional servicing compensation, interest or other income earned on deposits therein, subject to Section 3.12 and Section 3.24. The Servicer shall be required to pay all expenses incurred by it in connection with its servicing activities hereunder (including premiums for the insurance required by Section 3.14, to the extent such premiums are not paid by the related Mortgagors or by a Sub-Servicer, and servicing compensation of each Sub-Servicer) and shall not be entitled to reimbursement therefor except as specifically provided herein.
The Servicer shall be entitled to any Prepayment Interest Excess, which it may withdraw from the Collection Account pursuant to Section 3.11(a)(ix).
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SECTION 3.19 |
Reports to the Trustee; Collection Account Statements. |
Not later than twenty days after each Distribution Date, the Servicer shall forward to the NIMS Insurer and, upon request, to the Trustee and the Depositor the most current available bank statement for the Collection Account. Copies of such statement shall be provided by the Trustee to any Certificateholder and to any Person identified to the Trustee as a prospective transferee of a Certificate, upon request at the expense of the requesting party, provided such statement is delivered by the Servicer to the Trustee.
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SECTION 3.20 |
Statement as to Compliance. |
The Servicer will deliver to the Trustee, the NIMS Insurer and the Depositor not later than March 15th of each calendar year, commencing in 2006, an Officers’ Certificate in the form attached hereto as Exhibit P stating, as to each signatory thereof, that (i) a review of the activities of the Servicer during the preceding calendar year and of performance under this Agreement has been made under such officers’ supervision and (ii) to the best of such officers’ knowledge, based on such review, the Servicer has fulfilled all of its obligations under this Agreement throughout such calendar year, or, if there has been a default in the fulfillment of any such obligation, specifying each such default known to such officer and the nature and status thereof. Copies of any such statement shall be provided by the Trustee to any Certificateholder and to any Person identified to the Trustee as a prospective transferee of a Certificate, upon request at the expense of the requesting party, provided such statement is delivered by the Servicer to the Trustee. In addition to the foregoing, the Servicer will, to the extent reasonable, give any other servicing information required by the Securities and Exchange Commission pursuant to applicable law. The Servicer shall indemnify and hold harmless the Depositor and its officers, directors and Affiliates from and against any actual losses, damages, penalties, fines, forfeitures, reasonable and necessary legal fees and related costs, judgments and other costs and expenses that such Person may sustain based upon a breach of the Servicer's obligations under this Section 3.20.
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SECTION 3.21 |
Independent Public Accountants’ Servicing Report. |
Not later than March 15th of each calendar year, commencing in 2006, the Servicer, at its expense, shall cause a nationally recognized firm of independent certified public accountants to furnish to the Servicer a report stating that (i) it has obtained a letter of representation regarding certain matters from the management of the Servicer which includes an assertion that the Servicer has complied with certain minimum residential mortgage loan servicing standards, identified in the Uniform Single Attestation Program for Mortgage Bankers established by the Mortgage Bankers Association of America, with respect to the servicing of residential mortgage loans during the most recently completed calendar year and (ii) on the basis of an examination conducted by such firm in accordance with standards established by the American Institute of Certified Public Accountants, such representation is fairly stated in all material respects, subject to such exceptions and other qualifications that may be appropriate. In rendering its report such firm may rely, as to matters relating to the direct servicing of residential mortgage loans by Sub-Servicers, upon comparable reports of firms of independent certified public accountants rendered on the basis of examinations conducted in accordance with the same
standards (rendered within one year of such report) with respect to those Sub-Servicers. Immediately upon receipt of such report, the Servicer shall furnish a copy of such report to the Trustee, the NIMS Insurer and each Rating Agency. Copies of such statement shall be provided by the Trustee to any Certificateholder upon request at the Servicer’s expense, provided that such statement is delivered by the Servicer to the Trustee.
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SECTION 3.22 |
Access to Certain Documentation; Filing of Reports by Trustee. |
(a) The Servicer shall provide to the Office of Thrift Supervision, the FDIC, and any other federal or state banking or insurance regulatory authority that may exercise authority over any Certificateholder, access to the documentation regarding the Mortgage Loans required by applicable laws and regulations. Such access shall be afforded without charge, but only upon reasonable request and during normal business hours at the offices of the Servicer designated by it. In addition, access to the documentation regarding the Mortgage Loans will be provided to the Trustee, the NIMS Insurer and to any Person identified to the Servicer as a prospective transferee of a Certificate, upon reasonable request during normal business hours at the offices of the Servicer designated by it, at the expense of the Person requesting such access.
(b) (i) The Trustee and the Servicer shall reasonably cooperate with the Depositor in connection with the Trust’s satisfying the reporting requirements under the Securities Exchange Act of 1934, as amended (the “Exchange Act”). The Trustee shall prepare on behalf of the Trust any Forms 8-K and 10-K customary for similar securities as required by the Exchange Act and the Rules and Regulations of the Securities and Exchange Commission thereunder, and the Depositor shall sign (or shall cause another entity acceptable to the Securities and Exchange Commission to sign) and the Trustee shall file (via the Securities and Exchange Commission’s Electronic Data Gathering and Retrieval System) such forms on behalf of the Depositor (or such other entity). The Depositor hereby grants to the Trustee a limited power of attorney to execute any Form 8-K and file each such document on behalf of the Depositor. Such power of attorney shall continue until the earlier of (i) receipt by the Trustee from the Depositor of written termination of such power of attorney and (ii) the termination of the Trust. Notwithstanding anything herein to the contrary, the Depositor, and not the Trustee, shall be responsible for executing each Form 10-K filed on behalf of the Trust.
(ii) Each Form 8-K shall be filed by the Trustee within 10 days after each Distribution Date, with a copy of the statement to the Certificateholders for such Distribution Date as an exhibit thereto. Subject to Section 3.22(b)(v), prior to March 30th of each year (or such earlier date as may be required by the Exchange Act and the Rules and Regulations of the Securities and Exchange Commission), the Trustee shall file a Form 10-K, in substance as required by applicable law or applicable Security and Exchange Commission interpretations. The Trustee shall prepare such Form 10-K and provide the Depositor with such Form 10-K not later than March 20th of each year, subject to Section 3.22(b)(v). Following its receipt thereof, the Depositor shall execute such Form 10-K and provide the original of such Form 10-K to the Trustee not later than March 25th (or, if the applicable March 25th is not a Business Day, the next succeeding Business Day) of each year; provided, however, that if the filing of such Form 10-K shall be required to occur on a date earlier than March 30th of each year as may be required by the Exchange Act and the Rules and Regulations of the Securities and Exchange Commission,
then the time periods for preparation and execution of such Form 10-K set forth in this sentence shall be adjusted accordingly. Such Form 10-K when filed shall include as exhibits the Servicer’s annual statement of compliance described under Section 3.20 and the accountant’s report described under Section 3.21, in each case to the extent they have been timely delivered to the Trustee. If they are not so timely delivered, the Trustee shall file an amended Form 10-K including such documents as exhibits reasonably promptly after they are delivered to the Trustee. The Trustee shall have no liability with respect to any failure to properly prepare or file such periodic reports resulting from or relating to the Trustee’s inability or failure to obtain any information not resulting from its own negligence or willful misconduct. The Form 10-K shall also include a certification in the form attached hereto as Exhibit N-1 (the “Certification”), which shall be signed by the senior officer of the Depositor in charge of securitization.
(iii) In addition, (x) the Trustee shall sign a certification (in the form attached hereto as Exhibit N-2) for the benefit of the Depositor and its officers, directors and Affiliates regarding certain aspects of the Certification (the “Trustee Certification”); provided, however, that the Trustee shall not undertake an analysis of the accountant’s report attached as an exhibit to the Form 10-K, and (y) the Servicer shall sign a certification (in the form attached hereto as Exhibit N-3) for the benefit of the Depositor, the Trustee and their officers, directors and Affiliates regarding certain aspects of the Certification (the “Servicer Certification”). The Servicer Certification shall be delivered to the Depositor and the Trustee no later than March 15th or if such day is not a Business Day, the preceding Business Day, each year (subject to Section 3.22(b)(v) hereof).
In addition, (A) the Trustee shall indemnify and hold harmless the Depositor and its officers, directors and Affiliates from and against any actual losses, damages, penalties, fines, forfeitures, reasonable and necessary legal fees and related costs, judgments and other costs and expenses arising out of claims based upon a breach of the Trustee’s obligations under this Section 3.22(b) or any material misstatement or omission contained in the Trustee Certification, and (B) the Servicer shall indemnify and hold harmless the Depositor, the Trustee and their respective officers, directors and Affiliates from and against any actual losses, damages, penalties, fines, forfeitures, reasonable and necessary legal fees and related costs, judgments and other costs and expenses that such Person may sustain arising out of claims based upon a breach of the Servicer’s obligations under this Section 3.22(b)(iii), any material misstatement or omission contained in the Servicer’s Certification or any information correctly derived by the Trustee and included in a Form 8-K or Form 10-K from information provided to the Trustee by the Servicer under this Agreement. If the indemnification provided for herein is unavailable or insufficient to hold harmless the Depositor, then (i) the Trustee agrees that it shall contribute to the amount paid or payable by the Depositor as a result of the losses, claims, damages or liabilities of the Depositor in such proportion as is appropriate to reflect the relative fault of the Depositor on the one hand and the Trustee on the other and (ii) the Servicer agrees that it shall contribute to the amount paid or payable by the Depositor as a result of the losses, claims, damages or liabilities of the Depositor in such proportion as is appropriate to reflect the relative fault of the Depositor on the one hand and the Servicer on the other.
(iv) Upon any filing with the Securities and Exchange Commission, the Trustee shall promptly deliver to the Depositor a copy of any executed report, statement or information.
(v) Prior to January 30 of the first year in which the Trustee is able to do so under applicable law, the Trustee shall file a Form 15 Suspension Notification with respect to the Trust.
(vi) To the extent that, following the Closing Date, the Depositor certifies that reports and certifications differing from those required under this Section 3.22(b) comply with the reporting requirements under the Exchange Act, the Trustee and the Servicer hereby agree that they will reasonably cooperate to amend the provisions of this Section 3.22(b) in order to comply with such amended reporting requirements and such amendment of this Section 3.22(b); provided, however, that the Trustee shall not be responsible for executing any Form 10-K or the Certification. Any such amendment may result in the reduction of the reports filed by the Depositor under the Exchange Act.
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SECTION 3.23 |
Title, Management and Disposition of REO Property. |
(a) The deed or certificate of sale of any REO Property shall, subject to applicable laws, be taken in the name of the Trustee, or its nominee, in trust for the benefit of the Certificateholders. The Servicer, on behalf of REMIC 1, shall sell any REO Property as soon as practicable and in any event no later than the end of the third full taxable year after the taxable year in which such REMIC acquires ownership of such REO Property for purposes of Section 860G(a)(8) of the Code or request from the Internal Revenue Service, no later than 60 days before the day on which the three-year grace period would otherwise expire, an extension of such three-year period, unless the Servicer shall have delivered to the Trustee and the NIMS Insurer an Opinion of Counsel acceptable to the NIMS Insurer and addressed to the Trustee, the NIMS Insurer and the Depositor, to the effect that the holding by the REMIC of such REO Property subsequent to three years after its acquisition will not result in the imposition on the REMIC of taxes on “prohibited transactions” thereof, as defined in Section 860F of the Code, or cause any of the REMICs created hereunder to fail to qualify as a REMIC under Federal law at any time that any Certificates are outstanding. The Servicer shall manage, conserve, protect and operate each REO Property for the Certificateholders solely for the purpose of its prompt disposition and sale in a manner which does not cause such REO Property to fail to qualify as “foreclosure property” within the meaning of Section 860G(a)(8) of the Code or result in the receipt by any of the REMICs created hereunder of any “income from non-permitted assets” within the meaning of Section 860F(a)(2)(B) of the Code, or any “net income from foreclosure property” which is subject to taxation under the REMIC Provisions.
(b) The Servicer shall separately account for all funds collected and received in connection with the operation of any REO Property and shall establish and maintain, or cause to be established and maintained, with respect to REO Properties an account held in trust for the Trustee for the benefit of the Certificateholders (the “REO Account”), which shall be an Eligible Account. The Servicer shall be permitted to allow the Collection Account to serve as the REO Account, subject to separate ledgers for each REO Property. The Servicer shall be entitled to retain or withdraw any interest income paid on funds deposited in the REO Account.
(c) The Servicer shall have full power and authority, subject only to the specific requirements and prohibitions of this Agreement, to do any and all things in connection
with any REO Property as are consistent with the manner in which the Servicer manages and operates similar property owned by the Servicer or any of its Affiliates, all on such terms and for such period (subject to the requirement of prompt disposition set forth in Section 3.23(a)) as the Servicer deems to be in the best interests of Certificateholders. In connection therewith, the Servicer shall deposit, or cause to be deposited in the REO Account, in no event more than two Business Days after the Servicer’s receipt thereof, all revenues received by it with respect to an REO Property and shall withdraw therefrom funds necessary for the proper operation, management and maintenance of such REO Property including, without limitation:
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(i) |
all insurance premiums due and payable in respect of such REO Property; |
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(ii) |
all real estate taxes and assessments in respect of such REO Property that may result in the imposition of a lien thereon; and |
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(iii) |
all costs and expenses necessary to maintain, operate and dispose of such REO Property. |
To the extent that amounts on deposit in the REO Account with respect to an REO Property are insufficient for the purposes set forth in clauses (i) through (iii) above with respect to such REO Property, the Servicer shall advance from its own funds such amount as is necessary for such purposes if, but only if, the Servicer would make such advances if the Servicer owned the REO Property and if in the Servicer’s judgment, the payment of such amounts will be recoverable from the rental or sale of the REO Property.
Notwithstanding the foregoing, neither the Servicer nor the Trustee shall:
(A) authorize the Trust Fund to enter into, renew or extend any New Lease with respect to any REO Property, if the New Lease by its terms will give rise to any income that does not constitute Rents from Real Property;
(B) authorize any amount to be received or accrued under any New Lease other than amounts that will constitute Rents from Real Property;
(C) authorize any construction on any REO Property, other than the completion of a building or other improvement thereon, and then only if more than ten percent of the construction of such building or other improvement was completed before default on the related Mortgage Loan became imminent, all within the meaning of Section 856(e)(4)(B) of the Code; or
(D) authorize any Person to Directly Operate any REO Property on any date more than 90 days after its date of acquisition by the Trust Fund;
unless, in any such case, the Servicer has obtained an Opinion of Counsel, provided to the Trustee and the NIMS Insurer, to the effect that such action will not cause such REO Property to fail to qualify as “foreclosure property” within the meaning of Section 860G(a)(8) of the Code at any time that it is held by the REMIC, in which case the Servicer may take such actions as are specified in such Opinion of Counsel.
The Servicer may contract with any Independent Contractor for the operation and management of any REO Property, provided that:
(A) the terms and conditions of any such contract shall not be inconsistent herewith;
(B) any such contract shall require, or shall be administered to require, that the Independent Contractor pay all costs and expenses incurred in connection with the operation and management of such REO Property, including those listed above and remit all related revenues (net of such costs and expenses) to the Servicer as soon as practicable, but in no event later than thirty days following the receipt thereof by such Independent Contractor;
(C) none of the provisions of this Section 3.23(c) relating to any such contract or to actions taken through any such Independent Contractor shall be deemed to relieve the Servicer of any of its duties and obligations to the Trustee on behalf of the Certificateholders with respect to the operation and management of any such REO Property; and
(D) the Servicer shall be obligated with respect thereto to the same extent as if it alone were performing all duties and obligations in connection with the operation and management of such REO Property.
The Servicer shall be entitled to enter into any agreement with any Independent Contractor performing services for it related to its duties and obligations hereunder for indemnification of the Servicer by such Independent Contractor, and nothing in this Agreement shall be deemed to limit or modify such indemnification. The Servicer shall be solely liable for all fees owed by it to any such Independent Contractor, irrespective of whether the Servicer’s compensation pursuant to Section 3.18 is sufficient to pay such fees; provided, however, that to the extent that any payments made by such Independent Contractor would constitute Servicing Advances if made by the Servicer, such amounts shall be reimbursable as Servicing Advances made by the Servicer.
(d) In addition to the withdrawals permitted under Section 3.23(c), the Servicer may from time to time make withdrawals from the REO Account for any REO Property: (i) to pay itself or any Sub-Servicer unpaid Servicing Fees in respect of the related Mortgage Loan; and (ii) to reimburse itself or any Sub-Servicer for unreimbursed Servicing Advances and Advances made in respect of such REO Property or the related Mortgage Loan. On the Servicer Remittance Date, the Servicer shall withdraw from each REO Account maintained by it and deposit into the Distribution Account in accordance with Section 3.10(d)(ii), for distribution on the related Distribution Date in accordance with Section 4.01, the income from the related REO Property received during the prior calendar month, net of any withdrawals made pursuant to Section 3.23(c) or this Section 3.23(d).
(e) Subject to the time constraints set forth in Section 3.23(a), each REO Disposition shall be carried out by the Servicer in a manner, at such price and upon such terms and conditions as shall be normal and usual in the Servicing Standard.
(f) The proceeds from the REO Disposition, net of any amount required by law to be remitted to the Mortgagor under the related Mortgage Loan and net of any payment or reimbursement to the Servicer or any Sub-Servicer as provided above, shall be deposited in the Distribution Account in accordance with Section 3.10(d)(ii) on the Servicer Remittance Date in the month following the receipt thereof for distribution on the related Distribution Date in accordance with Section 4.01. Any REO Disposition shall be for cash only (unless changes in the REMIC Provisions made subsequent to the Startup Day allow a sale for other consideration).
(g) The Servicer shall file information returns with respect to the receipt of mortgage interest received in a trade or business, reports of foreclosures and abandonments of any Mortgaged Property and cancellation of indebtedness income with respect to any Mortgaged Property as required by the Code. Such reports shall be in form and substance sufficient to meet the reporting requirements of the Code.
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SECTION 3.24 |
Obligations of the Servicer in Respect of Prepayment Interest Shortfalls. |
Not later than 1:00 p.m. New York time on each Servicer Remittance Date, the Servicer shall remit to the Distribution Account an amount (“Compensating Interest”) equal to the lesser of (A) the aggregate of the Prepayment Interest Shortfalls for the related Distribution Date and (B) its aggregate Servicing Fee received in the related Due Period. The Servicer shall not have the right to reimbursement for any amounts remitted to the Trustee in respect of Compensating Interest. Such amounts so remitted shall be included in the Available Funds and distributed therewith on the next Distribution Date. The Servicer shall not be obligated to pay Compensating Interest with respect to Relief Act Interest Shortfalls.
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SECTION 3.25 |
[Reserved]. |
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SECTION 3.26 |
Obligations of the Servicer in Respect of Mortgage Rates and Monthly Payments. |
In the event that a shortfall in any collection on or liability with respect to the Mortgage Loans in the aggregate results from or is attributable to adjustments to Mortgage Rates, Monthly Payments or Stated Principal Balances that were made by the Servicer in a manner not consistent with the terms of the related Mortgage Note and this Agreement, the Servicer, upon discovery or receipt of notice thereof, immediately shall deposit in the Collection Account from its own funds the amount of any such shortfall and shall indemnify and hold harmless the Trust Fund, the Trustee, the Depositor and any successor servicer in respect of any such liability. Such indemnities shall survive the termination or discharge of this Agreement. Notwithstanding the foregoing, this Section 3.26 shall not limit the ability of the Servicer to seek recovery of any such amounts from the related Mortgagor under the terms of the related Mortgage Note, as permitted by law.
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SECTION 3.27 |
[Reserved]. |
|
SECTION 3.28 |
[Reserved]. |
|
SECTION 3.29 |
Advance Facility. |
The Servicer, with the consent of the NIMS Insurer, is hereby authorized to enter into a financing or other facility (any such arrangement, an “Advance Facility”) under which (1) the Servicer sells, assigns or pledges to another Person (together with such Person’s successors and assigns, an “Advancing Person”) the Servicer’s rights under this Agreement to be reimbursed for any Advances or Servicing Advances and/or (2) an Advancing Person agrees to fund some or all Advances and/or Servicing Advances required to be made by the Servicer pursuant to this Agreement. No consent of the Depositor, the Trustee, the Certificateholders or any other party (other than the NIMS Insurer consent) shall be required before the Servicer may enter into an Advance Facility. The Servicer shall notify the NIMS Insurer and each other party to this Agreement prior to or promptly after entering into or terminating any Advance Facility. Notwithstanding the existence of any Advance Facility under which an Advancing Person agrees to fund Advances and/or Servicing Advances on the Servicer’s behalf, the Servicer shall remain obligated pursuant to this Agreement to make Advances and Servicing Advances pursuant to and as required by this Agreement. If the Servicer enters into an Advance Facility, and for so long as an Advancing Person remains entitled to receive reimbursement for any Advances including Nonrecoverable Advances (“Advance Reimbursement Amounts”) and/or Servicing Advances including Nonrecoverable Advances (“Servicing Advance Reimbursement Amounts” and together with Advance Reimbursement Amounts, “Reimbursement Amounts”) (in each case to the extent such type of Reimbursement Amount is included in the Advance Facility), as applicable, pursuant to this Agreement, then the Servicer shall identify such Reimbursement Amounts consistent with the reimbursement rights set forth in Section 3.11(a)(ii), (iii), (vi) and (vii) and remit such Reimbursement Amounts in accordance with Section 3.10(b) or otherwise in accordance with the documentation establishing the Advance Facility to such Advancing Person or to a trustee, agent or custodian (an “Advance Facility Trustee”) designated by such Advancing Person. Notwithstanding the foregoing, if so required pursuant to the terms of the Advance Facility, the Servicer may direct, and if so directed the Trustee is hereby authorized to and shall pay to the Advance Facility Trustee the Reimbursement Amounts identified pursuant to the preceding sentence. Notwithstanding anything to the contrary herein, in no event shall Advance Reimbursement Amounts or Servicing Advance Reimbursement Amounts be included in the Available Funds or distributed to Certificateholders.
If the terms of a facility proposed to be entered into with an Advancing Person by the Trust Fund would not materially and adversely affect the interests of any Certificateholder, then the NIMS Insurer shall not withhold its consent to the Trust Fund’s entering such facility.
Reimbursement Amounts shall consist solely of amounts in respect of Advances and/or Servicing Advances made with respect to the Mortgage Loans for which the Servicer would be permitted to reimburse itself in accordance with this Agreement, assuming the Servicer or the Advancing Person had made the related Advance(s) and/or Servicing Advance(s). Notwithstanding the foregoing, except with respect to reimbursement of Nonrecoverable Advances as set forth in this Agreement, no Person shall be entitled to reimbursement from funds
held in the Collection Account for future distribution to Certificateholders pursuant to this Agreement. None of the Depositor or the Trustee shall have any duty or liability with respect to the calculation of any Reimbursement Amount, nor shall the Depositor or the Trustee have any responsibility to track or monitor the administration of the Advance Facility or the payment of Reimbursement Amounts to the related Advancing Person or Advance Facility Trustee. The Servicer shall maintain and provide to any successor servicer and (upon request) the Trustee a detailed accounting on a loan by loan basis as to amounts advanced by, sold, pledged or assigned to, and reimbursed to any Advancing Person. The successor servicer shall be entitled to rely on any such information provided by the predecessor servicer, and the successor servicer shall not be liable for any errors in such information. Any successor Servicer shall reimburse the predecessor Servicer and itself for outstanding Advances and Servicing Advances, respectively, with respect to each Mortgage Loan on a first in, first out (“FIFO”) basis; provided that the successor Servicer has received prior written notice from the predecessor Servicer or the Advancing Person of reimbursement amounts owed to the predecessor Servicer. Liquidation Proceeds with respect to a Mortgage Loan shall be applied to reimburse Advances outstanding with respect to that Mortgage Loan before being applied to reimburse Servicing Advances outstanding with respect to that Mortgage Loan.
An Advancing Person who receives an assignment or pledge of the rights to be reimbursed for Advances and/or Servicing Advances, and/or whose obligations hereunder are limited to the funding or purchase of Advances and/or Servicing Advances shall not be required to meet the criteria for qualification of a subservicer set forth in this Agreement.
Upon the direction of and at the expense of the Servicer, the Trustee agrees to execute such acknowledgments provided by the Servicer recognizing the interests of any Advance Facility Trustee in such Reimbursement Amounts as the Servicer may cause to be made subject to Advance Facilities pursuant to this Section 3.29.
The Servicer shall remain entitled to be reimbursed for all Advances and Servicing Advances funded by the Servicer to the extent the related rights to be reimbursed therefor have not been sold, assigned or pledged to an Advancing Person.
The Servicer shall indemnify the Depositor, the Trustee, the NIMS Insurer, any successor servicer and the Trust Fund for any loss, liability or damage resulting from any claim by the related Advancing Person, except to the extent that such claim, loss, liability or damage resulted from or arose out of negligence, recklessness or willful misconduct or breach of its duties hereunder on the part of the Depositor, the Trustee, the NIMS Insurer or any successor servicer.
Any amendment to this Section 3.29 or to any other provision of this Agreement that may be necessary or appropriate to effect the terms of an Advance Facility as described generally in this Section 3.29, including amendments to add provisions relating to a successor servicer, may be entered into by the Trustee, the Depositor and the Servicer without the consent of any Certificateholder but with the consent of the NIMS Insurer, provided such amendment complies with Section 11.01 hereof. All reasonable costs and expenses (including attorneys’ fees) of each party hereto of any such amendment shall be borne solely by the Servicer. Prior to entering into an Advance Facility, the Servicer shall notify the Advancing Person in writing that:
(a) the Advances and/or Servicing Advances purchased, financed by and/or pledged to the Advancing Person are obligations owed to the Servicer on a non-recourse basis payable only from the cash flows and proceeds received under this Agreement for reimbursement of Advances and/or Servicing Advances only to the extent provided herein, and the Trustee and the Trust are not otherwise obligated or liable to repay any Advances and/or Servicing Advances financed by the Advancing Person and (b) the Trustee shall not have any responsibility to track or monitor the administration of the Advance Facility between the Servicer and the Advancing Person.
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SECTION 3.30 |
PMI Policy; Claims Under the PMI Policy. |
Notwithstanding anything to the contrary elsewhere in this Article III, the Servicer shall not agree to any modification or assumption of a PMI Mortgage Loan or take any other action with respect to a PMI Mortgage Loan that could result in denial of coverage under the PMI Policy. The Servicer shall notify the PMI Insurer that the Trustee, on behalf of the Trust, is the Insured, as that term is defined in the PMI Policy, of each PMI Mortgage Loan. The Servicer shall, on behalf of the Trust, prepare and file on a timely basis with the PMI Insurer, all claims which may be made under the PMI Policy with respect to the PMI Mortgage Loans. Consistent with all rights and obligations hereunder, the Servicer shall take all actions required of a servicer under the PMI Policy. Any amount received from the PMI Insurer with respect to any such PMI Mortgage Loan shall be deposited by the Servicer, no later than two Business Days following receipt thereof, into the Collection Account.
The Trustee is hereby directed to execute and deliver the PMI Policy, on behalf of the Trust, among the Trustee, the PMI Insurer and the Servicer for the benefit of the Trust Fund.
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SECTION 3.31 |
Solicitations. |
From and after the Closing Date, the Servicer agrees that it will not take
any action or permit or cause any action to be taken by any of its agents and Affiliates, or by any
independent contractors or independent mortgage brokerage companies on the Servicer's
behalf, to personally, by telephone, mail or electronic mail, solicit any Mortgagor for the purpose of refinancing such Mortgage Loan; provided, that the Servicer may solicit any Mortgagor if (i) the Servicer has received from such Mortgagor a request for verification of mortgage, a request for demand for payoff or a mortgagor initiated written or verbal communication indicating a desire to prepay the related Mortgage Loan, (ii) another mortgage company has requested such Mortgagor’s credit report or (iii) such Mortgagor initiates a title search; provided further, it is understood and agreed that promotions undertaken by the Servicer or any of its Affiliates which (i) concern optional insurance products or other additional products or (ii) are directed to the general public at large, including, without limitation, mass mailings based on commercially acquired mailing lists, newspaper, radio and television advertisements shall not constitute solicitation under this Section, nor is the Servicer prohibited from responding to unsolicited requests or inquiries made by a Mortgagor or an agent of a Mortgagor. Furthermore, the Servicer shall be permitted to include in its monthly statements to Mortgagors or otherwise, statements regarding the availability of the Servicer's counseling services with respect to refinancing mortgage loans.
ARTICLE IV
FLOW OF FUNDS
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SECTION 4.01 |
Distributions. |
(a) (I) On each Distribution Date, the Trustee shall, first, withdraw from the Distribution Account an amount equal to the Credit Risk Manager Fee for such Distribution Date and shall pay such amount to the Credit Risk Manager and, then, withdraw that portion of Available Funds for such Distribution Date consisting of the Group I Interest Remittance Amount for such Distribution Date, and make the following disbursements and transfers in the order of priority described below, in each case to the extent of the Group I Interest Remittance Amount remaining for such Distribution Date:
|
(i) |
to the Holders of the Group I Certificates, the Monthly Interest Distributable Amount and the Unpaid Interest Shortfall Amount, if any, for such Class; and |
|
(ii) |
concurrently, to the Holders of the Group II Certificates, on a pro rata basis based on the entitlement of each such Class, an amount equal to the excess, if any, of (x) the amount required to be distributed pursuant to Section 4.01(a)(II)(i) below for such Distribution Date over (y) the amount actually distributed pursuant to such clause from the Group II Interest Remittance Amount. |
(II) On each Distribution Date the Trustee shall withdraw from the Distribution Account that portion of Available Funds for such Distribution Date consisting of the Group II Interest Remittance Amount for such Distribution Date, and make the following disbursements and transfers in the order of priority described below, in each case to the extent of the Group II Interest Remittance Amount remaining for such Distribution Date.
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(i) |
concurrently, to the Holders of the Group II Certificates, on a pro rata basis based on the entitlement of each such Class, the Monthly Interest Distributable Amount and the Unpaid Interest Shortfall Amount, if any, for each such Class; and |
|
(ii) |
to the Holders of the Group I Certificates, an amount equal to the excess, if any, of (x) the amount required to be distributed pursuant to Section 4.01(a)(I)(i) above for such Distribution Date over (y) the amount actually distributed pursuant to such clause from the Group I Interest Remittance Amount. |
(III) On each Distribution Date, distributions to the extent of the sum of the Group I Interest Remittance Amount and the Group II Interest Remittance Amount remaining undistributed for such Distribution Date shall be distributed first to the Holders of the Class A-6 Certificates in an amount equal to the Monthly Interest Distributable Amount and the Unpaid Interest Shortfall Amount, if any, for such class and then, sequentially, to the Holders of the
Class M-1 Certificates, the Class M-2 Certificates, the Class M-3 Certificates, the Class M-4 Certificates, the Class M-5 Certificates, the Class M-6 Certificates, the Class M-7 Certificates, the Class M-8 Certificates and the Class M-9 Certificates, in that order, in an amount equal to the Monthly Interest Distributable Amount for each such Class.
(b) (I) On each Distribution Date (a) prior to the Stepdown Date or (b) on which a Trigger Event is in effect, distributions in respect of principal to the extent of the Group I Principal Distribution Amount shall be made in the following amounts and order of priority:
|
(i) |
first, to the Holders of the Group I Certificates, until the Certificate Principal Balance thereof has been reduced to zero; and |
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(ii) |
second, after taking into account the amount distributed to the Holders of the Group II Certificates pursuant to Section 4.01(b)(II)(i) below on such Distribution Date, to the Holders of the Group II Certificates (allocated among the Group II Certificates in the priority described below), until the Certificate Principal Balances thereof have been reduced to zero. |
(II) On each Distribution Date (a) prior to the Stepdown Date or (b) on which a Trigger Event is in effect, distributions in respect of principal to the extent of the Group II Principal Distribution Amount shall be made in the following amounts and order of priority:
|
(i) |
first, to the Holders of the Group II Certificates (allocated among Group II Certificates in the priority described below), until the Certificate Principal Balances thereof have been reduced to zero; and |
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(ii) |
second, after taking into account the amount distributed to the Holders of the Group I Certificates pursuant to Section 4.01(b)(I)(i) above on such Distribution Date, to the Holders of the Group I Certificates, until the Certificate Principal Balance thereof has been reduced to zero. |
(III) On each Distribution Date (a) prior to the Stepdown Date or (b) on which a Trigger Event is in effect, distributions in respect of principal to the extent of the sum of the Group I Principal Distribution Amount and the Group II Principal Distribution Amount remaining undistributed for such Distribution Date shall be distributed sequentially, to the Holders of the Class A-6 Certificates, the Class M-1 Certificates, the Class M-2 Certificates, the Class M-3 Certificates, the Class M-4 Certificates, the Class M-5 Certificates, the Class M-6 Certificates, the Class M-7 Certificates, the Class M-8 Certificates and the Class M-9 Certificates, in that order, in each case, until the Certificate Principal Balance thereof has been reduced to zero.
(IV) On each Distribution Date (a) on or after the Stepdown Date and (b) on which a Trigger Event is not in effect, distributions in respect of principal to the extent of the Group I Principal Distribution Amount shall be made in the following amounts and order of priority:
|
(i) |
first, to the Holders of the Group I Certificates, the Group I Senior Principal Distribution Amount until the Certificate Principal Balance thereof has been reduced to zero; and |
|
(ii) |
second, to the Holders of the Group II Certificates (allocated among Group II Certificates in the priority described below), an amount equal to the excess, if any, of (x) the amount required to be distributed pursuant to Section 4.01(c)(V)(i) below for such Distribution Date over (y) the amount actually distributed pursuant to Section 4.01(c)(V)(i) below from the Group II Principal Distribution Amount on such Distribution Date. |
(V) On each Distribution Date (a) on or after the Stepdown Date and (b) on which a Trigger Event is not in effect, distributions in respect of principal to the extent of the Group II Principal Distribution Amount shall be made in the following amounts and order of priority:
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(i) |
first, to the Holders of the Group II Certificates (allocated among Group II Certificates in the priority described below), the Group II Senior Principal Distribution Amount until the Certificate Principal Balances thereof have been reduced to zero; and |
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(ii) |
second, to the Holders of the Group I Certificates, an amount equal to the excess, if any, of (x) the amount required to be distributed pursuant to Section 4.01(c)(IV)(i) above for such Distribution Date over (y) the amount actually distributed pursuant to Section 4.01(c)(IV)(i) above from the Group I Principal Distribution Amount on such Distribution Date. |
(VI) On each Distribution Date (a) on or after the Stepdown Date and (b) on which a Trigger Event is not in effect, distributions in respect of principal to the extent of the sum of the Group I Principal Distribution Amount and the Group II Principal Distribution Amount remaining undistributed for such Distribution Date shall be made in the following amounts and order of priority:
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(i) |
first, to the Holders of the Class A-6 Certificates, the Class A-6 Principal Distribution Amount until the Certificate Principal Balance thereof has been reduced to zero; |
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(ii) |
second, to the Holders of the Class M-1 Certificates, the Class M-1 Principal Distribution Amount until the Certificate Principal Balance thereof has been reduced to zero; |
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(iii) |
third, to the Holders of the Class M-2 Certificates, the Class M-2 Principal Distribution Amount until the Certificate Principal Balance thereof has been reduced to zero; |
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(iv) |
fourth, to the Holders of the Class M-3 Certificates, the Class M-3 Principal Distribution Amount until the Certificate Principal Balance thereof has been reduced to zero; |
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(v) |
fifth, to the Holders of the Class M-4 Certificates, the Class M-4 Principal Distribution Amount until the Certificate Principal Balance thereof has been reduced to zero; |
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(vi) |
sixth, to the Holders of the Class M-5 Certificates, the Class M-5 Principal Distribution Amount until the Certificate Principal Balance thereof has been reduced to zero; |
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(vii) |
seventh, to the Holders of the Class M-6 Certificates, the Class M-6 Principal Distribution Amount until the Certificate Principal Balance thereof has been reduced to zero; |
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(viii) |
eighth, to the Holders of the Class M-7 Certificates, the Class M-7 Principal Distribution Amount until the Certificate Principal Balance thereof has been reduced to zero; |
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(ix) |
ninth, to the Holders of the Class M-8 Certificates, the Class M-8 Principal Distribution Amount until the Certificate Principal Balance thereof has been reduced to zero; and |
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(x) |
tenth, to the Holders of the Class M-9 Certificates, the Class M-9 Principal Distribution Amount until the Certificate Principal Balance thereof has been reduced to zero. |
With respect to the Group II Certificates, all principal distributions will be distributed sequentially, first, to the Holders of the Class A-2 Certificates, until the Certificate Principal Balance of the Class A-2 Certificates has been reduced to zero; second, to the Holders of the Class A-3 Certificates, until the Certificate Principal Balance of the Class A-3 Certificates has been reduced to zero; third, to the Holders of the Class A-4 Certificates, until the Certificate Principal Balance of the Class A-4 Certificates has been reduced to zero and fourth, to the Holders of the Class A-5 Certificates, until the Certificate Principal Balance of the Class A-5 Certificates has been reduced to zero.
(c) On each Distribution Date, the Net Monthly Excess Cashflow shall be distributed as follows:
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(i) |
to the Holders of the Class or Classes of Certificates then entitled to receive distributions in respect of principal, in an amount equal to any Extra Principal Distribution Amount, distributable to such Holders as part of the Group I Principal Distribution Amount and/or the Group II Principal Distribution Amount as described under Section 4.01(b) above; |
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(ii) |
to the Holders of the Class A-6 Certificates, up to the Allocated Realized Loss Amount for such Class; |
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(iii) |
sequentially, to the Holders of the Class M-1 Certificates, Class M-2 Certificates, Class M-3 Certificates, Class M-4 Certificates, Class M-5 Certificates, Class M-6 Certificates, Class M-7 Certificates, Class M-8 |
Certificates and Class M-9 Certificates, in that order, in each case, first, up to the Unpaid Interest Shortfall Amount for each such Class and second, up to the Allocated Realized Loss Amount, for each such Class;
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(iv) |
to the Net WAC Rate Carryover Reserve Account, the aggregate of any Net WAC Rate Carryover Amounts for the Floating Rate Certificates which exceed the amounts received under the Cap Contract; |
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(v) |
to the Holders of the Class C Certificates, (a) the Monthly Interest Distributable Amount and any Overcollateralization Release Amount for such Distribution Date and (b) on any Distribution Date on which the Certificate Principal Balances of the Floating Rate Certificates have been reduced to zero, any remaining amounts in reduction of the Certificate Principal Balance of the Class C Certificates, until the Certificate Principal Balance thereof has been reduced to zero (and for federal and state income tax purposes, such total amounts shall be treated as amounts distributed by REMIC 2 to the Holder of the Class C Interest and by REMIC 3 to the Holder of the Class C Certificates); |
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(vi) |
if such Distribution Date follows the Prepayment Period during which occurs the latest date on which a Prepayment Charge may be required to be paid in respect of any Mortgage Loans, to the Holders of the Class P Certificates, in reduction of the Certificate Principal Balance thereof, until the Certificate Principal Balance thereof is reduced to zero (and for federal and state income tax purposes, such total amounts shall be treated as amounts distributed by REMIC 2 to the Holder of the Class P Interest and by REMIC 4 to the Holder of the Class P Certificates); and |
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(vii) |
any remaining amounts to the Holders of the Residual Certificates (in respect of the Class R-2 Interest). |
(d) On each Distribution Date, after making the distributions of the Available Funds as set forth above, the Trustee shall withdraw from the Net WAC Rate Carryover Reserve Account, to the extent of amounts remaining on deposit therein, the aggregate of any Net WAC Rate Carryover Amounts for such Distribution Date and distribute such amount in the following order of priority:
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(i) |
concurrently, to each Class of Class A Certificates (other than the Class A-6 Certificates), the related Cap Amount, from payments made under the Cap Contract, in each case up to a maximum amount equal to the related Net WAC Rate Carryover Amount for such Distribution Date; |
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(ii) |
sequentially, to the Holders of the Class A-6 Certificates, the Class M-1 Certificates, the Class M-2 Certificates, the Class M-3 Certificates, the Class M-4 Certificates, the Class M-5 Certificates, the Class M-6 Certificates, the Class M-7 Certificates, the Class M-8 Certificates and the Class M-9 Certificates, in that order, the related Cap Amount, from |
payments made under the Cap Contract, in each case up to a maximum amount equal to the related Net WAC Rate Carryover Amount for such Distribution Date;
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(iii) |
concurrently, to each Class of Class A Certificates (other than the Class A-6 Certificates), the related Net WAC Rate Carryover Amount remaining undistributed pursuant to clause (i) above, on a pro rata basis based on such respective remaining Net WAC Rate Carryover Amounts; and |
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(iv) |
sequentially, to the Holders of the Class A-6 Certificates, the Class M-1 Certificates, the Class M-2 Certificates, the Class M-3 Certificates, the Class M-4 Certificates, the Class M-5 Certificates, the Class M-6 Certificates, the Class M-7 Certificates, the Class M-8 Certificates and the Class M-9 Certificates, in that order, the related Net WAC Rate Carryover Amount remaining undistributed pursuant to clause (ii) above. |
(e) On each Distribution Date, all amounts representing Prepayment Charges in respect of the Mortgage Loans received during the related Prepayment Period and any Servicer Prepayment Charge Amounts paid by the Servicer during the related Prepayment Period will be withdrawn from the Distribution Account and distributed by the Trustee to the Holders of the Class P Certificates and shall not be available for distribution to the Holders of any other Class of Certificates. The payment of the foregoing amounts to the Holders of the Class P Certificates shall not reduce the Certificate Principal Balances thereof.
(f) The Trustee shall make distributions in respect of a Distribution Date to each Certificateholder of record on the related Record Date (other than as provided in Section 10.01 respecting the final distribution), in the case of Certificateholders of the Regular Certificates, by check or money order mailed to such Certificateholder at the address appearing in the Certificate Register, or by wire transfer. Distributions among Certificateholders shall be made in proportion to the Percentage Interests evidenced by the Certificates held by such Certificateholders.
(g) Each distribution with respect to a Book-Entry Certificate shall be paid to the Depository, which shall credit 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. All such credits and disbursements with respect to a Book-Entry Certificate are to be made by the Depository and the Depository Participants in accordance with the provisions of the Certificates. None of the Trustee, the Depositor or the Servicer shall have any responsibility therefor except as otherwise provided by applicable law.
On each Distribution Date, following the foregoing distributions, an amount equal to the amount of Subsequent Recoveries deposited into the Collection Account pursuant to Section 3.10 shall be applied to increase the Certificate Principal Balance of the Class of Certificates with the Highest Priority up to the extent of such Realized Losses previously
allocated to that Class of Certificates pursuant to Section 4.08. An amount equal to the amount of any remaining Subsequent Recoveries shall be applied to increase the Certificate Principal Balance of the Class of Certificates with the next Highest Priority, up to the amount of such Realized Losses previously allocated to that Class of Certificates pursuant to Section 4.08. Holders of such Certificates will not be entitled to any distribution in respect of interest on the amount of such increases for any Interest Accrual Period preceding the Distribution Date on which such increase occurs. Any such increases shall be applied to the Certificate Principal Balance of each Certificate of such Class in accordance with its respective Percentage Interest.
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(i) |
It is the intention of all of the parties hereto that the Class C Certificates receive all principal and interest received by the Trust on the Mortgage Loans that is not otherwise distributable to any other Class of Regular Certificates or REMIC Regular Interests and that the Residual Certificates are to receive no principal and interest. If the Trustee determines that the Residual Certificates are entitled to any distributions, the Trustee, prior to any such distribution to any Residual Certificate, shall notify the Depositor of such impending distribution but shall make such distribution in accordance with the terms of this Agreement until this Agreement is amended as specified in the following sentence. Upon such notification, the Depositor will request an amendment to the Pooling and Servicing Agreement to revise such mistake in the distribution provisions. The Residual Certificate Holders, by acceptance of their Certificates, and the Servicer(s), hereby agree to any such amendment and no further consent shall be necessary, notwithstanding anything to the contrary in Section 11.01 of this Pooling and Servicing Agreement; provided, however, that such amendment shall otherwise comply with Section 11.01 hereof. |
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SECTION 4.02 |
[Reserved]. |
|
SECTION 4.03 |
Statements. |
(a) On each Distribution Date, based, as applicable, on information provided to it by the Servicer, the Trustee shall prepare and make available to each Holder of the Regular Certificates, the NIMS Insurer, the Servicer and the Rating Agencies, a statement as to the distributions made on such Distribution Date:
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(i) |
the amount of the distribution made on such Distribution Date to the Holders of each Class of Regular Certificates, separately identified, allocable to principal and the amount of the distribution made to the Holders of the Class P Certificates allocable to Prepayment Charges and Servicer Prepayment Charge Payment Amounts; |
|
(ii) |
the amount of the distribution made on such Distribution Date to the Holders of each Class of Regular Certificates (other than the Class P Certificates) allocable to interest, separately identified; |
|
(iii) |
the Overcollateralized Amount, the Overcollateralization Release Amount, the Overcollateralization Deficiency Amount and the Overcollateralization Target Amount as of such Distribution Date and the Excess Overcollateralized Amount for the Mortgage Pool for such Distribution Date; |
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(iv) |
the aggregate amount of servicing compensation received by the Servicer with respect to the related Due Period and such other customary information as the Trustee deems necessary or desirable, or which a Certificateholder reasonably requests, to enable Certificateholders to prepare their tax returns; |
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(v) |
the aggregate amount of Advances for the related Due Period; |
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(vi) |
the Pool Balance at the Close of Business at the end of the related Due Period; |
|
(vii) |
the number, aggregate Stated Principal Balance, weighted average remaining term to maturity and weighted average Mortgage Rate of the Mortgage Loans as of the related Determination Date; |
|
(viii) |
the number and aggregate unpaid Stated Principal Balance of Mortgage Loans that were (A) Delinquent (exclusive of Mortgage Loans in bankruptcy or foreclosure and REO Properties) (1) 30 to 59 days, (2) 60 to 89 days and (3) 90 or more days, (B) as to which foreclosure proceedings have been commenced and Delinquent (1) 30 to 59 days, (2) 60 to 89 days and (3) 90 or more days, (C) in bankruptcy and Delinquent (1) 30 to 59 days, (2) 60 to 89 days and (3) 90 or more days, in each case as of the Close of Business on the last day of the calendar month preceding such Distribution Date and (D) REO Properties, as well as the aggregate principal balance of Mortgage Loans that were liquidated and the net proceeds resulting therefrom; |
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(ix) |
[reserved]; |
|
(x) |
the total number and cumulative Stated Principal Balance of all REO Properties as of the Close of Business of the last day of the preceding Prepayment Period; |
|
(xi) |
the aggregate amount of Principal Prepayments made during the related Prepayment Period, separately indicating Principal Prepayments in full and Principal Prepayments in part; |
|
(xii) |
the aggregate amount of Realized Losses incurred during the related Prepayment Period and the cumulative amount of Realized Losses and the aggregate amount of Subsequent Recoveries received during the related Prepayment Period and the cumulative amount of Subsequent Recoveries received since the Closing Date; |
|
(xiii) |
the aggregate amount of extraordinary Trust Fund expenses withdrawn from the Collection Account for such Distribution Date; |
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(xiv) |
the Certificate Principal Balance of each Class of Floating Rate Certificates and the Class C Certificates, after giving effect to the distributions made on such Distribution Date; |
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(xv) |
the Monthly Interest Distributable Amount in respect of each Class of Floating Rate Certificates and the Class C Certificates for such Distribution Date and the Unpaid Interest Shortfall Amount, if any, with respect to each Class of Floating Rate Certificates and the Class C Certificates for such Distribution Date; |
|
(xvi) |
the aggregate amount of any Prepayment Interest Shortfalls for such Distribution Date, to the extent not covered by payments by the Servicer pursuant to Section 3.24; |
|
(xvii) |
the Senior Credit Enhancement Percentage and the Class A-6 Credit Enhancement Percentage for such Distribution Date; |
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(xviii) |
the Net WAC Rate Carryover Amount for each Class of Floating Rate Certificates, if any, for such Distribution Date and the amount remaining unpaid after reimbursements therefor on such Distribution Date; |
|
(xix) |
any Overcollateralization Target Amount, Overcollateralized Amount and Overcollateralization Deficiency Amount after giving effect to the distribution of principal on such Distribution Date; |
|
(xx) |
when the Stepdown Date or a Trigger Event has occurred; | |
|
(xxi) |
the Available Funds; |
|
|
(xxii) |
the respective Pass-Through Rates applicable to each Class of Floating Rate Certificates and the Class C Certificates for such Distribution Date and the Pass-Through Rate applicable to each Class of Floating Rate Certificates for the immediately succeeding Distribution Date; |
|
(xxiii) |
payments, if any, made under the Cap Contract; | |
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(xxiv) |
[Reserved]; |
|
|
(xxv) |
[Reserved]; |
|
|
(xxvi) |
(A) the amount of payments received related to claims under the PMI Policy during the related Prepayment Period (and the number of Mortgage Loans to which such payments related) and (B) the cumulative amount of payments received related to claims under the PMI Policy since the |
Closing Date (and the number of Mortgage Loans to which such payments related);
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(xxvii) |
(A) the dollar amount of claims made under the PMI Policy that were denied during the Prepayment Period (and the number of Mortgage Loans to which such denials related) and (B) the dollar amount of the cumulative claims made under the PMI Policy that were denied since the Closing Date (and the number of Mortgage Loans to which such denials related); |
|
(xxviii) |
the aggregate amount of Custodian Fee received by the Custodian, the aggregate PMI Premium and the aggregate Credit Risk Manager Fee with respect to the related Due Period. |
The Trustee will make such statement (and, at its option, any additional files containing the same information in an alternative format) available each month to Certificateholders, the NIMS Insurer, the Credit Risk Manager and the Rating Agencies via the Trustee’s internet website. The Trustee’s internet website shall initially be located at “xxxxx://xxx.xxx.xx.xxx/xxxx”. Assistance in using the website can be obtained by calling the Trustee’s customer service desk at (000) 000-0000. Parties that are unable to use the above distribution option are entitled to have a paper copy mailed to them via first class mail by calling the customer service desk and indicating such. The Trustee shall have the right to change the way such statements are distributed in order to make such distribution more convenient and/or more accessible to the above parties and the Trustee shall provide timely and adequate notification to all above parties regarding any such changes. As a condition to access to the Trustee’s internet website, the Trustee may require registration and the acceptance of a disclaimer. The Trustee will not be liable for the dissemination of information in accordance with this Agreement. The Trustee shall also be entitled to rely on but shall not be responsible for the content or accuracy of any information provided by third parties for purposes of preparing the Distribution Date statement and may affix thereto any disclaimer it deems appropriate in its reasonable discretion (without suggesting liability on the part of any other party thereto).
In the case of information furnished pursuant to subclauses (i) and (ii) above, the amounts shall be expressed in a separate section of the report as a dollar amount for each Class for each $1,000 original dollar amount as of the Cut-off Date.
(b) Within a reasonable period of time after the end of each calendar year, the Trustee shall, upon written request, furnish to the NIMS Insurer and each Person who at any time during the calendar year was a Certificateholder of a Regular Certificate, if requested in writing by such Person, such information as is reasonably necessary to provide to such Person a statement containing the information set forth in subclauses (i) and (ii) above, aggregated for such calendar year or applicable portion thereof during which such Person was a Certificateholder. Such obligation of the Trustee shall be deemed to have been satisfied to the extent that substantially comparable information shall be prepared and furnished by the Trustee to Certificateholders pursuant to any requirements of the Code as are in force from time to time.
(c) On each Distribution Date, the Trustee shall make available to the NIMS Insurer and the Residual Certificateholders a copy of the reports forwarded to the Regular
Certificateholders in respect of such Distribution Date with such other information as the Trustee deems necessary or appropriate.
(d) Within a reasonable period of time after the end of each calendar year, the Trustee shall deliver to the NIMS Insurer, upon request, and each Person who at any time during the calendar year was a Residual Certificateholder, if requested in writing by such Person, such information as is reasonably necessary to provide to such Person a statement containing the information provided pursuant to the previous paragraph aggregated for such calendar year or applicable portion thereof during which such Person was a Residual Certificateholder. Such obligation of the Trustee shall be deemed to have been satisfied to the extent that substantially comparable information shall be prepared and furnished to Certificateholders by the Trustee pursuant to any requirements of the Code as from time to time in force.
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SECTION 4.04 |
Remittance Reports; Advances. |
(a) By the third Business Day following each Determination Date, but in no event later than the earlier of (i) such date which would allow the indenture trustee to submit a claim to the NIMS Insurer under the Indenture so as to allow a timely payment by the NIMS Insurer under the insurance policy related to the notes insured by the NIMS Insurer and (ii) the 20th day of each month (or if such 20th day is not a Business Day, the preceding Business Day), the Servicer shall deliver to the Trustee and the Trustee shall make available to the NIMS Insurer, by telecopy or electronic mail (or by such other means as the Servicer and the Trustee may agree from time to time) a Remittance Report with respect to the related Distribution Date, which Remittance Reports the Trustee shall use in preparing the statement pursuant to Section 4.03. No later than the 20th day of each month, the Servicer shall deliver or cause to be delivered to the Trustee in addition to the information provided on the Remittance Report, such other information reasonably available to it with respect to the Mortgage Loans as the Trustee may reasonably require to perform the calculations necessary to make the distributions contemplated by Section 4.01 and to prepare the statements to Certificateholders contemplated by Section 4.03. The Trustee shall not be responsible to recompute, recalculate or verify any information provided to it by the Servicer.
(b) The amount of Advances to be made by the Servicer for any Distribution Date shall equal, subject to Section 4.04(d), the sum of (i) the aggregate amount of Monthly Payments (net of the related Servicing Fee), due during the related Due Period in respect of the Mortgage Loans, which Monthly Payments were delinquent on a contractual basis as of the Close of Business on the related Determination Date and (ii) with respect to each REO Property, which REO Property was acquired during or prior to the related Due Period and as to which REO Property an REO Disposition did not occur during the related Due Period, an amount equal to the excess, if any, of the REO Imputed Interest on such REO Property for the most recently ended calendar month, over the net income from such REO Property transferred to the Distribution Account pursuant to Section 3.23 for distribution on such Distribution Date. For purposes of the preceding sentence, the Monthly Payment on each Balloon Mortgage Loan with a delinquent Balloon Payment is equal to the assumed monthly payment that would have been due on the related Due Date based on the original principal amortization schedule for such Balloon Mortgage Loan.
On or before 1:00 p.m. New York time on the Servicer Remittance Date, the Servicer shall remit in immediately available funds to the Trustee for deposit in the Distribution Account an amount equal to the aggregate amount of Advances, if any, to be made in respect of the Mortgage Loans and REO Properties for the related Distribution Date either (i) from its own funds or (ii) from the Collection Account, to the extent of funds held therein for future distribution (in which case it will cause to be made an appropriate entry in the records of Collection Account that amounts held for future distribution have been, as permitted by this Section 4.04, used by the Servicer in discharge of any such Advance) or (iii) in the form of any combination of (i) and (ii) aggregating the total amount of Advances to be made by the Servicer with respect to the Mortgage Loans and REO Properties. Any amounts held for future distribution used by the Servicer to make an Advance as permitted in the preceding sentence or withdrawn by the Servicer as permitted in Section 3.11(a)(ii) in reimbursement for Advances previously made shall be appropriately reflected in the Servicer’s records and replaced by the Servicer by deposit in the Collection Account on or before any future Servicer Remittance Date to the extent that the Available Funds for the related Distribution Date (determined without regard to Advances to be made on the Servicer Remittance Date) shall be less than the total amount that would be distributed to the Classes of Certificateholders pursuant to Section 4.01 on such Distribution Date if such amounts held for future distributions had not been so used to make Advances. The Trustee will provide notice to the NIMS Insurer and the Servicer by telecopy by the Close of Business on any Servicer Remittance Date in the event that the amount remitted by the Servicer to the Trustee on such date is less than the Advances required to be made by the Servicer for the related Distribution Date, as set forth in the related Remittance Report.
(c) The obligation of the Servicer to make such Advances is mandatory, notwithstanding any other provision of this Agreement but subject to (d) below, and, with respect to any Mortgage Loan, shall continue until the Mortgage Loan is paid in full or until all Liquidation Proceeds thereon have been recovered, or a Final Recovery Determination has been made thereon.
(d) Notwithstanding anything herein to the contrary, no Advance or Servicing Advance shall be required to be made hereunder by the Servicer if such Advance or Servicing Advance would, if made, constitute a Nonrecoverable Advance. The determination by the Servicer that it has made a Nonrecoverable Advance or that any proposed Advance or Servicing Advance, if made, would constitute a Nonrecoverable Advance, shall be evidenced by an Officers’ Certificate of the Servicer delivered to the NIMS Insurer, the Depositor and the Trustee.
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SECTION 4.05 |
[Reserved]. |
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SECTION 4.06 |
[Reserved]. |
|
SECTION 4.07 |
Net WAC Rate Carryover Reserve Account. |
No later than the Closing Date, the Trustee shall establish and maintain with itself a separate, segregated trust account titled, “Net WAC Rate Carryover Reserve Account, Deutsche Bank National Trust Company, as Trustee, in trust for registered Holders of Soundview Home Loan Trust 2005-OPT2 Asset-Backed Certificates, Series 2005-OPT2” All
amounts deposited in the Net WAC Rate Carryover Reserve Account shall be distributed to the Holders of the Floating Rate Certificates in the manner set forth in Section 4.01(d).
On each Distribution Date as to which there is a Net WAC Rate Carryover Amount payable to the Floating Rate Certificates, the Trustee has been directed by the Class C Certificateholders to, and therefore will, deposit into the Net WAC Rate Carryover Reserve Account the amounts described in Section 4.01(d)(iv), rather than distributing such amounts to the Class C Certificateholders. In addition, any payments received by the Trustee under the Cap Contract on each Distribution Date will be deposited into the Net WAC Rate Carryover Reserve Account. On each such Distribution Date, the Trustee shall hold all such amounts for the benefit of the Holders of the Floating Rate Certificates, and will distribute such amounts to the Holders of the Floating Rate Certificates in the amounts and priorities set forth in Section 4.01(d).
On or after the Distribution Date on which the Certificate Principal Balance of the Floating Rate Certificates are reduced to zero, any amounts remaining in the Net WAC Rate Carryover Reserve Account (representing payments received by the Trustee under the Cap Contract) after the payment of any Net WAC Rate Carryover Amounts on the Floating Rate Certificates for such Distribution Date, shall be payable to the counterparty under the Cap Contract. For so long as any Floating Rate Certificates are beneficially owned by the Depositor or any of its Affiliates, the Depositor shall refund or cause such Affiliate to refund any amounts paid to it under the Cap Contract to the Trustee who shall, pursuant to the terms of the Cap Contract, return such amount to the counterparty thereunder.
For federal and state income tax purposes, the Trustee will be deemed to be the owner of the Net WAC Rate Carryover Reserve Account. All amounts deposited into the Net WAC Rate Carryover Reserve Account (other than amounts received under the Cap Contract) shall be treated as amounts distributed by REMIC 2 to the Holder of the Class C Interest and by REMIC 3 to the Holder of the Class C Certificates. The Net WAC Rate Carryover Reserve Account will be an “outside reserve fund” within the meaning of Treasury regulation Section 1.860G-2(h). Upon the termination of the Trust, or the payment in full of the Floating Rate Certificates, all amounts remaining on deposit in the Net WAC Rate Carryover Reserve Account will be released by the Trust and distributed to the Trustee or its designee. The Net WAC Rate Carryover Reserve Account will be part of the Trust but not part of any REMIC and any payments to the Holders of the Floating Rate Certificates of Net WAC Rate Carryover Amounts will not be payments with respect to a “regular interest” in a REMIC within the meaning of Code Section 860(G)(a)(1).
By accepting a Class C Certificate, each Class C Certificateholder hereby agrees to direct the Trustee, and the Trustee hereby is directed, to deposit into the Net WAC Rate Carryover Reserve Account the amounts described above on each Distribution Date as to which there is any Net WAC Rate Carryover Amount rather than distributing such amounts to the Class C Certificateholders. By accepting a Class C Certificate, each Class C Certificateholder further agrees that such direction is given for good and valuable consideration, the receipt and sufficiency of which is acknowledged by such acceptance.
Amounts on deposit in the Net WAC Rate Carryover Reserve Account shall remain uninvested.
For federal tax return and information reporting, the value of the right to receive payments from the Net WAC Rate Carryover Account is $203,000,000.
For so long as any Floating Rate Certificates are beneficially owned by the Depositor or any of its Affiliates, the Depositor shall or shall cause such Affiliate to refund any amounts paid to it under the Cap Contract to the Trustee who shall, pursuant to the Cap Contract, return such amount to the counterparty thereunder.
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SECTION 4.08 |
[Reserved]. |
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SECTION 4.09 |
Distributions on the REMIC Regular Interests. |
(a) On each Distribution Date, the Trustee shall cause in the following order of priority, the following amounts which shall be deemed to be distributed by REMIC 1 to REMIC 2 on account of the REMIC 1 Regular Interests or withdrawn from the Distribution Account and distributed to the holders of the Class R Certificates (in respect of the Class R-1 Interest), as the case may be:
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(i) |
first, to the extent of Available Funds, to Holders of REMIC 1 Regular Interest LTAA, REMIC 1 Regular Interest LTA1, REMIC 1 Regular Interest LTA2, REMIC 1 Regular Interest LTA3, REMIC 1 Regular Interest LTA4, REMIC 1 Regular Interest LTA5, REMIC 1 Regular Interest LTA6, REMIC 1 Regular Interest LTM1, REMIC 1 Regular Interest LTM2, REMIC 1 Regular Interest LTM3, REMIC 1 Regular Interest LTM4, REMIC 1 Regular Interest LTM5, REMIC 1 Regular Interest LTM6, REMIC 1 Regular Interest LTM7, REMIC 1 Regular Interest LTM8, REMIC 1 Regular Interest LTM9, REMIC 1 Regular Interest LTZZ and REMIC 1 Regular Interest LTP, on a pro rata basis, in an amount equal to (A) the Uncertificated Accrued Interest for such Distribution Date, plus (B) any amounts in respect thereof remaining unpaid from previous Distribution Dates. Amounts payable as Uncertificated Accrued Interest in respect of REMIC 1 Regular Interest LTZZ shall be reduced and deferred when the REMIC 1 Overcollateralization Amount is less than the REMIC 1 Overcollateralization Target Amount, by the lesser of (x) the amount of such difference and (y) the Maximum Uncertificated Accrued Interest Deferral Amount and such amount will be payable to the Holders of REMIC 1 Regular Interest LTA1, REMIC 1 Regular Interest LTA2, REMIC 1 Regular Interest LTA3, REMIC 1 Regular Interest LTA4, REMIC 1 Regular Interest LTA5, REMIC 1 Regular Interest LTA6, REMIC 1 Regular Interest LTM1, REMIC 1 Regular Interest LTM2, REMIC 1 Regular Interest LTM3, REMIC 1 Regular Interest LTM4, REMIC 1 Regular Interest LTM5, REMIC 1 Regular Interest LTM6, REMIC 1 Regular Interest LTM7, REMIC 1 Regular Interest LTM8 and REMIC 1 Regular Interest LTM9, in the same proportion as the Overcollateralization Deficiency Amount is allocated to the |
Corresponding Certificates and the Uncertificated Principal Balance of the REMIC 1 Regular Interest LTZZ shall be increased by such amount; and
|
(ii) |
second, to the Holders of REMIC 1 Regular Interests, in an amount equal to the remainder of the Available Funds for such Distribution Date after the distributions made pursuant to clause (i) above, allocated as follows: |
(a) 98.00% of such remainder to the Holders of REMIC 1 Regular Interest LTAA and REMIC 1 Regular Interest LTP, until the Uncertificated Principal Balance of such Uncertificated REMIC 1 Regular Interest is reduced to zero; provided, however, that REMIC 1 Regular Interest LTP shall not be reduced until the Distribution Date immediately following the expiration of the latest Prepayment Charge as identified on the Prepayment Charge Schedule or any Distribution Date thereafter, at which point such amount shall be distributed to REMIC 1 Regular Interest LTP, until $100 has been distributed pursuant to this clause;
(b) 2.00% of such remainder first, to the Holders of REMIC 1 Regular Interest LTA1, REMIC 1 Regular Interest LTA2, REMIC 1 Regular Interest LTA3, REMIC 1 Regular Interest LTA4, REMIC 1 Regular Interest LTA5, REMIC 1 Regular Interest LTA6, REMIC 1 Regular Interest LTM1, REMIC 1 Regular Interest LTM2, REMIC 1 Regular Interest LTM3, REMIC 1 Regular Interest LTM4, REMIC 1 Regular Interest LTM5, REMIC 1 Regular Interest LTM6, REMIC 1 Regular Interest LTM7, REMIC 1 Regular Interest LTM8 and REMIC 1 Regular Interest LTM9, of and in the same proportion as principal payments are allocated to the Corresponding Certificates, until the Uncertificated Principal Balances of such REMIC 1 Regular Interests are reduced to zero, and second, to the Holders of REMIC 1 Regular Interest LTZZ, until the Uncertificated Principal Balance of such REMIC 1 Regular Interest is reduced to zero; and
(c) any remaining amount to the Holders of the Class R Certificates (in respect of the Class R-1 Interest);
provided, however, that (i) 98.00% and (ii) 2.00% of any principal payments that are attributable to an Overcollateralization Release Amount shall be allocated to Holders of (i) REMIC 1 Regular Interest LTAA and REMIC 1 Regular Interest LTP, in that order and (ii) REMIC 1 Regular Interest LTZZ, respectively; provided that REMIC 1 Regular Interest LTP shall not be reduced until the Distribution Date immediately following the expiration of the latest Prepayment Charge as identified on the Prepayment Charge Schedule or any Distribution Date thereafter, at which point such amount shall be distributed to REMIC 1 Regular Interest LTP, until $100 has been distributed pursuant to this clause.
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SECTION 4.10 |
Allocation of Realized Losses. |
(a) All Realized Losses on the Mortgage Loans allocated to any Regular Certificate shall be allocated by the Trustee on each Distribution Date as follows: first, to Net
Monthly Excess Cashflow; second, to the Class C Certificates, until the Certificate Principal Balance thereof has been reduced to zero; third, to the Class M-9 Certificates, until the Certificate Principal Balance thereof has been reduced to zero; fourth, to the Class M-8 Certificates, until the Certificate Principal Balance thereof has been reduced to zero; fifth, to the Class M-7 Certificates, until the Certificate Principal Balance thereof has been reduced to zero; sixth, to the Class M-6 Certificates, until the Certificate Principal Balance thereof has been reduced to zero; seventh, to the Class M-5 Certificates, until the Certificate Principal Balance thereof has been reduced to zero; eighth, to the Class M-4 Certificates, until the Certificate Principal Balance thereof has been reduced to zero; ninth, to the Class M-3 Certificates, until the Certificate Principal Balance thereof has been reduced to zero; tenth, to the Class M-2 Certificates, until the Certificate Principal Balance thereof has been reduced to zero; eleventh, to the Class M-1 Certificates, until the Certificate Principal Balance thereof has been reduced to zero; twelfth, to the Class A-6 Certificates, until the Certificate Principal Balance thereof has been reduced to zero. All Realized Losses to be allocated to the Certificate Principal Balances of all Classes on any Distribution Date shall be so allocated after the actual distributions to be made on such date as provided above. All references above to the Certificate Principal Balance of any Class of Certificates shall be to the Certificate Principal Balance of such Class immediately prior to the relevant Distribution Date, before reduction thereof by any Realized Losses, in each case to be allocated to such Class of Certificates, on such Distribution Date.
Any allocation of Realized Losses to the Class A-6 Certificates or a Mezzanine Certificate on any Distribution Date shall be made by reducing the Certificate Principal Balance thereof by the amount so allocated; any allocation of Realized Losses to a Class C Certificates shall be made first by reducing the amount otherwise payable in respect thereof pursuant to Section 4.01(d)(iv). No allocations of any Realized Losses shall be made to the Certificate Principal Balances of the Class A Certificates (other than the Class A-6 Certificates) or the Class P Certificates.
(b) All Realized Losses on the Mortgage Loans shall be deemed to have been allocated in the specified percentages, as follows: first, to Uncertificated Accrued Interest payable to the REMIC 1 Regular Interest LTAA and REMIC 1 Regular Interest LTZZ up to an aggregate amount equal to the REMIC 1 Interest Loss Allocation Amount, 98% and 2%, respectively; second, to the Uncertificated Principal Balances of REMIC 1 Regular Interest LTAA and REMIC 1 Regular Interest LTZZ up to an aggregate amount equal to the REMIC 1 Principal Loss Allocation Amount, 98% and 2%, respectively; third, to the Uncertificated Principal Balances of REMIC 1 Regular Interest LTAA, REMIC 1 Regular Interest LTM9 and REMIC 1 Regular Interest LTZZ, 98%, 1% and 1%, respectively, until the Uncertificated Principal Balance of REMIC 1 Regular Interest LTM9 has been reduced to zero; fourth, to the Uncertificated Principal Balances of REMIC 1 Regular Interest LTAA, REMIC 1 Regular Interest LTM8 and REMIC 1 Regular Interest LTZZ, 98%, 1% and 1%, respectively, until the Uncertificated Principal Balance of REMIC 1 Regular Interest LTM8 has been reduced to zero; fifth, to the Uncertificated Principal Balances of REMIC 1 Regular Interest LTAA, REMIC 1 Regular Interest LTM7 and REMIC 1 Regular Interest LTZZ, 98%, 1% and 1%, respectively, until the Uncertificated Principal Balance of REMIC 1 Regular Interest LTM7 has been reduced to zero; sixth, to the Uncertificated Principal Balances of REMIC 1 Regular Interest LTAA, REMIC 1 Regular Interest LTM6 and REMIC 1 Regular Interest LTZZ, 98%, 1% and 1%, respectively, until the Uncertificated Principal Balance of REMIC 1 Regular Interest LTM6 has
been reduced to zero; seventh, to the Uncertificated Principal Balances of REMIC 1 Regular Interest LTAA, REMIC 1 Regular Interest LTM5 and REMIC 1 Regular Interest LTZZ, 98%, 1% and 1%, respectively, until the Uncertificated Principal Balance of REMIC 1 Regular Interest LTM5 has been reduced to zero; eighth, to the Uncertificated Principal Balances of REMIC 1 Regular Interest LTAA, REMIC 1 Regular Interest LTM4 and REMIC 1 Regular Interest LTZZ, 98%, 1% and 1%, respectively, until the Uncertificated Principal Balance of REMIC 1 Regular Interest LTM4 has been reduced to zero; ninth, to the Uncertificated Principal Balances of REMIC 1 Regular Interest LTAA, REMIC 1 Regular Interest LTM3 and REMIC 1 Regular Interest LTZZ, 98%, 1% and 1%, respectively, until the Uncertificated Principal Balance of REMIC 1 Regular Interest LTM3 has been reduced to zero; tenth, to the Uncertificated Principal Balances of REMIC 1 Regular Interest LTAA, REMIC 1 Regular Interest LTM2 and REMIC 1 Regular Interest LTZZ, 98%, 1% and 1%, respectively, until the Uncertificated Principal Balance of REMIC 1 Regular Interest LTM2 has been reduced to zero; eleventh, to the Uncertificated Principal Balances of REMIC 1 Regular Interest LTAA, REMIC 1 Regular Interest LTM1 and REMIC 1 Regular Interest LTZZ, 98%, 1% and 1%, respectively, until the Uncertificated Principal Balance of REMIC 1 Regular Interest LTM1 has been reduced to zero; and twelfth, to the Uncertificated Principal Balances of REMIC 1 Regular Interest LTAA, REMIC 1 Regular Interest LTA6 and REMIC 1 Regular Interest LTZZ, 98%, 1% and 1%, respectively, until the Uncertificated Principal Balance of REMIC 1 Regular Interest LTA6 has been reduced to zero.
ARTICLE V
THE CERTIFICATES
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SECTION 5.01 |
The Certificates. |
Each of the Floating Rate Certificates, the Class P Certificates, the Class C Certificates and the Residual Certificates shall be substantially in the forms annexed hereto as exhibits, and shall, on original issue, be executed, authenticated and delivered by the Trustee to or upon the order of the Depositor concurrently with the sale and assignment to the Trustee of the Trust Fund. The Floating Rate Certificates shall be initially evidenced by one or more Certificates representing a Percentage Interest with a minimum dollar denomination of $25,000 and integral dollar multiples of $1.00 in excess thereof, except that one Certificate of each such Class of Certificates may be in a different denomination so that the sum of the denominations of all outstanding Certificates of such Class shall equal the Certificate Principal Balance of such Class on the Closing Date; provided, however, that the Floating Rate Certificates must be purchased in minimum total investments of $100,000 per class. The Class P Certificates, the Class C Certificates and the Residual Certificates are issuable in any Percentage Interests; provided, however, that the sum of all such percentages for each such Class totals 100% and no more than ten Certificates of each Class may be issued and outstanding at any one time.
The Certificates shall be executed on behalf of the Trust by manual or facsimile signature on behalf of the Trustee by a Responsible Officer. Certificates bearing the manual or facsimile signatures of individuals who were, at the time when such signatures were affixed, authorized to sign on behalf of the Trustee shall bind the Trust, notwithstanding that such individuals or any of them have ceased to be so authorized prior to the authentication and delivery of such Certificates or did not hold such offices at the date of such Certificate. No Certificate shall be entitled to any benefit under this Agreement or be valid for any purpose, unless such Certificate shall have been manually authenticated by the Trustee substantially in the form provided for herein, and such authentication 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. Subject to Section 5.02(c), the Floating Rate Certificates shall be Book-Entry Certificates. The other Classes of Certificates shall not be Book-Entry Certificates.
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SECTION 5.02 |
Registration of Transfer and Exchange of Certificates. |
(a) The Certificate Registrar shall cause to be kept at the Corporate Trust Office a Certificate Register in which, subject to such reasonable regulations as it may prescribe, the Certificate Registrar shall provide for the registration of Certificates and of transfers and exchanges of Certificates as herein provided. The Trustee shall initially serve as Certificate Registrar for the purpose of registering Certificates and transfers and exchanges of Certificates as herein provided.
Upon surrender for registration of transfer of any Certificate at any office or agency of the Certificate Registrar maintained for such purpose pursuant to the foregoing
paragraph which office shall initially be the offices designated by the Trustee and, in the case of a Residual Certificate, upon satisfaction of the conditions set forth below, the Trustee on behalf of the Trust shall execute, authenticate and deliver, in the name of the designated transferee or transferees, one or more new Certificates of the same aggregate Percentage Interest.
At the option of the Certificateholders, Certificates may be exchanged for other Certificates in authorized denominations and the same aggregate Percentage Interests, 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 on behalf of the Trust and authenticate and deliver the Certificates which the Certificateholder making the exchange is entitled to receive. Every Certificate presented or surrendered for registration of 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 satisfactory to the Trustee and the Certificate Registrar duly executed by, the Holder thereof or his attorney duly authorized in writing. In addition, (i) with respect to each Class R Certificate, the holder thereof may exchange, in the manner described above, such Class R Certificate for two separate certificates, each representing such holder’s respective Percentage Interest in the Class R-1 Interest and the Class R-2 Interest that was evidenced by the Class R Certificate being exchanged and (ii) with respect to each Class R-X Certificate, the holder thereof may exchange, in the manner described above, such Class R-X Certificate for two separate certificates, each representing such holder’s respective Percentage Interest in the Class R-3 Interest and the Class R-4 Interest that was evidenced by the Class R-X Certificate being exchanged.
(b) Except as provided in paragraph (c) below, the Book-Entry Certificates shall at all times remain registered in the name of the Depository or its nominee and at all times: (i) registration of such Certificates may not be transferred by the Trustee except to another Depository; (ii) the Depository shall maintain book-entry records with respect to the Certificate Owners and with respect to ownership and transfers of such Certificates; (iii) ownership and transfers of registration of such Certificates on the books of the Depository shall be governed by applicable rules established by the Depository; (iv) the Depository may collect its usual and customary fees, charges and expenses from its Depository Participants; (v) the Trustee shall for all purposes deal with the Depository as representative of the Certificate Owners of the Certificates for purposes of exercising the rights of Holders under this Agreement, and requests and directions for and votes of such representative shall not be deemed to be inconsistent if they are made with respect to different Certificate Owners; (vi) the Trustee may rely and shall be fully protected in relying upon information furnished by the Depository with respect to its Depository Participants and furnished by the Depository Participants with respect to indirect participating firms and Persons shown on the books of such indirect participating firms as direct or indirect Certificate Owners; and (vii) the direct participants of the Depository shall have no rights under this Agreement under or with respect to any of the Certificates held on their behalf by the Depository, and the Depository may be treated by the Trustee and its agents, employees, officers and directors as the absolute owner of the Certificates for all purposes whatsoever.
All transfers by Certificate Owners of Book-Entry Certificates shall be made in accordance with the procedures established by the Depository Participant or brokerage firm representing such Certificate Owners. Each Depository Participant shall only transfer Book-Entry Certificates of Certificate Owners that it represents or of brokerage firms for which it acts
as agent in accordance with the Depository’s normal procedures. The parties hereto are hereby authorized to execute a Letter of Representations with the Depository or take such other action as may be necessary or desirable to register a Book-Entry Certificate to the Depository. In the event of any conflict between the terms of any such Letter of Representation and this Agreement, the terms of this Agreement shall control.
(c) If (i)(x) the Depository or the Depositor advises the Trustee in writing that the Depository is no longer willing or able to discharge properly its responsibilities as Depository and (y) the Trustee or the Depositor is unable to locate a qualified successor or (ii) after the occurrence of a Servicer Event of Termination, the Certificate Owners of the Book-Entry Certificates representing Percentage Interests of such Classes aggregating not less than 51% advise the Trustee and Depository through the Financial Intermediaries and the Depository Participants in writing that the continuation of a book-entry system through the Depository to the exclusion of definitive, fully registered certificates (the “Definitive Certificates”) to Certificate Owners is no longer in the best interests of the Certificate Owners. Upon surrender to the Certificate Registrar of the Book-Entry Certificates by the Depository, accompanied by registration instructions from the Depository for registration, the Trustee shall, in the case of (i) and (ii) above, execute on behalf of the Trust and authenticate the Definitive Certificates. Neither the Depositor nor the Trustee shall be liable for 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, the Trustee, the Certificate Registrar, the Servicer, any Paying Agent and the Depositor shall recognize the Holders of the Definitive Certificates as Certificateholders hereunder.
(d) No transfer, sale, pledge or other disposition of any Class C Certificate, Class P Certificate or Residual Certificate (the “Private Certificates”) shall be made unless such disposition is exempt from the registration requirements of the Securities Act of 1933, as amended (the “1933 Act”), and any applicable state securities laws or is made in accordance with the 1933 Act and laws. In the event of any such transfer (other than in connection with (i) the initial transfer of any such Certificate by the Depositor to an Affiliate of the Depositor or, in the case of the Class R-X Certificates, the first transfer by an Affiliate of the Depositor, (ii) the transfer of any such Class C, Class P or Residual Certificate to the issuer under the Indenture or the indenture trustee under the Indenture or (iii) a transfer of any such Class C, Class P or Residual Certificate from the issuer under the Indenture or the indenture trustee under the Indenture to the Depositor or an Affiliate of the Depositor), (i) unless such transfer is made in reliance upon Rule 144A (as evidenced by the investment letter delivered to the Trustee, in substantially the form attached hereto as Exhibit J) under the 1933 Act, the Trustee and the Depositor shall require a written Opinion of Counsel (which may be in-house counsel) acceptable to and in form and substance reasonably satisfactory to the Trustee and the Depositor that such transfer may be made pursuant to an exemption, describing the applicable exemption and the basis therefor, from the 1933 Act or is being made pursuant to the 1933 Act, which Opinion of Counsel shall not be an expense of the Trustee or the Depositor or (ii) the Trustee shall require the transferor to execute a transferor certificate (in substantially the form attached hereto as Exhibit L) and the transferee to execute an investment letter (in substantially the form attached hereto as Exhibit J) acceptable to and in form and substance reasonably satisfactory to the Depositor and the Trustee certifying to the Depositor and the Trustee the facts surrounding such transfer, which investment letter shall not be an expense of the Trustee or the Depositor.
The Holder of a Private Certificate desiring to effect such transfer shall, and does hereby agree to, indemnify the Trustee and the Depositor 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.
Notwithstanding the foregoing, in the event of any such transfer of any Ownership Interest in any Private Certificate that is a Book-Entry Certificate, except with respect to the initial transfer of any such Ownership Interest by the Depositor, such transfer shall be required to be made in reliance upon Rule 144A under the 1933 Act, and the transferor will be deemed to have made each of the transferor representations and warranties set forth Exhibit L hereto in respect of such interest as if it was evidenced by a Definitive Certificate and the transferee will be deemed to have made each of the transferee representations and warranties set forth Exhibit J hereto in respect of such interest as if it was evidenced by a Definitive Certificate. The Certificate Owner of any such Ownership Interest in any such Book-Entry Certificate desiring to effect such transfer shall, and does hereby agree to, indemnify the Trustee and the Depositor 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.
Notwithstanding the foregoing, no certification or Opinion of Counsel described above in this Section 5.02(d) will be required in connection with the transfer, on the Closing Date, of any Residual Certificate by the Depositor to an “accredited investor” within the meaning of Rule 501 of the 1933 Act.
No transfer of a Class C Certificate, Class P Certificate or Residual Certificate or any interest therein shall be made to any Plan subject to ERISA or Section 4975 of the Code, any Person acting, directly or indirectly, on behalf of any such Plan or any Person acquiring such Certificates with “Plan Assets” of a Plan within the meaning of the Department of Labor regulation promulgated at 29 C.F.R. § 2510.3-101 (“Plan Assets”), as certified by such transferee in the form of Exhibit M, unless the Trustee is provided with an Opinion of Counsel for the benefit of the Depositor, the Trustee and the Servicer and on which they may rely which establishes to the satisfaction of the Trustee that the purchase of such Certificates is permissible under applicable law, will not constitute or result in any prohibited transaction under ERISA or Section 4975 of the Code and will not subject the Depositor, the Servicer, the Trustee or the Trust Fund 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 Depositor, the Servicer, the Trustee or the Trust Fund. Neither a certification nor an Opinion of Counsel will be required in connection with (i) the initial transfer of any such Certificate by the Depositor to an Affiliate of the Depositor, (ii) the transfer of any such Class C, Class P or Residual Certificate to the issuer under the Indenture or the indenture trustee under the Indenture or (iii) a transfer of any such Class C, Class P or Residual Certificate from the issuer under the Indenture or the indenture trustee under the Indenture to the Depositor or an Affiliate of the Depositor (in which case, the Depositor or any Affiliate thereof shall have deemed to have represented that such Affiliate is not a Plan or a Person investing Plan Assets) and the Trustee shall be entitled to conclusively rely upon a representation (which, upon the request of the Trustee, shall be a written representation) from the Depositor of the status of such transferee as an affiliate of the Depositor.
Each Transferee of a Mezzanine Certificate will be deemed to have represented by virtue of its purchase or holding of such Certificate (or interest therein) that either (a) such Transferee is not a Plan or purchasing such Certificate with Plan Assets, (b) in the case of the Mezzanine Certificates it has acquired and is holding such Certificate in reliance on Prohibited Transaction Exemption (“PTE”) 90-59, 55 Fed. Reg. 36724 (September 6, 1990), as amended by PTE 97-34, 62 Fed. Reg. 39021 (July 21, 1997), PTE 2000-58, 65 Fed. Reg. 67765 (November 13, 2000) and PTE 2002-41, 67 Fed. Reg. 54487 (August 22, 2002) (the “Exemption”), and that it understands that there are certain conditions to the availability of the Exemption including that such Certificate must be rated, at the time of purchase, not lower than “BBB-” (or its equivalent) by a Rating Agency or (c) the following conditions are satisfied: (i) such Transferee is an insurance company, (ii) the source of funds used to purchase or hold such Certificate (or interest therein) is an “insurance company general account” (as defined in U.S. Department of Labor Prohibited Transaction Class Exemption (“PTCE”) 95-60, and (iii) the conditions set forth in Sections I and III of PTCE 95-60 have been satisfied.
If any Mezzanine Certificate or Private Certificate or any interest therein is acquired or held in violation of the provisions of the two preceding paragraphs, the next preceding permitted beneficial owner will be treated as the beneficial owner of that Certificate retroactive to the date of transfer to the purported beneficial owner. Any purported beneficial owner whose acquisition or holding of any such Certificate or interest therein was effected in violation of the provisions of the two preceding paragraphs shall indemnify and hold harmless the Depositor, the Servicer, the NIMS Insurer, the Trustee and the Trust from and against any and all liabilities, claims, costs or expenses incurred by those parties as a result of that acquisition or holding.
Each Person who has or who acquires any Ownership Interest in a Residual 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 appointed the Depositor or its designee as its attorney-in-fact to negotiate the terms of any mandatory sale under clause (v) below and to execute all instruments of transfer and to do all other things necessary in connection with any such sale, and the rights of each Person acquiring any Ownership Interest in a Residual Certificate are expressly subject to the following provisions:
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(i) |
Each Person holding or acquiring any Ownership Interest in a Residual 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. |
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(ii) |
No Person shall acquire an Ownership Interest in a Residual Certificate unless such Ownership Interest is a pro rata undivided interest. |
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(iii) |
In connection with any proposed transfer of any Ownership Interest in a Residual Certificate, the Trustee shall as a condition to registration of the transfer, require delivery to it, in form and substance satisfactory to it, of each of the following: |
(A) an affidavit in the form of Exhibit K hereto from the proposed transferee to the effect that such transferee is a Permitted Transferee and that it is not acquiring its Ownership Interest in the Residual Certificate that is the subject of the proposed transfer as a nominee, trustee or agent for any Person who is not a Permitted Transferee; and
(B) a covenant of the proposed transferee to the effect that the proposed transferee agrees to be bound by and to abide by the transfer restrictions applicable to the Residual Certificates.
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(iv) |
Any attempted or purported transfer of any Ownership Interest in a Residual Certificate in violation of the provisions of this Section shall be absolutely null and void and shall vest no rights in the purported transferee. If any purported transferee shall, in violation of the provisions of this Section, become a Holder of a Residual Certificate, then the prior Holder of such Residual Certificate that is a Permitted Transferee shall, upon discovery that the registration of transfer of such Residual Certificate was not in fact permitted by this Section, be restored to all rights as Holder thereof retroactive to the date of registration of transfer of such Residual Certificate. The Trustee shall be under no liability to any Person for any registration of transfer of a Residual Certificate that is in fact not permitted by this Section or for making any distributions due on such Residual Certificate to the Holder thereof or taking any other action with respect to such Holder under the provisions of this Agreement so long as the Trustee received the documents specified in clause (iii). The Trustee shall be entitled to recover from any Holder of a Residual Certificate that was in fact not a Permitted Transferee at the time such distributions were made all distributions made on such Residual Certificate. Any such distributions so recovered by the Trustee shall be distributed and delivered by the Trustee to the prior Holder of such Residual Certificate that is a Permitted Transferee. |
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(v) |
If any Person other than a Permitted Transferee acquires any Ownership Interest in a Residual Certificate in violation of the restrictions in this Section, then the Trustee shall have the right but not the obligation, without notice to the Holder of such Residual Certificate or any other Person having an Ownership Interest therein, to notify the Depositor to arrange for the sale of such Residual Certificate. The proceeds of such sale, net of commissions (which may include commissions payable to the Depositor or its affiliates in connection with such sale), expenses and taxes due, if any, will be remitted by the Trustee to the previous Holder of such Residual Certificate that is a Permitted Transferee, except that in the event that the Trustee determines that the Holder of such Residual Certificate may be liable for any amount due under this Section or any other provisions of this Agreement, the Trustee may withhold a corresponding amount from such remittance as security for such claim. The terms and conditions of any sale under this clause (v) shall be determined in the sole discretion of the Trustee and it shall not be liable to any Person having an |
Ownership Interest in a Residual Certificate as a result of its exercise of such discretion.
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(vi) |
If any Person other than a Permitted Transferee acquires any Ownership Interest in a Residual Certificate in violation of the restrictions in this Section, then the Trustee upon receipt of reasonable compensation will provide to the Internal Revenue Service, and to the persons specified in Sections 860E(e)(3) and (6) of the Code, information needed to compute the tax imposed under Section 860E(e)(5) of the Code on transfers of residual interests to disqualified organizations. |
The foregoing provisions of this Section shall cease to apply to transfers occurring on or after the date on which there shall have been delivered to the Trustee and the NIMS Insurer, in form and substance satisfactory to the Trustee and the NIMS Insurer, (i) written notification from each Rating Agency that the removal of the restrictions on transfer set forth in this Section will not cause such Rating Agency to downgrade its rating of the Certificates and (ii) an Opinion of Counsel to the effect that such removal will not cause any REMIC created hereunder to fail to qualify as a REMIC.
(e) No service charge shall be made for any registration of transfer or exchange of Certificates of any Class, but the Certificate Registrar 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.
All Certificates surrendered for registration of transfer or exchange shall be canceled by the Certificate Registrar and disposed of pursuant to its standard procedures.
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SECTION 5.03 |
Mutilated, Destroyed, Lost or Stolen Certificates. |
If (i) any mutilated Certificate is surrendered to the Certificate Registrar or the Certificate Registrar receives evidence to its satisfaction of the destruction, loss or theft of any Certificate and (ii) there is delivered to the Trustee, the Depositor, the NIMS Insurer 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 on behalf of the Trust, authenticate and deliver, in exchange for or in lieu of any such mutilated, destroyed, lost or stolen Certificate, a new Certificate of like tenor and Percentage Interest. Upon the issuance of any new Certificate under this Section, the Trustee or the Certificate Registrar 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) in connection therewith. Any duplicate Certificate issued pursuant to this Section, shall constitute complete and indefeasible evidence of ownership in the Trust, as if originally issued, whether or not the lost, stolen or destroyed Certificate shall be found at any time.
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SECTION 5.04 |
Persons Deemed Owners. |
The Servicer, the Depositor, the Trustee, the NIMS Insurer, the Certificate Registrar, any Paying Agent and any agent of the Servicer, the Depositor, the Trustee, the NIMS Insurer, the Certificate Registrar or any Paying Agent may treat the Person, including a Depository, in whose name any Certificate is registered as the owner of such Certificate for the purpose of receiving distributions pursuant to Section 4.01 and for all other purposes whatsoever, and none of the Servicer, the Trust, the Trustee nor any agent of any of them shall be affected by notice to the contrary.
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SECTION 5.05 |
Appointment of Paying Agent. |
(a) The Paying Agent shall make distributions to Certificateholders from the Distribution Account pursuant to Section 4.01 and shall report the amounts of such distributions to the Trustee. The duties of the Paying Agent may include the obligation (i) to withdraw funds from the Collection Account pursuant to Section 3.11(a) and for the purpose of making the distributions referred to above and (ii) to distribute statements and provide information to Certificateholders as required hereunder. The Paying Agent hereunder shall at all times be an entity duly organized and validly existing under the laws of the United States of America or any state thereof, authorized under such laws to exercise corporate trust powers and subject to supervision or examination by federal or state authorities. The Paying Agent shall initially be the Trustee. The Trustee may appoint a successor to act as Paying Agent, which appointment shall be reasonably satisfactory to the Depositor and the NIMS Insurer.
(b) The Trustee shall cause the Paying Agent (if other than the Trustee) to execute and deliver to the Trustee an instrument in which such Paying Agent shall agree with the Trustee that such Paying Agent shall hold all sums, if any, held by it for payment to the Certificateholders in trust for the benefit of the Certificateholders entitled thereto until such sums shall be paid to such Certificateholders and shall agree that it shall comply with all requirements of the Code regarding the withholding of payments in respect of Federal income taxes due from Certificate Owners and otherwise comply with the provisions of this Agreement applicable to it.
ARTICLE VI
THE SERVICER, THE DEPOSITOR AND THE CREDIT RISK MANAGER
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SECTION 6.01 |
Liability of the Servicer and the Depositor. |
The Servicer shall be liable in accordance herewith only to the extent of the obligations specifically imposed upon and undertaken by Servicer herein. The Depositor shall be liable in accordance herewith only to the extent of the obligations specifically imposed upon and undertaken by the Depositor.
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SECTION 6.02 |
Merger or Consolidation of, or Assumption of the Obligations of, the Servicer or the Depositor. |
Any entity into which the Servicer or Depositor may be merged or consolidated, or any entity resulting from any merger, conversion or consolidation to which the Servicer or the Depositor shall be a party, or any corporation succeeding to the business of the Servicer or the Depositor, shall be the successor of the Servicer or the Depositor, 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 Servicer shall satisfy all the requirements of Section 7.02 with respect to the qualifications of a successor Servicer.
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SECTION 6.03 |
Limitation on Liability of the Servicer and Others. |
Neither the Servicer nor the Depositor nor any of the directors or officers or employees or agents of the Servicer or the Depositor shall be under any liability to the Trust or the Certificateholders for any action taken or for refraining from the taking of any action by the Servicer or the Depositor in good faith pursuant to this Agreement, or for errors in judgment; provided, however, that this provision shall not protect the Servicer, the Depositor or any such Person against any liability which would otherwise be imposed by reason of its willful misfeasance, bad faith or negligence in the performance of duties of the Servicer or the Depositor, as the case may be, or by reason of its reckless disregard of its obligations and duties of the Servicer or the Depositor, as the case may be, hereunder. The Servicer and any director or officer or employee or agent of the 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 Servicer and the Depositor, and any director or officer or employee or agent of the Servicer or the Depositor, shall be indemnified by the Trust and held harmless against any loss, liability or expense incurred in connection with (i) any legal action relating to this Agreement or the Certificates, other than any loss, liability or expense incurred by reason of its willful misfeasance, bad faith or negligence or by reason of its reckless disregard of its obligations and duties hereunder or by reason of its failure to perform its obligations or duties hereunder and (ii) any breach of a representation or warranty regarding the Mortgage Loans. The Servicer or the Depositor may initiate any such action which it may deem necessary or desirable in respect of this Agreement, and the rights and duties of the parties hereto and the interests of the Certificateholders hereunder. In such event, unless the Depositor or the Servicer acts without the consent of the Holders of Certificates entitled to at least 51% of the Voting Rights, the
reasonable legal expenses and costs of such action and any liability resulting therefrom shall be expenses, costs and liabilities of the Trust and the Servicer shall be entitled to be reimbursed therefor from the Collection Account as and to the extent provided in Section 3.11, any such right of reimbursement being prior to the rights of the Certificateholders to receive any amount in the Collection Account. The Servicer’s right to indemnity or reimbursement pursuant to this Section shall survive any resignation or termination of the Servicer pursuant to Section 6.04 or 7.01 with respect to any losses, expenses, costs or liabilities arising prior to such resignation or termination (or arising from events that occurred prior to such resignation or termination). This paragraph shall apply to the Servicer solely in its capacity as Servicer hereunder and in no other capacities. Without limiting the foregoing, the Servicer shall undertake to defend any claims against the Trust Fund, the Trustee and/or itself initiated by a Borrower or otherwise related to the servicing of any Mortgage Loan, the reasonable legal expenses and costs of such action and any liability resulting therefrom shall be expenses, costs and liabilities of the Trust and the Servicer shall be entitled to be reimbursed therefor from the Collection Account as and to the extent provided in Section 3.11, any such right of reimbursement being prior to the rights of the Certificateholders to receive any amount in the Collection Account.
The Credit Risk Manager and any director, officer, employee or agent of the Credit Risk Manager shall be indemnified and held harmless by the Trust Fund against any loss, liability or expense (not including expenses, disbursements and advances incurred or made by the Credit Risk Manager, including the compensation and the expenses and disbursements of its agents and counsel, in the ordinary course of its appointment as Credit Risk Manager or its performance of its duties as such) incurred in connection with any claim or legal action or any pending or threatened claim or legal action relating to this Agreement, the Credit Risk Management Agreement or the Certificates, other than any loss, liability or expense (i) resulting from a breach of the Servicer’s obligations and duties under the Pooling Agreement or Credit Risk Management Agreement for which the Credit Risk Manager is indemnified by the Servicer under the Credit Risk Management Agreement or (ii) incurred by reason of willful misfeasance, bad faith or negligence in the performance of duties under the Credit Risk Management Agreement or by reason of reckless disregard of obligations and duties thereunder.
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SECTION 6.04 |
Servicer Not to Resign. |
The Servicer shall not resign from the obligations and duties hereby imposed on it except (i) upon determination that its duties hereunder are no longer permissible under applicable law or are in material conflict by reason of applicable law with any other activities carried on by it or its subsidiaries or Affiliates, the other activities of the Servicer so causing such a conflict being of a type and nature carried on by the Servicer or its subsidiaries or Affiliates at the date of this Agreement or (ii) upon satisfaction of the following conditions: (a) the Servicer has proposed a successor servicer to the Trustee and the NIMS Insurer in writing and such proposed successor servicer is reasonably acceptable to the Trustee and the NIMS Insurer and (b) each Rating Agency shall have delivered a letter to the Trustee and the NIMS Insurer prior to the appointment of the successor servicer stating that the proposed appointment of such successor servicer as Servicer hereunder will not result in the reduction or withdrawal of the then current rating of the Certificates; provided, however, that no such resignation by the Servicer shall become effective until such successor servicer or, in the case of (i) above, the Trustee shall have
assumed the Servicer’s responsibilities and obligations hereunder or the Trustee shall have designated, with the consent of the NIMS Insurer, a successor servicer in accordance with Section 7.02. Except as expressly provided herein, the Servicer shall not assign or transfer any of its rights, benefits or privileges hereunder to any other Person, or delegate to or subcontract with, or authorize or appoint any other Person to perform any of the duties, covenants or obligations to be performed by the Servicer hereunder. The foregoing prohibition on assignment shall not prohibit the Servicer from designating a Sub-Servicer as payee of any indemnification amount payable to the Servicer hereunder; provided, however, no Sub-Servicer shall be a third-party beneficiary hereunder and the parties hereto shall not be required to recognize any Subservicer as an indemnitee under this Agreement.
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SECTION 6.05 |
Delegation of Duties. |
In the ordinary course of business, the Servicer at any time may delegate any of its duties hereunder to any Person, including any of its Affiliates, who agrees to conduct such duties in accordance with standards comparable to those set forth in Section 3.01. Such delegation shall not relieve the Servicer of its liabilities and responsibilities with respect to such duties and shall not constitute a resignation within the meaning of Section 6.04. Except as provided in Section 3.02, no such delegation is permitted that results in the delegee subservicing any Mortgage Loans. The Servicer shall provide the Trustee and the NIMS Insurer with 60 days prior written notice prior to the delegation of any of its duties to any Person other than any of the Servicer’s Affiliates or their respective successors and assigns.
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SECTION 6.06 |
[Reserved]. |
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SECTION 6.07 |
Inspection. |
The Servicer, in its capacity as Servicer, shall afford the Trustee and the NIMS Insurer, upon reasonable notice, during normal business hours, access to all records maintained by the Servicer in respect of its rights and obligations hereunder and access to officers of the Servicer responsible for such obligations.
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SECTION 6.08 |
Credit Risk Manager. |
For and on behalf of the Depositor, the Credit Risk Manager will provide reports and recommendations concerning certain delinquent and defaulted Mortgage Loans, and as to the collection of any Prepayment Charges with respect to the Mortgage Loans. Such reports and recommendations will be based upon information provided to the Credit Risk Manager pursuant to the Credit Risk Management Agreement, and the Credit Risk Manager shall look solely to the Servicer for all information and data (including loss and delinquency information and data) relating to the servicing of the Mortgage Loans. Upon any termination of the Credit Risk Manager or the appointment of a successor Credit Risk Manager, the Trustee, if it has been notified in writing of such termination or appointment, shall give written notice thereof to the Servicer and the Depositor.
If Holders of the Certificates entitled to 66 2/3% or more of the Voting Rights request in writing to the Trustee to terminate the Credit Risk Manager under this Agreement, the
Credit Risk Manager shall be removed pursuant to this Section 6.08. Upon receipt of such notice, the Trustee shall provide written notice to the Credit Risk Manager and the Servicer of the Credit Risk Manager’s removal, which shall be effective upon receipt of such notice by the Credit Risk Manager.
ARTICLE VII
DEFAULT
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SECTION 7.01 |
Servicer Events of Termination. |
(a) If any one of the following events (“Servicer Events of Termination”) shall occur and be continuing:
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(i) |
(A) The failure by the Servicer to make any Advance; or (B) any other failure by the Servicer to deposit in the Collection Account or the Distribution Account any deposit required to be made under the terms of this Agreement which continues unremedied for a period of one Business Day after the date upon which written notice of such failure shall have been given to the Servicer by the Trustee or to the Servicer and the Trustee by the NIMS Insurer or any Holders of a Regular Certificate evidencing at least 25% of the Voting Rights; or |
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(ii) |
The failure by the Servicer to make any required Servicing Advance which failure continues unremedied for a period of 30 days, or the failure by the Servicer duly to observe or perform, in any material respect, any other covenants, obligations or agreements of the Servicer as set forth in this Agreement, which failure continues unremedied for a period of 30 days (or if such failure or breach cannot be remedied within 30 days, then such remedy shall have been commenced within 30 days and diligently pursued thereafter; provided, however, that in no event shall such failure or breach be allowed to exist for a period of greater than 90 days), after the date (A) on which written notice of such failure, requiring the same to be remedied, shall have been given to the Servicer by the Trustee or to the Trustee by the NIMS Insurer or any Holders of a Regular Certificate evidencing at least 25% of the Voting Rights or (B) of actual knowledge of such failure by a Servicing Officer of the Servicer; or |
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(iii) |
The entry against the Servicer of a decree or order by a court or agency or supervisory authority having jurisdiction in the premises for the appointment of a trustee, conservator, receiver or liquidator in any insolvency, conservatorship, receivership, readjustment of debt, marshalling of assets and liabilities or similar proceedings, or for the winding up or liquidation of its affairs, and the continuance of any such decree or order unstayed and in effect for a period of 60 days; or |
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(iv) |
The Servicer shall voluntarily go into liquidation, consent to the appointment of a conservator or receiver or liquidator or similar person in any insolvency, readjustment of debt, marshalling of assets and liabilities or similar proceedings of or relating to the Servicer or of or relating to all or substantially all of its property; or a decree or order of a court or agency or supervisory authority having jurisdiction in the premises for the |
appointment of a conservator, receiver, liquidator or similar person 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 Servicer and such decree or order shall have remained in force undischarged, unbonded or unstayed for a period of 60 days; or the Servicer shall admit in writing its inability to pay its debts generally as they become due, file a petition to take advantage of any applicable insolvency or reorganization statute, make an assignment for the benefit of its creditors or voluntarily suspend payment of its obligations;
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(v) |
A Delinquency Servicer Termination Trigger has occurred and is continuing; |
(b) then, and in each and every such case, so long as a Servicer Event of Termination shall not have been remedied within the applicable grace period, (x) with respect solely to clause (i)(A) above, if such Advance is not made by 5:00 P.M., New York time, on the Business Day immediately following the Servicer Remittance Date (provided the Trustee shall give the Servicer notice of such failure to advance by 5:00 P.M. New York time on the Servicer Remittance Date), the Trustee shall, at the direction of the NIMS Insurer, terminate all of the rights and obligations of the Servicer under this Agreement, to the extent permitted by law, and in and to the Mortgage Loans and the proceeds thereof and the Trustee, or a successor servicer appointed in accordance with Section 7.02, shall immediately make such Advance and assume, pursuant to Section 7.02, the duties of a successor Servicer and (y) in the case of (i)(B), (ii), (iii) or (iv) above, the Trustee shall, at the direction of the NIMS Insurer or the Holders of each Class of Regular Certificates evidencing Percentage Interests aggregating not less than 51%, by notice then given in writing to the Servicer (and to the Trustee if given by the NIMS Insurer or the Holders of Certificates), terminate all of the rights and obligations of the Servicer as servicer under this Agreement. Any such notice to the Servicer shall also be given to each Rating Agency, the Depositor and the Servicer. On or after the receipt by the Servicer (and by the Trustee if such notice is given by the Holders) of such written notice, all authority and power of the Servicer under this Agreement, whether with respect to the Certificates or the Mortgage Loans or otherwise, shall pass to and be vested in the Trustee pursuant to and under this Section; and, without limitation, and the Trustee is hereby authorized and empowered to execute and deliver, on behalf of the 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 of each Mortgage Loan and related documents or otherwise. The Servicer agrees to cooperate with the Trustee (or the applicable successor Servicer) in effecting the termination of the responsibilities and rights of the Servicer hereunder, including, without limitation, the delivery to the Trustee of all documents and records requested by it to enable it to assume the Servicer’s functions under this Agreement within ten Business Days subsequent to such notice, the transfer within one Business Day subsequent to such notice to the Trustee (or the applicable successor Servicer) for the administration by it of all cash amounts that shall at the time be held by the Servicer and to be deposited by it in the Collection Account, the Distribution Account, any REO Account or any Servicing Account or that have been deposited by the Servicer in such accounts or thereafter received by the Servicer with respect to the Mortgage Loans or any REO
Property received by the Servicer. All reasonable costs and expenses (including attorneys’ fees) incurred in connection with transferring the Mortgage Files to the successor Servicer and amending this Agreement to reflect such succession as Servicer pursuant to this Section shall be paid by the predecessor Servicer (or if the predecessor Servicer is the Trustee, the initial Servicer) upon presentation of reasonable documentation of such costs and expenses and to the extent not paid by the Servicer, by the Trust.
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SECTION 7.02 |
Trustee to Act; Appointment of Successor. |
(a) From the time the Servicer (and the Trustee, if notice is sent by the Holders) receives a notice of termination pursuant to Section 7.01 or 6.04, the Trustee (or such other successor Servicer as is approved in accordance with this Agreement) shall be the successor in all respects to the 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 Servicer by the terms and provisions hereof arising on and after its succession. Notwithstanding the foregoing, the parties hereto agree that the Trustee, in its capacity as successor Servicer, immediately will assume all of the obligations of the Servicer to make advances. Notwithstanding the foregoing, the Trustee, in its capacity as successor Servicer, shall not be responsible for the lack of information and/or documents that it cannot obtain through reasonable efforts. It is understood and agreed by the parties hereto that there will be a period of transition (not to exceed 90 days) before the transition of servicing obligations is fully effective. As compensation therefor, the Trustee (or such other successor Servicer) shall be entitled to such compensation as the Servicer would have been entitled to hereunder if no such notice of termination had been given. Notwithstanding the above, (i) if the Trustee is unwilling to act as successor Servicer or (ii) if the Trustee is legally unable so to act, the Trustee shall appoint or petition a court of competent jurisdiction to appoint, any established housing and home finance institution, bank or other mortgage loan or home equity loan servicer having a net worth of not less than $50,000,000 as the successor to the Servicer hereunder in the assumption of all or any part of the responsibilities, duties or liabilities of the Servicer hereunder; provided, that the appointment of any such successor Servicer shall be approved by the NIMS Insurer (such approval not to be unreasonably withheld), as evidenced by the prior written consent of the NIMS Insurer, and will not result in the qualification, reduction or withdrawal of the ratings assigned to the Certificates by the Rating Agencies as evidenced by a letter to such effect from the Rating Agencies. Pending appointment of a successor to the Servicer hereunder, the Trustee shall act in such capacity as hereinabove provided. In connection with such appointment and assumption, the successor shall be entitled to receive compensation out of payments on Mortgage Loans in an amount equal to the compensation which the Servicer would otherwise have received pursuant to Section 3.18 (or such other compensation as the Trustee and such successor shall agree, not to exceed the Servicing Fee). The appointment of a successor Servicer shall not affect any liability of the predecessor Servicer which may have arisen under this Agreement prior to its termination as Servicer to pay any deductible under an insurance policy pursuant to Section 3.14, to reimburse the Trustee pursuant to Section 3.06 or to indemnify the Trustee or the NIMS Insurer pursuant to Section 8.05(c)), nor shall any successor Servicer be liable for any acts or omissions of the predecessor Servicer or for any breach by such Servicer of any of its representations or warranties contained herein or in any related document or agreement. The Trustee and such successor shall take such action, consistent with this Agreement, as shall be necessary to effectuate any such succession. All Servicing Transfer Costs
shall be paid by the predecessor Servicer upon presentation of reasonable documentation of such costs, and if such predecessor Servicer defaults in its obligation to pay such costs, such costs shall be paid by the successor Servicer or the Trustee (in which case the successor Servicer or the Trustee, as applicable, shall be entitled to reimbursement therefor from the assets of the Trust).
(b) Any successor to the Servicer, including the Trustee, shall during the term of its service as servicer continue to service and administer the Mortgage Loans for the benefit of Certificateholders, and maintain in force a policy or policies of insurance covering errors and omissions in the performance of its obligations as Servicer hereunder and a fidelity bond in respect of its officers, employees and agents to the same extent as the Servicer is so required pursuant to Section 3.14.
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SECTION 7.03 |
Waiver of Defaults. |
The Majority Certificateholders may, on behalf of all Certificateholders and with the consent of the NIMS Insurer, waive any events permitting removal of the Servicer as servicer pursuant to this Article VII, provided, however, that the Majority Certificateholders may not waive a default in making a required distribution on a Certificate without the consent of the Holder of such Certificate and the consent of the NIMS Insurer. Upon any waiver of a past default, such default shall cease to exist and any Servicer Event of Termination arising therefrom shall be deemed to have been remedied for every purpose of this Agreement. No such waiver shall extend to any subsequent or other default or impair any right consequent thereto except to the extent expressly so waived. Notice of any such waiver shall be given by the Trustee to the Rating Agencies and the NIMS Insurer.
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SECTION 7.04 |
Notification to Certificateholders. |
(a) Upon any termination or appointment of a successor to the Servicer pursuant to this Article VII or Section 6.04, the Trustee shall give prompt written notice thereof to the Certificateholders at their respective addresses appearing in the Certificate Register, the NIMS Insurer and each Rating Agency.
(b) No later than 60 days after the occurrence of any event which constitutes or which, with notice or a lapse of time or both, would constitute a Servicer Event of Termination for five Business Days after a Responsible Officer of the Trustee becomes aware of the occurrence of such an event, the Trustee shall transmit by mail to all Certificateholders and to the NIMS Insurer notice of such occurrence unless such default or Servicer Event of Termination shall have been waived or cured.
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SECTION 7.05 |
Survivability of Servicer Liabilities. |
Notwithstanding anything herein to the contrary, upon termination of the Servicer hereunder, any liabilities of the Servicer which accrued prior to such termination shall survive such termination.
ARTICLE VIII
THE TRUSTEE
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SECTION 8.01 |
Duties of Trustee. |
The Trustee, prior to the occurrence of a Servicer Event of Termination and after the curing of all Servicer Events of Termination which may have occurred, undertakes to perform such duties and only such duties as are specifically set forth in this Agreement. If a Servicer Event of Termination has occurred (which has not been cured) of which a Responsible Officer has knowledge, 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 man would exercise or use under the circumstances in the conduct of his own affairs.
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; provided, however, that the Trustee will not be responsible for the accuracy or content of any such resolutions, certificates, statements, opinions, reports, documents or other instruments. If any such instrument is found not to conform to the requirements of this Agreement in a material manner the Trustee shall take such action as it deems appropriate to have the instrument corrected, and if the instrument is not corrected to the Trustee’s satisfaction, the Trustee will provide notice thereof to the Certificateholders and the NIMS Insurer.
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 misconduct; provided, however, that:
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(i) |
prior to the occurrence of a Servicer Event of Termination, and after the curing of all such Servicer Events of Termination 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 and conforming to the requirements of this Agreement; |
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(ii) |
the Trustee shall not be personally liable for an error of judgment made in good faith by a Responsible Officer of the Trustee, unless it shall be proved that the Trustee was negligent in ascertaining the pertinent facts; |
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(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 the NIMS Insurer or the Majority Certificateholders relating to the time, method and place of conducting any proceeding for any remedy available to the Trustee, or exercising or omitting to exercise any trust or power conferred upon the Trustee, under this Agreement; and
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(iv) |
the Trustee shall not be charged with knowledge of any failure by the Servicer to comply with the obligations of the Servicer referred to in clauses (i) and (ii) of Section 7.01(a) or of the existence of any Servicer Event of Termination unless a Responsible Officer of the Trustee at the Corporate Trust Office obtains actual knowledge of such failure or the Trustee receives written notice of such failure from the Depositor, the Servicer, the NIMS Insurer or the Majority Certificateholders. |
The Trustee shall not be required to expend or risk its own funds or otherwise incur financial liability in the performance of any of its duties hereunder, or in the exercise of any of its rights or powers, if there is reasonable ground for believing that the repayment of such funds or adequate indemnity against such risk or liability is not reasonably assured to it, and none of the provisions contained in this Agreement shall in any event require the Trustee to perform, or be responsible for the manner of performance of, any of the obligations of the Servicer under this Agreement, except during such time, if any, as the Trustee shall be the successor to, and be vested with the rights, duties, powers and privileges of, the Servicer in accordance with the terms of this Agreement.
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SECTION 8.02 |
Certain Matters Affecting the Trustee. |
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(a) |
Except as otherwise provided in Section 8.01: |
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(i) |
the Trustee may request and rely upon, 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 reasonably believed by it to be genuine and to have been signed or presented by the proper party or parties, and the manner of obtaining consents and of evidencing the authorization of the execution thereof by Certificateholders shall be subject to such reasonable regulations as the Trustee may prescribe; |
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(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; |
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(iii) |
the Trustee shall be under no obligation to exercise any of the rights 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 or the NIMS Insurer, pursuant to the provisions of this Agreement, unless such Certificateholders or the |
NIMS Insurer, as applicable shall have offered to the Trustee reasonable security or indemnity against the costs, expenses and liabilities which may be incurred therein or thereby; the right of the Trustee to perform any discretionary act enumerated in this Agreement shall not be construed as a duty, and the Trustee shall not be answerable for other than its negligence or willful misconduct in the performance of any such act;
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(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; |
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(v) |
prior to the occurrence of a Servicer Event of Termination and after the curing of all Servicer Events of Termination 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 documents, unless requested in writing to do so by the NIMS Insurer or the Majority Certificateholder; 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 cost, expense or liability as a condition to such proceeding. The reasonable expense of every such examination shall be paid by the Servicer or the NIMS Insurer (if requested by the NIMS Insurer) or, if paid by the Trustee, shall be reimbursed by the Servicer or the NIMS Insurer (if requested by the NIMS Insurer) upon demand and, if not reimbursed by the Servicer or the NIMS Insurer (if requested by the NIMS Insurer), shall be reimbursed by the Trust. Nothing in this clause (v) shall derogate from the obligation of the Servicer to observe any applicable law prohibiting disclosure of information regarding the Mortgagors; |
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(vi) |
the Trustee shall not be accountable, shall have no liability and makes no representation as to any acts or omissions hereunder of the Servicer until such time as the Trustee may be required to act as Servicer pursuant to Section 7.02 and thereupon only for the acts or omissions of the Trustee as successor Servicer; |
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(vii) |
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, custodians or nominees; |
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(viii) |
the right of the Trustee to perform any discretionary act enumerated in this Agreement shall not be construed as a duty, and the Trustee shall not be answerable for other than its negligence or willful misconduct in the performance of such act; |
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(ix) |
the Trustee shall not be personally liable for any loss resulting from the investment of funds held in the Collection Account or the REO Account made at the direction of the Servicer pursuant to Section 3.12; and |
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(x) |
The Trustee or its Affiliates are permitted to receive compensation that could be deemed to be in the Trustee’s economic self-interest for (i) serving as investment adviser, administrator, shareholder, servicing agent, custodian or sub-custodian with respect to certain of the Permitted Investments, (ii) using Affiliates to effect transactions in certain Permitted Investments and (iii) effecting transactions in certain Permitted Investments. Such compensation shall not be considered an amount that is reimbursable or payable pursuant to Section 3.11. |
In order to comply with its duties under the U.S. Patriot Act, the Trustee shall obtain and verify certain information and documentation from the other parties hereto, including, but not limited to, such parties’ name, address and other identifying information.
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SECTION 8.03 |
Trustee Not Liable for Certificates or Mortgage Loans. |
The recitals contained herein and in the Certificates (other than the authentication of the Trustee on the Certificates) shall be taken as the statements of the Depositor, and the Trustee assumes no responsibility for the correctness of the same. The Trustee makes no representations as to the validity or sufficiency of this Agreement or of the Certificates (other than the signature and authentication of the Trustee on the Certificates) or of any Mortgage Loan or related document or MERS or the MERS System other than with respect to the Trustee’s execution and authentication of the Certificates. The Trustee shall not be accountable for the use or application by the Servicer, or for the use or application of any funds paid to the Servicer in respect of the Mortgage Loans or deposited in or withdrawn from the Collection Account by the Servicer. The Trustee shall at no time have any responsibility or liability for or with respect to the legality, validity and enforceability of any Mortgage or any Mortgage Loan, or the perfection and priority of any Mortgage or the maintenance of any such perfection and priority, or for or with respect to the sufficiency of the Trust or its ability to generate the payments to be distributed to Certificateholders under this Agreement, including, without limitation: the existence, condition and ownership of any Mortgaged Property; the existence and enforceability of any hazard insurance thereon (other than if the Trustee shall assume the duties of the Servicer pursuant to Section 7.02); the validity of the assignment of any Mortgage Loan to the Trustee or of any intervening assignment; the completeness of any Mortgage Loan; the performance or enforcement of any Mortgage Loan (other than if the Trustee shall assume the duties of the Servicer pursuant to Section 7.02); the compliance by the Depositor, the Originator, the Seller or the Servicer with any warranty or representation made under this Agreement or in any related document or the accuracy of any such warranty or representation prior to the Trustee’s receipt of notice or other discovery of any non-compliance therewith or any breach thereof; any investment of monies by or at the direction of the Servicer or any loss resulting therefrom, it being understood that the Trustee shall remain responsible for any Trust property that it may hold in its individual capacity; the acts or omissions of any of the Servicer (other than if the Trustee shall assume the duties of the Servicer pursuant to Section 7.02), any Sub-Servicer or any Mortgagor;
any action of the Servicer (other than if the Trustee shall assume the duties of the Servicer pursuant to Section 7.02), or any Sub- Servicer taken in the name of the Trustee; the failure of the Servicer or any Sub-Servicer to act or perform any duties required of it as agent of the Trustee hereunder; or any action by the Trustee taken at the instruction of the Servicer (other than if the Trustee shall assume the duties of the Servicer pursuant to Section 7.02); provided, however, that the foregoing shall not relieve the Trustee of its obligation to perform its duties under this Agreement, including, without limitation, the Trustee’s duty to review the Mortgage Files pursuant to Section 2.01. The Trustee shall have no responsibility for filing any financing or continuation statement in any public office at any time or to otherwise perfect or maintain the perfection of any security interest or lien granted to it hereunder (unless the Trustee shall have become the successor Servicer).
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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 as it would have if it were not Trustee and may transact any banking and trust business with the Originator, the Servicer, the Depositor or their Affiliates.
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SECTION 8.05 |
Trustee Compensation, Custodian Fee and Expenses. |
(a) On each Distribution Date, prior to making any distributions to Certificateholders, the Trustee shall withdraw from the Distribution Account and pay to itself the Trustee Compensation payable on such Distribution Date consisting of all income earned on amounts on deposit in the Distribution Account. The Trustee shall be provided a copy of the separate fee schedule between the Depositor and the Custodian. The Trustee shall withdraw from the Distribution Account on each Distribution Date and pay to the Custodian, the Custodian Fee prior to making any distributions to Certificateholders.
(b) The Trustee, or any director, officer, employee or agent of the Trustee, shall be indemnified by the Trust Fund and held harmless against any loss, liability or expense (not including expenses and disbursements incurred or made by the Trustee, including the compensation and the expenses and disbursements of its agents and counsel, in the ordinary course of the Trustee’s performance in accordance with the provisions of this Agreement) incurred by the Trustee arising out of or in connection with the acceptance or administration of its obligations and duties under this Agreement, other than any loss, liability or expense (i) resulting from a breach of the Servicer’s obligations and duties under this Agreement for which the Trustee is indemnified under Section 8.05(b) or (ii) any loss, liability or expense incurred by reason of willful misfeasance, bad faith or negligence of the Trustee in the performance of its duties hereunder or by reason of the Trustee’s reckless disregard of obligations and duties hereunder or as a result of a breach of the Trustee’s obligations under Article X hereof. It is understood by the parties hereto that a “claim” as used in the preceding sentence includes any claim for indemnification made by the Custodian under Section 22 of the Custodial Agreement; provided, however, that the Trustee shall not lose any right it may have to indemnification under this Section 8.05 due to the willful misfeasance, bad faith or negligence of the Custodian in the performance of its duties under the Custodial Agreement or by reason of the Custodian’s reckless
disregard of its obligations and duties under the Custodial Agreement. Any amounts payable to the Trustee, or any director, officer, employee or agent of the Trustee, in respect of the indemnification provided by this Section 8.05(a), or pursuant to any other right of reimbursement from the Trust Fund that the Trustee, or any director, officer, employee or agent of the Trustee, may have hereunder in its capacity as such, may be withdrawn by the Trustee from the Distribution Account at any time. The foregoing indemnity shall survive the resignation or removal of the Trustee.
(c) The Servicer agrees to indemnify the Trustee, the NIMS Insurer, the Custodian or any director, officer, employee or agent of the Trustee, the NIMS Insurer or Custodian from, and hold it harmless against, any loss, liability or expense resulting from a breach of the Servicer’s obligations and duties under this Agreement. Such indemnity shall survive the termination or discharge of this Agreement and the resignation or removal of the Trustee and the Servicer for actions prior to such resignation or removal. Any payment hereunder made by the Servicer to the Trustee shall be from the Servicer’s own funds, without reimbursement from the Trust Fund therefor.
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SECTION 8.06 |
Eligibility Requirements for Trustee. |
The Trustee hereunder shall at all times be an entity duly organized and validly existing under the laws of the United States of America or any state thereof, 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 entity 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 8.06, the combined capital and surplus of such entity shall be deemed to be its combined capital and surplus as set forth in its most recent report of condition so published. The principal office of the Trustee (other than the initial Trustee) shall be in a state with respect to which an Opinion of Counsel has been delivered to such Trustee and the NIMS Insurer at the time such Trustee is appointed Trustee to the effect that the Trust will not be a taxable entity under the laws of such state. In case at any time the Trustee shall cease to be eligible in accordance with the provisions of this Section 8.06, the Trustee shall resign immediately in the manner and with the effect specified in Section 8.07.
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SECTION 8.07 |
Resignation or Removal of Trustee. |
The Trustee may at any time resign and be discharged from the trusts hereby created by giving written notice thereof to the NIMS Insurer, the Depositor, the Servicer and each Rating Agency. Upon receiving such notice of resignation, the Depositor shall promptly appoint a successor Trustee acceptable to the NIMS Insurer 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 having 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.
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 Depositor
or the NIMS Insurer if at any time the Trustee shall be legally unable to act, or shall be adjudged a 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 Depositor, the Servicer or the NIMS Insurer may remove the Trustee. If the Depositor, the Servicer or the NIMS Insurer removes the Trustee under the authority of the immediately preceding sentence, the Depositor, with the consent of the NIMS Insurer, shall promptly 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.
The Majority Certificateholders (or the NIMS Insurer upon the failure of the Trustee to perform its obligations hereunder) may at any time remove the Trustee by written instrument or instruments delivered to the Servicer, the Depositor and the Trustee; the Depositor shall thereupon use its best efforts to appoint a successor trustee acceptable to the NIMS Insurer in accordance with this Section.
Any resignation or removal of the Trustee and appointment of a successor Trustee pursuant to any of the provisions of this Section 8.07 shall not become effective until acceptance of appointment by the successor Trustee as provided in Section 8.08.
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SECTION 8.08 |
Successor Trustee. |
Any successor Trustee appointed as provided in Section 8.07 shall execute, acknowledge and deliver to the NIMS Insurer, the Depositor, the Servicer 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, without any further act, deed or conveyance, shall become fully vested with all the rights, powers, duties and obligations of its predecessor hereunder, with like effect as if originally named as Trustee. The Depositor, the Servicer and the predecessor Trustee shall execute and deliver such instruments and do such other things as may reasonably be required for fully and certainly vesting and confirming in the successor Trustee all such rights, powers, duties and obligations.
No successor Trustee shall accept appointment as provided in this Section 8.08 unless at the time of such acceptance such successor Trustee shall be eligible under the provisions of Section 8.06 and the appointment of such successor Trustee shall not result in a downgrading of the Regular Certificates by either Rating Agency, as evidenced by a letter from each Rating Agency.
Upon acceptance of appointment by a successor Trustee as provided in this Section 8.08, the successor Trustee shall mail notice of the appointment of a successor Trustee hereunder to all Holders of Certificates at their addresses as shown in the Certificate Register and to each Rating Agency.
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SECTION 8.09 |
Merger or Consolidation of Trustee. |
Any entity into which the Trustee may be merged or converted or with which it may be consolidated, or any entity resulting from any merger, conversion or consolidation to
which the Trustee shall be a party, or any entity succeeding to the business of the Trustee, shall be the successor of the Trustee hereunder, provided such entity shall be eligible under the provisions of Section 8.06 and 8.08, 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.
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SECTION 8.10 |
Appointment of Co-Trustee or Separate Trustee. |
Notwithstanding any other provisions of this Agreement, at any time, for the purpose of meeting any legal requirements of any jurisdiction in which any part of the Trust or any Mortgaged Property may at the time be located, the Depositor 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 and the NIMS Insurer 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, and to vest in such Person or Persons, in such capacity and for the benefit of the Certificateholders, such title to the Trust, or any part thereof, and, subject to the other provisions of this Section 8.10, such powers, duties, obligations, rights and trusts as the Servicer and the Trustee may consider necessary or desirable. Any such co-trustee or separate trustee shall be subject to the written approval of the Servicer and the NIMS Insurer. If the Servicer and the NIMS Insurer shall not have joined in such appointment within 15 days after the receipt by it of a request so to do, or in the case a Servicer Event of Termination 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, and no notice to Certificateholders of the appointment of any co-trustee or separate trustee shall be required under Section 8.08. The Servicer shall be responsible for the fees of any co-trustee or separate trustee appointed hereunder.
Every separate trustee and co-trustee shall, to the extent permitted by law, be appointed and act subject to the following provisions and conditions:
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(i) |
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 (it being understood that such separate trustee or co-trustee is not authorized to act separately without the Trustee joining in such act), 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 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 or any portion thereof in any such jurisdiction) shall be exercised and performed singly by such separate trustee or co-trustee, but solely at the direction of the Trustee; |
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(ii) |
no trustee hereunder shall be held personally liable by reason of any act or omission of any other trustee hereunder; and |
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(iii) |
the Servicer and the Trustee, acting jointly and with the consent of the NIMS Insurer, may at any time accept the resignation of or remove any separate trustee or co-trustee except that following the occurrence of a Servicer Event of Termination, the Trustee acting alone may accept the resignation or remove any separate trustee or co-trustee. |
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 and a copy thereof given to the Depositor, the Servicer and the NIMS Insurer.
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.
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SECTION 8.11 |
Limitation of Liability. |
The Certificates are executed by the Trustee, not in its individual capacity but solely as Trustee of the Trust, in the exercise of the powers and authority conferred and vested in it by the Trust Agreement. Each of the undertakings and agreements made on the part of the Trustee in the Certificates is made and intended not as a personal undertaking or agreement by the Trustee but is made and intended for the purpose of binding only the Trust.
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SECTION 8.12 |
Trustee May Enforce Claims Without Possession of Certificates. |
(a) All rights of action and claims under this Agreement or the Certificates may be prosecuted and enforced by the Trustee without the possession of any of the Certificates or the production thereof in any proceeding relating thereto, and such proceeding instituted by the Trustee shall be brought in its own name or in its capacity as Trustee for the benefit of all Holders of such Certificates, subject to the provisions of this Agreement. Any recovery of judgment shall, after provision for the payment of the reasonable compensation, expenses, disbursement and advances of the Trustee, its agents and counsel, be for the ratable benefit of the Certificateholders in respect of which such judgment has been recovered.
(b) The Trustee shall afford the Seller, the Depositor, the Servicer, the NIMS Insurer and each Certificateholder upon reasonable prior notice during normal business hours, access to all records maintained by the Trustee in respect of its duties hereunder and access to
officers of the Trustee responsible for performing such duties. Upon request, the Trustee shall furnish the Depositor, the Servicer, the NIMS Insurer and any requesting Certificateholder with its most recent financial statements. The Trustee shall cooperate fully with the Seller, the Servicer, the NIM Insurer, the Depositor and such Certificateholder and shall make available to the Seller, the Servicer, the Depositor, the NIMS Insurer and such Certificateholder for review and copying such books, documents or records as may be requested with respect to the Trustee’s duties hereunder. The Seller, the Depositor, the Servicer and the Certificateholders shall not have any responsibility or liability for any action or failure to act by the Trustee and are not obligated to supervise the performance of the Trustee under this Agreement or otherwise.
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SECTION 8.13 |
Suits for Enforcement. |
In case a Servicer Event of Termination or other default by the Servicer or the Depositor hereunder shall occur and be continuing, the Trustee, shall, at the direction of the Majority Certificateholders or the NIMS Insurer, or may, proceed to protect and enforce its rights and the rights of the Certificateholders or the NIMS Insurer under this Agreement by a suit, action or proceeding in equity or at law or otherwise, whether for the specific performance of any covenant or agreement contained in this Agreement or in aid of the execution of any power granted in this Agreement or for the enforcement of any other legal, equitable or other remedy, as the Trustee, being advised by counsel, and subject to the foregoing, shall deem most effectual to protect and enforce any of the rights of the Trustee, the NIMS Insurer and the Certificateholders.
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SECTION 8.14 |
Waiver of Bond Requirement. |
The Trustee shall be relieved of, and each Certificateholder hereby waives, any requirement of any jurisdiction in which the Trust, or any part thereof, may be located that the Trustee post a bond or other surety with any court, agency or body whatsoever.
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SECTION 8.15 |
Waiver of Inventory, Accounting and Appraisal Requirement. |
The Trustee shall be relieved of, and each Certificateholder hereby waives, any requirement of any jurisdiction in which the Trust, or any part thereof, may be located that the Trustee file any inventory, accounting or appraisal of the Trust with any court, agency or body at any time or in any manner whatsoever.
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SECTION 8.16 |
Appointment of the Custodian. |
The Trustee shall, at the direction of the Depositor and with the consent of the Servicer, appoint the Custodian to hold all or a portion of the Mortgage Files. The appointment of the Custodian may at any time be terminated and a substitute Custodian appointed therefor at the direction of the Depositor to the Trustee, the consent to which shall not be unreasonably withheld. The Custodian shall be entitled to its fees and expenses in accordance with the Custodial Agreement, which fees and expenses shall be paid to the Custodian from the Trust in accordance with Section 8.05. Subject to Article VIII hereof, the Trustee agrees to comply with the terms of the Custodial Agreement, which agreement may be amended from time to time, and
shall have the right to enforce the terms and provisions thereof against the Custodian for the benefit of the Certificateholders having an interest in any Mortgage File held by the Custodian. Notwithstanding anything to the contrary in this Agreement, the Custodian is not an agent of the Trustee and in no event shall the Trustee be liable for any acts, omission, duties, obligations, or liabilities of the Custodian. In no event shall the appointment of the Custodian pursuant to the Custodial Agreement diminish the obligations of the Trustee hereunder.
ARTICLE IX
REMIC ADMINISTRATION
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SECTION 9.01 |
REMIC Administration. |
(a) REMIC elections as set forth in the Preliminary Statement shall be made by the Trustee on Form 1066 or other appropriate federal tax or information return for the taxable year ending on the last day of the calendar year in which the Certificates are issued. The regular interests and residual interest in each REMIC shall be as designated in the Preliminary Statement.
(b) The Closing Date is hereby designated as the “Startup Day” of each REMIC within the meaning of section 860G(a)(9) of the Code.
(c) The Trustee shall pay any and all expenses relating to any tax audit of any REMIC (including, but not limited to, any professional fees or any administrative or judicial proceedings with respect to any Trust REMIC that involve the Internal Revenue Service or state tax authorities), including the expense of obtaining any tax related Opinion of Counsel. The Trustee shall be entitled to reimbursement of expenses incurred pursuant to this Section 9.01(c) to the extent provided in Section 8.05.
(d) The Trustee shall prepare, sign and file, all of the REMICs’ federal and state tax and information returns (including Form 8811) as the direct representative each REMIC created hereunder. The expenses of preparing and filing such returns shall be borne by the Trustee.
(e) The Holder of the Class R Certificate at any time holding the largest Percentage Interest thereof shall be the “tax matters person” as defined in the REMIC Provisions (the related “Tax Matters Person”) with respect to REMIC 1 and REMIC 2 and shall act as Tax Matters Person for REMIC 1 and REMIC 2. The Holder of the Class R-X Certificate at any time holding the largest Percentage Interest thereof shall be the Tax Matters Person with respect to REMIC 3 and REMIC 4 and shall act as Tax Matters Person for REMIC 3 and REMIC 4. The Trustee, as agent for the Tax Matters Person, shall perform on behalf of each REMIC all reporting and other tax compliance duties that are the responsibility of such REMIC under the Code, the REMIC Provisions, or other compliance guidance issued by the Internal Revenue Service or any state or local taxing authority. Among its other duties, if required by the Code, the REMIC Provisions, or other such guidance, the Trustee, as agent for the Tax Matters Person, shall provide (i) to the Treasury or other governmental authority such information as is necessary for the application of any tax relating to the transfer of a Residual Certificate to any disqualified person or organization and (ii) to the Certificateholders such information or reports as are required by the Code or REMIC Provisions. The Trustee, as agent for the Tax Matters Person, shall represent each REMIC in any administrative or judicial proceedings relating to an examination or audit by any governmental taxing authority, request an administrative adjustment as to any taxable year of any REMIC, enter into settlement agreements with any government taxing agency, extend any statute of limitations relating to any item of any REMIC and otherwise act on behalf of any REMIC in relation to any tax matter involving the Trust.
(f) The Trustee, the Servicer and the Holders of Certificates shall take any action or cause the REMIC to take any action necessary to create or maintain the status of each REMIC as a REMIC under the REMIC Provisions and shall assist each other as necessary to create or maintain such status. Neither the Trustee, the Servicer nor the Holder of any Residual Certificate shall take any action, cause any REMIC created hereunder to take any action or fail to take (or fail to cause to be taken) any action that, under the REMIC Provisions, if taken or not taken, as the case may be, could (i) endanger the status of such REMIC as a REMIC or (ii) result in the imposition of a tax upon such REMIC (including but not limited to the tax on prohibited transactions as defined in Code Section 860F(a)(2) and the tax on prohibited contributions set forth on Section 860G(d) of the Code) (either such event, an “Adverse REMIC Event”) unless the Trustee, the NIMS Insurer and the Servicer have received an Opinion of Counsel (at the expense of the party seeking to take such action) to the effect that the contemplated action will not endanger such status or result in the imposition of such a tax. In addition, prior to taking any action with respect to any REMIC created hereunder or the assets therein, or causing such REMIC to take any action, which is not expressly permitted under the terms of this Agreement, any Holder of a Residual Certificate will consult with the Trustee, the NIMS Insurer and the Servicer, or their respective designees, in writing, with respect to whether such action could cause an Adverse REMIC Event to occur with respect to any REMIC, and no such Person shall take any such action or cause any REMIC to take any such action as to which the Trustee, the NIMS Insurer or the Servicer has advised it in writing that an Adverse REMIC Event could occur.
(g) Each Holder of a Residual Certificate shall pay when due any and all taxes imposed on each REMIC created hereunder by federal or state governmental authorities. To the extent that such Trust taxes are not paid by a Residual Certificateholder, the Trustee shall pay any remaining REMIC taxes out of current or future amounts otherwise distributable to the Holder of the Residual Certificate in the REMICs or, if no such amounts are available, out of other amounts held in the Distribution Account, and shall reduce amounts otherwise payable to Holders of regular interests in the related REMIC. Subject to the foregoing, in the event that a REMIC incurs a state or local tax, including franchise taxes, as a result of a determination that such REMIC is domiciled in the State of California for state tax purposes by virtue of the location of the Servicer, the Servicer agrees to pay on behalf of such REMIC when due, any and all state and local taxes imposed as a result of such a determination, in the event that the Holder of the related Residual Certificate fails to pay such taxes, if any, when imposed.
(h) The Trustee, as agent for the Tax Matters Person, shall, for federal income tax purposes, maintain books and records with respect to each REMIC created hereunder on a calendar year and on an accrual basis.
(i) No additional contributions of assets shall be made to any REMIC created hereunder, except as expressly provided in this Agreement with respect to eligible substitute mortgage loans.
(j) Neither the Trustee nor the Servicer shall enter into any arrangement by which any REMIC created hereunder will receive a fee or other compensation for services.
(k) On or before April 15 of each calendar year beginning in 2005, the Servicer shall deliver to the NIMS Insurer, the Trustee and each Rating Agency an Officers’ Certificate stating the Servicer’s compliance with the provisions of this Section 9.01.
(l) The Trustee will apply for an Employee Identification Number from the Internal Revenue Service via a Form SS-4 or other acceptable method for all tax entities and shall complete the Form 8811.
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SECTION 9.02 |
Prohibited Transactions and Activities. |
Neither the Depositor, the Servicer nor the Trustee shall sell, dispose of, or substitute for any of the Mortgage Loans, except in a disposition pursuant to (i) the foreclosure of a Mortgage Loan, (ii) the bankruptcy of the Trust Fund, (iii) the termination of any REMIC created hereunder pursuant to Article X of this Agreement, (iv) a substitution pursuant to Article II of this Agreement or (v) a repurchase of Mortgage Loans pursuant to Article II of this Agreement, nor acquire any assets for any REMIC, nor sell or dispose of any investments in the Distribution Account for gain, nor accept any contributions to either REMIC after the Closing Date, unless it and the NIMS Insurer have received an Opinion of Counsel (at the expense of the party causing such sale, disposition, or substitution) that such disposition, acquisition, substitution, or acceptance will not (a) affect adversely the status of any REMIC created hereunder as a REMIC or of the interests therein other than the Residual Certificates as the regular interests therein, (b) affect the distribution of interest or principal on the Certificates, (c) result in the encumbrance of the assets transferred or assigned to the Trust Fund (except pursuant to the provisions of this Agreement) or (d) cause any REMIC created hereunder to be subject to a tax on prohibited transactions or prohibited contributions pursuant to the REMIC Provisions.
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SECTION 9.03 |
Indemnification with Respect to Certain Taxes and Loss of REMIC Status. |
(a) In the event that any REMIC fails to qualify as a REMIC, loses its status as a REMIC, or incurs federal, state or local taxes as a result of a prohibited transaction or prohibited contribution under the REMIC Provisions due to the negligent performance by the Servicer of its duties and obligations set forth herein, the Servicer shall indemnify the NIMS Insurer, the Trustee and the Trust Fund against any and all losses, claims, damages, liabilities or expenses (“Losses”) resulting from such negligence; provided, however, that the Servicer shall not be liable for any such Losses attributable to the action or inaction of the Trustee, the Depositor or the Holder of such Residual Certificate, as applicable, nor for any such Losses resulting from misinformation provided by the Holder of such Residual Certificate on which the Servicer has relied. The foregoing shall not be deemed to limit or restrict the rights and remedies of the Holder of such Residual Certificate now or hereafter existing at law or in equity. Notwithstanding the foregoing, however, in no event shall the Servicer have any liability (1) for any action or omission that is taken in accordance with and in compliance with the express terms of, or which is expressly permitted by the terms of, this Agreement, (2) for any Losses other than arising out of a negligent performance by the Servicer of its duties and obligations set forth herein, and (3) for any special or consequential damages to Certificateholders (in addition to payment of principal and interest on the Certificates).
(b) In the event that any REMIC fails to qualify as a REMIC, loses its status as a REMIC, or incurs federal, state or local taxes as a result of a prohibited transaction or prohibited contribution under the REMIC Provisions due to the negligent performance by the Trustee of its duties and obligations set forth herein, the Trustee shall indemnify the Trust Fund against any and all Losses resulting from such negligence; provided, however, that the Trustee shall not be liable for any such Losses attributable to the action or inaction of the Servicer, the Depositor or the Holder of such Residual Certificate, as applicable, nor for any such Losses resulting from misinformation provided by the Holder of such Residual Certificate on which the Trustee has relied. The foregoing shall not be deemed to limit or restrict the rights and remedies of the Holder of such Residual Certificate now or hereafter existing at law or in equity. Notwithstanding the foregoing, however, in no event shall the Trustee have any liability (1) for any action or omission that is taken in accordance with and in compliance with the express terms of, or which is expressly permitted by the terms of, this Agreement, (2) for any Losses other than arising out of a negligent performance by the Trustee of its duties and obligations set forth herein, and (3) for any special or consequential damages to Certificateholders (in addition to payment of principal and interest on the Certificates).
ARTICLE X
TERMINATION
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SECTION 10.01 |
Termination. |
(a) The respective obligations and responsibilities of the Servicer, the Depositor and the Trustee created hereby (other than the obligation of the Trustee to make certain payments to Certificateholders after the final Distribution Date and the obligation of the Servicer to send certain notices as hereinafter set forth) shall terminate upon notice to the Trustee upon the earliest of (i) the Distribution Date on which the Certificate Principal Balances of the Regular Certificates have been reduced to zero, (ii) the final payment or other liquidation of the last Mortgage Loan in the Trust, (iii) the optional purchase by the Terminator of the Mortgage Loans as described below and (iv) the Distribution Date in August 2035. Notwithstanding the foregoing, 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. James’s, living on the date hereof.
The Servicer (in such context, the “Terminator”), may, at its option, terminate this Agreement on any date on which the aggregate of the Stated Principal Balances of the Mortgage Loans (after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or advanced, and unscheduled collections of principal received during the related Prepayment Period) on such date is equal to or less than 10% of the aggregate Stated Principal Balances of the Mortgage Loans on the Cut-off Date, by purchasing, on the next succeeding Distribution Date, all of the outstanding Mortgage Loans and REO Properties at a price equal to the greater of (i) the Stated Principal Balance of the Mortgage Loans (after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or advanced, and unscheduled collections of principal received during the related Prepayment Period) and the appraised value of the REO Properties and (ii) fair market value of the Mortgage Loans and REO Properties (as determined and as agreed upon in their good faith business judgment (determined as provided in the last sentence of this paragraph) as of the close of business on the third Business Day next preceding the date upon which notice of any such termination is furnished to the related Certificateholders pursuant to Section 10.01(c) by (x) the Terminator, (y) the Holders of a majority in Percentage Interest in the Class C Certificates and (z) if the Floating-Rate Certificates will not receive all amounts owed to it as a result of the termination, the Trustee (provided that if this clause (z) applies to such determination, such determination shall, notwithstanding anything to the contrary herein, be based solely upon an appraisal obtained as provided in the last sentence of this paragraph)), plus accrued and unpaid interest thereon at the weighted average of the Mortgage Rates through the end of the Due Period preceding the final Distribution Date plus unreimbursed Servicing Advances, Advances, any unpaid Servicing Fees allocable to such Mortgage Loans and REO Properties and any accrued and unpaid Net WAC Rate Carryover Amounts (the “Termination Price”); provided, however, such option may only be exercised if the Termination Price is sufficient to result in the payment of all interest accrued on, as well as amounts necessary to retire the principal balance of, each class of notes issued pursuant to the Indenture and any amounts owed to the NIMS Insurer (as it notifies the Trustee and Servicer in writing). If the determination of the fair market value of the Mortgage Loans and REO Properties shall be required to be made and agreed upon by the
Terminator, the Holders of a majority in Percentage Interest in the Class C Certificates and the Trustee as provided in (ii) above in their good faith business judgment, such determination shall be based on an appraisal of the value of the Mortgage Loans and REO Properties conducted by an independent appraiser mutually agreed upon by the Terminator, the Holders of a majority in Percentage Interest in the Class C Certificates and the Trustee in their reasonable discretion, and (A) such appraisal shall be obtained at no expense to the Trustee and (B) notwithstanding anything to the contrary above, the Trustee may solely and conclusively rely on, and shall be protected in relying on, such appraisal in making such determination.
In connection with any such purchase pursuant to the preceding paragraph, the Terminator shall deposit in the Distribution Account all amounts then on deposit in the Collection Account, which deposit shall be deemed to have occurred immediately preceding such purchase.
Any such purchase shall be accomplished by deposit into the Distribution Account on the Determination Date before such Distribution Date of the Termination Price.
(b) Notice of any termination, specifying the 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 for payment of the final distribution and cancellation, shall be given promptly by the Trustee upon the Trustee receiving notice of such date from the Terminator, 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 (1) the Distribution Date upon which final distribution of the Certificates will be made upon presentation and surrender of such Certificates at the office or agency of the Trustee therein designated, (2) the amount of any such final distribution and (3) that the Record Date otherwise applicable to such Distribution Date is not applicable, distributions being made only upon presentation and surrender of the Certificates at the office or agency of the Trustee therein specified.
(c) Upon presentation and surrender of the Certificates, the Trustee shall cause to be distributed to the Holders of the Certificates on the Distribution Date for such final distribution, in proportion to the Percentage Interests of their respective Class and to the extent that funds are available for such purpose, an amount equal to the amount required to be distributed to such Holders in accordance with the provisions of Section 4.01 for such Distribution Date. By acceptance of the Residual Certificates, the Holders of the Residual Certificates agree, in connection with any termination hereunder, to assign and transfer any amounts in excess of the par value of the Mortgage Loans, and to the extent received in respect of such termination, to pay any such amounts to the Holders of the Class C Certificates.
(d) In the event that all Certificateholders shall not surrender their Certificates for final payment and cancellation on or before such final Distribution Date, the Trustee shall promptly following such date cause all funds in the Distribution 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 Servicing Account for the benefit of such Certificateholders, and the Servicer (if the Servicer has exercised its right to purchase the Mortgage Loans) 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 nine months after the second notice all the Certificates shall not have been surrendered for cancellation, the Residual Certificateholders shall be entitled to all unclaimed funds and other assets which remain subject hereto, and the Trustee upon transfer of such funds shall be discharged of any responsibility for such funds, and the Certificateholders shall look to the Residual Certificateholders for payment.
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SECTION 10.02 |
Additional Termination Requirements. |
(a) In the event that the Terminator exercises its purchase option as provided in Section 10.01, each REMIC shall be terminated in accordance with the following additional requirements, unless the Trustee shall have been furnished with an Opinion of Counsel to the effect that the failure of the Trust to comply with the requirements of this Section will not (i) result in the imposition of taxes on “prohibited transactions” of the Trust as defined in Section 860F of the Code or (ii) cause any REMIC constituting part of the Trust Fund to fail to qualify as a REMIC at any time that any Certificates are outstanding:
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(i) |
Within 90 days prior to the final Distribution Date, the Terminator shall adopt and the Trustee shall sign a plan of complete liquidation of each REMIC created hereunder meeting the requirements of a “Qualified Liquidation” under Section 860F of the Code and any regulations thereunder; and |
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(ii) |
At or after the time of adoption of such a plan of complete liquidation and at or prior to the final Distribution Date, the Trustee shall sell all of the assets of the Trust Fund to the Terminator for cash pursuant to the terms of the plan of complete liquidation. |
(b) By their acceptance of Certificates, the Holders thereof hereby agree to appoint the Trustee as their attorney in fact to: (i) adopt such a plan of complete liquidation (and the Certificateholders hereby appoint the Trustee as their attorney in fact to sign such plan) as appropriate and (ii) to take such other action in connection therewith as may be reasonably required to carry out such plan of complete liquidation all in accordance with the terms hereof.
ARTICLE XI
MISCELLANEOUS PROVISIONS
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SECTION 11.01 |
Amendment. |
This Agreement may be amended from time to time by the Depositor, the Servicer and the Trustee with the consent of the NIMS Insurer and without the consent of the Certificateholders (i) to cure any ambiguity, (ii) to correct or supplement any provisions herein which may be defective or inconsistent with any other provisions herein (iii) to amend the provisions of Section 3.22(b) or (iv) to make any other provisions with respect to matters or questions arising under this Agreement which shall not be inconsistent with the provisions of this Agreement; provided that such action shall not, as evidenced by either (a) an Opinion of Counsel delivered to the Trustee or (b) written notice to the Depositor, the Servicer and the Trustee from each Rating Agency that such action will not result in the reduction or withdrawal of the rating of any outstanding Class of Certificates with respect to which it is a Rating Agency, adversely affect in any material respect the interests of any Certificateholder. No amendment shall be deemed to adversely affect in any material respect the interests of any Certificateholder who shall have consented thereto, and no Opinion of Counsel or Rating Agency confirmation shall be required to address the effect of any such amendment on any such consenting Certificateholder. Notwithstanding the foregoing, neither an Opinion of Counsel nor written notice to the Depositor, the Servicer and the Trustee from the Rating Agencies will be required in connection with an amendment to the provisions of Section 3.22(b).
In addition, this Agreement may be amended from time to time by the Depositor, the Servicer and the Trustee with the consent of the NIMS Insurer and the Majority Certificateholders for the purpose of adding any provisions to or changing in any manner or eliminating any of the provisions of this Agreement or of modifying in any manner the rights of the Holders of Certificates; provided, however, that no such amendment or waiver shall (x) reduce in any manner the amount of, or delay the timing of, payments on the Certificates or distributions which are required to be made on any Certificate without the consent of the Holder of such Certificate, (y) adversely affect in any material respect the interests of the Holders of any Class of Certificates (as evidenced by either (i) an Opinion of Counsel delivered to the Trustee or (ii) written notice to the Depositor, the Servicer and the Trustee from each Rating Agency that such action will not result in the reduction or withdrawal of the rating of any outstanding Class of Certificates with respect to which it is a Rating Agency) in a manner other than as described in clause (x) above, without the consent of the Holders of Certificates of such Class evidencing at least a 66% Percentage Interest in such Class, or (z) reduce the percentage of Voting Rights required by clause (y) above without the consent of the Holders of all Certificates of such Class then outstanding. Upon approval of an amendment, a copy of such amendment shall be sent to the Rating Agencies.
Notwithstanding any provision of this Agreement to the contrary, the Trustee shall not consent to any amendment to this Agreement unless it shall have first received an Opinion of Counsel, delivered by (and at the expense of) the Person seeking such Amendment and satisfactory to the NIMS Insurer, to the effect that such amendment will not result in the imposition of a tax on any REMIC created hereunder constituting part of the Trust Fund pursuant
to the REMIC Provisions or cause any REMIC created hereunder constituting part of the Trust to fail to qualify as a REMIC at any time that any Certificates are outstanding and that the amendment is being made in accordance with the terms hereof.
Promptly after the execution of any such amendment the Trustee shall furnish, at the expense of the Person that requested the amendment if such Person is the Servicer (but in no event at the expense of the Trustee), otherwise at the expense of the Trust, a copy of such amendment and the Opinion of Counsel referred to in the immediately preceding paragraph to the Servicer, the NIMS Insurer and each Rating Agency.
It shall not be necessary for the consent of Certificateholders under this Section 11.01 to approve the particular form of any proposed amendment; instead 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.
The Trustee may, but shall not be obligated to, enter into any amendment pursuant to this Section 11.01 that affects its rights, duties and immunities under this Agreement or otherwise.
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SECTION 11.02 |
Recordation of Agreement; Counterparts. |
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 Servicer at the expense of the Trust, but only upon direction of Certificateholders accompanied by an Opinion of Counsel to the effect that such recordation materially and beneficially affects 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 together constitute but one and the same instrument.
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SECTION 11.03 |
Limitation on Rights of Certificateholders. |
The death or incapacity of any Certificateholder shall not (i) operate to terminate this Agreement or the Trust, (ii) 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, or (iii) otherwise affect the rights, obligations and liabilities of the parties hereto or any of them.
Except as expressly provided for herein, no Certificateholder shall have any right to vote or in any manner otherwise control the operation and management of the Trust, 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.
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 entitled to at least 25% of the Voting Rights 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 15 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 is understood and intended, and expressly covenanted by each Certificateholder with every other Certificateholder and the Trustee, that no one or more Holders of Certificates 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, or to obtain or seek to obtain priority over or preference to any other such Holder, which priority or preference is not otherwise provided for herein, or to enforce any right under this Agreement, except in the manner herein provided and for the equal, ratable and common benefit of all Certificateholders. 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.
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SECTION 11.04 |
Governing Law; Jurisdiction. |
This Agreement shall be 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. With respect to any claim arising out of this Agreement, each party irrevocably submits to the exclusive jurisdiction of the courts of the State of New York and the United States District Court located in the Borough of Manhattan in The City of New York, and each party irrevocably waives any objection which it may have at any time to the laying of venue of any suit, action or proceeding arising out of or relating hereto brought in any such courts, irrevocably waives any claim that any such suit, action or proceeding brought in any such court has been brought in any inconvenient forum and further irrevocably waives the right to object, with respect to such claim, suit, action or proceeding brought in any such court, that such court does not have jurisdiction over such party, provided that service of process has been made by any lawful means.
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SECTION 11.05 |
Notices. |
All directions, demands and notices hereunder shall be in writing and shall be deemed to have been duly given if personally delivered at or mailed by first class mail, postage prepaid, by facsimile or by express delivery service, to (a) in the case of the Servicer, Option One Mortgage Corporation, 3 Xxx, Xxxxxx, Xxxxxxxxxx 00000, or such other address or telecopy number as may hereafter be furnished to the Depositor, the NIMS Insurer and the Trustee in writing by the Servicer, (b) in the case of the Trustee, Deutsche Bank National Trust Company, 0000 Xxxx Xx. Xxxxxx Xxxxx, Xxxxx Xxx, Xxxxxxxxxx 00000-0000, Attention: Trust Administration
– GC05O2 (telecopy number: (000) 000-0000), or such other address or telecopy number as may hereafter be furnished to the Depositor, the NIMS Insurer and the Servicer in writing by the Trustee (c) in the case of the Depositor, Financial Asset Securities Corp., 000 Xxxxxxxxx Xxxx, Xxxxxxxxx, Xxxxxxxxxxx 00000, Attention: Legal, or such other address as may be furnished to the Servicer, the NIMS Insurer and the Trustee in writing by the Depositor and (d) in the case of the NIMS Insurer, such address furnished to the Depositor, the Servicer and the Trustee in writing by the NIMS Insurer, or such other address or telecopy number as may hereafter be furnished to the Depositor, the Servicer and the Trustee in writing by the NIMS Insurer. 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. Notice of any Servicer Event of Termination shall be given by telecopy and by certified mail. Any notice so mailed within the time prescribed in this Agreement shall be conclusively presumed to have duly been given when mailed, whether or not the Certificateholder receives such notice. A copy of any notice required to be telecopied hereunder shall also be mailed to the appropriate party in the manner set forth above.
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SECTION 11.06 |
Severability of Provisions. |
If any one or more of the covenants, agreements, provisions or terms of this Agreement shall for any reason whatsoever be 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.
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SECTION 11.07 |
Article and Section References. |
All article and section references used in this Agreement, unless otherwise provided, are to articles and sections in this Agreement.
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SECTION 11.08 |
Notice to the Rating Agencies and the NIMS Insurer. |
(a) Each of the Trustee and the Servicer shall be obligated to use its best reasonable efforts promptly to provide notice to the Rating Agencies and the NIMS Insurer with respect to each of the following of which a Responsible Officer of the Trustee or Servicer, as the case may be, has actual knowledge:
|
(i) |
any material change or amendment to this Agreement; |
|
(ii) |
the occurrence of any Servicer Event of Termination that has not been cured or waived; |
|
(iii) |
the resignation or termination of the Servicer or the Trustee; |
| |
|
(iv) |
the final payment to Holders of the Certificates of any Class; | ||
|
(v) |
any change in the location of any Account; and |
| |
|
(vi) |
if the Trustee is acting as successor Servicer pursuant to Section 7.02 hereof, any event that would result in the inability of the Trustee to make Advances. |
(b) In addition, the Trustee shall promptly make available to each Rating Agency copies of each Statement to Certificateholders described in Sections 4.03 and 3.19 hereof and the Servicer shall promptly furnish to each Rating Agency copies of the following:
|
(i) |
each annual statement as to compliance described in Section 3.20 hereof; |
|
(ii) |
each annual independent public accountants’ servicing report described in Section 3.21 hereof; and |
|
(iii) |
each notice delivered pursuant to Section 7.01(a) hereof which relates to the fact that the Servicer has not made an Advance. |
Any such notice pursuant to this Section 11.08 shall be in writing and shall be deemed to have been duly given if personally delivered or mailed by first class mail, postage prepaid, or by express delivery service to (i) Xxxxx’x Investors Service, Inc., 00 Xxxxxx Xxxxxx, Xxx Xxxx, Xxx Xxxx 00000 and (ii) Standard & Poor’s, a division of The XxXxxx-Xxxx Companies, Inc., 00 Xxxxx Xxxxxx, 00xx Xxxxx, Xxx Xxxx, XX 00000, Attention: Residential Mortgage Surveillance Group.
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SECTION 11.09 |
Further Assurances. |
Notwithstanding any other provision of this Agreement, neither the Regular Certificateholders nor the Trustee shall have any obligation to consent to any amendment or modification of this Agreement unless they have been provided reasonable security or indemnity against their out-of-pocket expenses (including reasonable attorneys’ fees) to be incurred in connection therewith.
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SECTION 11.10 |
Third Party Rights. |
The NIMS Insurer shall be deemed a third-party beneficiary of this Agreement to the same extent as if it were a party hereto, and shall have the right to enforce the provisions of this Agreement.
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SECTION 11.11 |
Benefits of Agreement. |
Nothing in this Agreement or in the Certificates, expressed or implied, shall give to any Person, other than the Certificateholders, the NIMS Insurer and the parties hereto and their successors hereunder, any benefit or any legal or equitable right, remedy or claim under this Agreement.
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SECTION 11.12 |
Acts of Certificateholders. |
(a) Any request, demand, authorization, direction, notice, consent, waiver or other action provided by this Agreement to be given or taken by the Certificateholders may be
embodied in and evidenced by one or more instruments of substantially similar tenor signed by such Certificateholders in person or by agent duly appointed in writing, and such action shall become effective when such instrument or instruments are delivered to the Trustee and the Servicer. Such instrument or instruments (and the action embodied therein and evidenced thereby) are herein sometimes referred to as the “act” of the Certificateholders signing such instrument or instruments. Proof of execution of any such instrument or of a writing appointing any such agent shall be sufficient for any purpose of this Agreement and conclusive in favor of the Trustee and the Trust, if made in the manner provided in this Section 11.11.
(b) The fact and date of the execution by any Person of any such instrument or writing may be proved by the affidavit of a witness of such execution or by the certificate of a notary public or other officer authorized by law to take acknowledgments of deeds, certifying that the individual signing such instrument or writing acknowledged to him the execution thereof. Whenever such execution is by a signer acting in a capacity other than his or her individual capacity, such certificate or affidavit shall also constitute sufficient proof of his authority.
(c) Any request, demand, authorization, direction, notice, consent, waiver or other action by any Certificateholder shall bind every future Holder of such Certificate and the Holder of every Certificate issued upon the registration of transfer thereof or in exchange therefor or in lieu thereof, in respect of anything done, omitted or suffered to be done by the Trustee or the Trust in reliance thereon, whether or not notation of such action is made upon such Certificate.
IN WITNESS WHEREOF, the Depositor, the Servicer and the Trustee have caused their names to be signed hereto by their respective officers thereunto duly authorized, all as of the day and year first above written.
FINANCIAL ASSET SECURITIES CORP.,
as Depositor
By:/s/ Xxxxx Xxxxx
Name: Xxxxx Xxxxx
Title: Managing Director
OPTION ONE MORTGAGE CORPORATION.,
as Servicer
By:/s/ Xxxxxxx X. Xxxxxx
Name: Xxxxxxx X. Xxxxxx
Title: Vice President
DEUTSCHE BANK NATIONAL TRUST COMPANY, as Trustee
By:/s/ Xxxxxxx Xxxxx
Name: Xxxxxxx Xxxxx
Title: Vice President
By:/s/ Xxxx Xxxxxxx
Name: Xxxx Xxxxxxx
Title: Associate
STATE OF CONNECTICUT |
) |
|
) ss.: |
COUNTY OF |
) |
On the ____ day of August, 2005 before me, a notary public in and for said State, personally appeared ___________________known to me to be a ____________________ of Financial Asset Securities Corp., a Delaware corporation 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
STATE OF CALIFORNIA |
) |
|
) ss.: |
COUNTY OF ORANGE |
) |
On the____ day of August, 2005 before me, a notary public in and for said State, personally appeared ________________________known to me to be a ___________________ of Option One Mortgage Corporation, a corporation 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
STATE OF CALIFORNIA |
) |
|
) ss.: |
COUNTY OF ORANGE |
) |
On the ___ day of August, 2005 before me, a notary public in and for said State, personally appeared_______________________, known to me to be a(n)________________________ and ________________________, known to me to be a(n) ________________________of Deutsche Bank National Trust Company, one of the entities that executed the within instrument, and also known to me to be the person who executed it on behalf of said association, 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
EXHIBIT A-1
FORM OF CLASS A-1 CERTIFICATE
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
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, AS AMENDED (THE “CODE”).
Certificate No. |
: |
1 |
Cut-off Date |
: |
August 1, 2005 |
First Distribution Date |
: |
September 25, 2005 |
Initial Certificate Principal Balance of this Certificate (“Denomination”) |
: |
$557,653,000.00 |
Original Class Certificate Principal Balance of this Class |
: |
$557,653,000.00 |
Percentage Interest |
: |
100% |
Pass-Through Rate |
: |
Variable |
CUSIP |
: |
83611M GB 8 |
Class |
: |
A-1 |
Assumed Maturity Date |
: |
August 2035 |
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
Series 2005-OPT2
CLASS A-1
evidencing the Percentage Interest in the distributions allocable to the Certificates of the above-referenced Class with respect to the Trust consisting of first lien adjustable rate and fixed rate mortgage loans (the “Mortgage Loans”)
FINANCIAL ASSET SECURITIES CORP., AS DEPOSITOR
Principal in respect of this Certificate is distributable monthly as set forth herein. Accordingly, the Certificate Principal Balance of this Class A-1 Certificate at any time may be less than the Initial Certificate Principal Balance set forth on the face hereof, as described herein. This Class A-1 Certificate does not evidence an obligation of, or an interest in, and is not guaranteed by the Depositor, the Servicer, or the Trustee referred to below or any of their respective affiliates.
This certifies that Cede & Co. is the registered owner of the Percentage Interest evidenced by this Class A-1 Certificate (obtained by dividing the Denomination of this Class A-1 Certificate by the Original Class Certificate Principal Balance) in certain monthly distributions with respect to a Trust consisting primarily of the Mortgage Loans deposited by Financial Asset Securities Corp. (the “Depositor”). The Trust was created pursuant to a Pooling and Servicing Agreement dated as of August 1, 2005 (the “Agreement”) among the Depositor, Option One Mortgage Corporation, as servicer (the “Servicer”), and Deutsche Bank National Trust Company, a national banking association, as trustee (the “Trustee”). To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Class A-1 Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Class A-1 Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Reference is hereby made to the further provisions of this Class A-1 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.
This Class A-1 Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose unless manually countersigned by an authorized signatory of the Trustee.
IN WITNESS WHEREOF, the Trustee on behalf of the Trust has caused this Certificate to be duly executed.
Dated: August __, 2005
SOUNDVIEW HOME LOAN TRUST 0000-XXX0
XXXXXXXX BANK NATIONAL TRUST COMPANY, not in its individual capacity, but solely as Trustee
By:_________________________________
This is one of the Certificates referenced
in the within-mentioned Agreement
By:__________________________________________
Authorized Signatory of
Deutsche Bank National Trust Company,
as Trustee
[Reverse of Class A-1 Certificate]
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
SERIES 2005-OPT2
This Certificate is one of a duly authorized issue of Certificates designated as Soundview Home Loan Trust 2005-OPT2, Asset-Backed Certificates, Series 2005-OPT2 (herein collectively called the “Certificates”), and representing a beneficial ownership interest in the Trust created by the Agreement.
The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Distribution Account for payment hereunder and that the Trustee is not liable to the Certificateholders for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement.
This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced thereby, and the rights, duties and immunities of the Trustee.
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, then the Business Day immediately following such Distribution Date (the “Distribution Date”), commencing on the first Distribution Date specified on the face hereof, to the Person in whose name this Certificate is registered at the close of business on the applicable Record Date in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to Holders of Certificates of the Class to which this Certificate belongs on such Distribution Date pursuant to the Agreement.
Distributions on this Certificate shall be made by check or money order mailed to the address of the person entitled thereto as it appears on the Certificate Register or by wire transfer or otherwise, as set forth in the Agreement. The final distribution on each Certificate will be made in like manner, but only upon presentment and surrender of such Certificate at the office of the Trustee or the Trustee’s agent specified in the notice to Certificateholders of such final distribution.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee and of Holders of the requisite percentage of the Percentage Interests of each Class of Certificates affected by such amendment, as specified in the Agreement. 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 therefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the 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 of the Certificate Registrar
upon surrender of this Certificate for registration of transfer at the offices or agencies of the Trustee as provided in the Pooling and Servicing Agreement accompanied by a 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 the same Class in authorized denominations and evidencing the same aggregate Percentage Interest in the Trust will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without coupons 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 the same Class in authorized denominations and evidencing the same 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 Depositor, the Servicer and the Trustee and any agent of the Depositor, the Servicer or the Trustee may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Trustee, the Servicer or any such agent shall be affected by any notice to the contrary.
On any Distribution Date following the date at which the remaining aggregate Principal Balance of the Mortgage Loans is less than 10% of the sum of the aggregate Principal Balance of the Original Mortgage Loans as of the Cut-off Date and the Original Pre-Funded Amounts, the Servicer may purchase, in whole, from the Trust the Mortgage Loans at a purchase price determined as provided in the Agreement. In the event that no such optional termination occurs, the obligations and responsibilities created by the Agreement will terminate upon notice to the Trustee upon the earliest of (i) the Distribution Date on which the Certificate Principal Balances of the Regular Certificates have been reduced to zero, (ii) the final payment or other liquidation of the last Mortgage Loan in the Trust, (iii) the optional purchase by the Servicer of the Mortgage Loans as described in the Agreement and (iv) the Distribution Date in August 2035.
Capitalized terms used herein that are defined in the Agreement shall have the meanings ascribed to them in the Agreement, and nothing herein shall be deemed inconsistent with that meaning.
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)
the Percentage Interest evidenced by the within Certificate and hereby authorizes the transfer of registration of such Percentage Interest to assignee on the Certificate Register of the Trust.
I (We) further direct the Trustee 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:_________________
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 A-2
FORM OF CLASS A-2 CERTIFICATE
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
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, AS AMENDED (THE “CODE”).
Certificate No. |
: |
1 |
Cut-off Date |
: |
August 1, 2005 |
First Distribution Date |
: |
September 25, 2005 |
Initial Certificate Principal Balance of this Certificate (“Denomination”) |
: |
$107,732,000.00 |
Original Class Certificate Principal Balance of this Class |
: |
$107,732,000.00 |
Percentage Interest |
: |
100% |
Pass-Through Rate |
: |
Variable |
CUSIP |
: |
83611M GC 6 |
Class |
: |
A-2 |
Assumed Maturity Date |
: |
August 2035 |
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
Series 2005-OPT2
CLASS A-2
evidencing the Percentage Interest in the distributions allocable to the Certificates of the above-referenced Class with respect to the Trust consisting of first lien adjustable rate and fixed rate mortgage loans (the “Mortgage Loans”)
FINANCIAL ASSET SECURITIES CORP., AS DEPOSITOR
Principal in respect of this Certificate is distributable monthly as set forth herein. Accordingly, the Certificate Principal Balance of this Class A-2 Certificate at any time may be less than the Initial Certificate Principal Balance set forth on the face hereof, as described herein. This Class A-2 Certificate does not evidence an obligation of, or an interest in, and is not guaranteed by the Depositor, the Servicer, or the Trustee referred to below or any of their respective affiliates.
This certifies that Cede & Co. is the registered owner of the Percentage Interest evidenced by this Class A-2 Certificate (obtained by dividing the Denomination of this Class A-2 Certificate by the Original Class Certificate Principal Balance) in certain monthly distributions with respect to a Trust consisting primarily of the Mortgage Loans deposited by Financial Asset Securities Corp. (the “Depositor”). The Trust was created pursuant to a Pooling and Servicing Agreement dated as of August 1, 2005 (the “Agreement”) among the Depositor, Option One Mortgage Corporation, as servicer (the “Servicer”), and Deutsche Bank National Trust Company, a national banking association, as trustee (the “Trustee”). To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Class A-2 Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Class A-2 Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Reference is hereby made to the further provisions of this Class A-2 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.
This Class A-2 Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose unless manually countersigned by an authorized signatory of the Trustee.
IN WITNESS WHEREOF, the Trustee on behalf of the Trust has caused this Certificate to be duly executed.
Dated: August __, 2005
SOUNDVIEW HOME LOAN TRUST 0000-XXX0
XXXXXXXX BANK NATIONAL TRUST COMPANY, not in its individual capacity, but solely as Trustee
By:_________________________________
This is one of the Certificates referenced
in the within-mentioned Agreement
By:__________________________________________
Authorized Signatory of
Deutsche Bank National Trust Company,
as Trustee
[Reverse of Class A-2 Certificate]
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
SERIES 2005-OPT2
This Certificate is one of a duly authorized issue of Certificates designated as Soundview Home Loan Trust 2005-OPT2, Asset-Backed Certificates, Series 2005-OPT2 (herein collectively called the “Certificates”), and representing a beneficial ownership interest in the Trust created by the Agreement.
The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Distribution Account for payment hereunder and that the Trustee is not liable to the Certificateholders for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement.
This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced thereby, and the rights, duties and immunities of the Trustee.
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, then the Business Day immediately following such Distribution Date (the “Distribution Date”), commencing on the first Distribution Date specified on the face hereof, to the Person in whose name this Certificate is registered at the close of business on the applicable Record Date in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to Holders of Certificates of the Class to which this Certificate belongs on such Distribution Date pursuant to the Agreement.
Distributions on this Certificate shall be made by check or money order mailed to the address of the person entitled thereto as it appears on the Certificate Register or by wire transfer or otherwise, as set forth in the Agreement. The final distribution on each Certificate will be made in like manner, but only upon presentment and surrender of such Certificate at the office of the Trustee or the Trustee’s agent specified in the notice to Certificateholders of such final distribution.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee and of Holders of the requisite percentage of the Percentage Interests of each Class of Certificates affected by such amendment, as specified in the Agreement. 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 therefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the 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 of the Certificate Registrar
upon surrender of this Certificate for registration of transfer at the offices or agencies of the Trustee as provided in the Pooling and Servicing Agreement accompanied by a 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 the same Class in authorized denominations and evidencing the same aggregate Percentage Interest in the Trust will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without coupons 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 the same Class in authorized denominations and evidencing the same 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 Depositor, the Servicer and the Trustee and any agent of the Depositor, the Servicer or the Trustee may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Trustee, the Servicer or any such agent shall be affected by any notice to the contrary.
On any Distribution Date following the date at which the remaining aggregate Principal Balance of the Mortgage Loans is less than 10% of the sum of the aggregate Principal Balance of the Original Mortgage Loans as of the Cut-off Date and the Original Pre-Funded Amounts, the Servicer may purchase, in whole, from the Trust the Mortgage Loans at a purchase price determined as provided in the Agreement. In the event that no such optional termination occurs, the obligations and responsibilities created by the Agreement will terminate upon notice to the Trustee upon the earliest of (i) the Distribution Date on which the Certificate Principal Balances of the Regular Certificates have been reduced to zero, (ii) the final payment or other liquidation of the last Mortgage Loan in the Trust, (iii) the optional purchase by the Servicer of the Mortgage Loans as described in the Agreement and (iv) the Distribution Date in August 2035.
Capitalized terms used herein that are defined in the Agreement shall have the meanings ascribed to them in the Agreement, and nothing herein shall be deemed inconsistent with that meaning.
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)
the Percentage Interest evidenced by the within Certificate and hereby authorizes the transfer of registration of such Percentage Interest to assignee on the Certificate Register of the Trust.
I (We) further direct the Trustee 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:_________________
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 A-3
FORM OF CLASS A-3 CERTIFICATE
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
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, AS AMENDED (THE “CODE”).
Certificate No. |
: |
1 |
Cut-off Date |
: |
August 1, 2005 |
First Distribution Date |
: |
September 25, 2005 |
Initial Certificate Principal Balance of this Certificate (“Denomination”) |
: |
$66,292,000.00 |
Original Class Certificate Principal Balance of this Class |
: |
$66,292,000.00 |
Percentage Interest |
: |
100% |
Pass-Through Rate |
: |
Variable |
CUSIP |
: |
83611M GD 4 |
Class |
: |
A-3 |
Assumed Maturity Date |
: |
August 2035 |
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
Series 2005-OPT2
CLASS A-3
evidencing the Percentage Interest in the distributions allocable to the Certificates of the above-referenced Class with respect to the Trust consisting of first lien adjustable rate and fixed rate mortgage loans (the “Mortgage Loans”)
FINANCIAL ASSET SECURITIES CORP., AS DEPOSITOR
Principal in respect of this Certificate is distributable monthly as set forth herein. Accordingly, the Certificate Principal Balance of this Class A-3 Certificate at any time may be less than the Initial Certificate Principal Balance set forth on the face hereof, as described herein. This Class A-3 Certificate does not evidence an obligation of, or an interest in, and is not guaranteed by the Depositor, the Servicer, or the Trustee referred to below or any of their respective affiliates.
This certifies that Cede & Co. is the registered owner of the Percentage Interest evidenced by this Class A-3 Certificate (obtained by dividing the Denomination of this Class A-3 Certificate by the Original Class Certificate Principal Balance) in certain monthly distributions with respect to a Trust consisting primarily of the Mortgage Loans deposited by Financial Asset Securities Corp. (the “Depositor”). The Trust was created pursuant to a Pooling and Servicing Agreement dated as of August 1, 2005 (the “Agreement”) among the Depositor, Option One Mortgage Corporation, as servicer (the “Servicer”), and Deutsche Bank National Trust Company, a national banking association, as trustee (the “Trustee”). To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Class A-3 Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Class A-3 Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Reference is hereby made to the further provisions of this Class A-3 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.
This Class A-3 Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose unless manually countersigned by an authorized signatory of the Trustee.
IN WITNESS WHEREOF, the Trustee on behalf of the Trust has caused this Certificate to be duly executed.
Dated: August __, 2005
SOUNDVIEW HOME LOAN TRUST 0000-XXX0
XXXXXXXX BANK NATIONAL TRUST COMPANY, not in its individual capacity, but solely as Trustee
By:_________________________________
This is one of the Certificates referenced
in the within-mentioned Agreement
By:__________________________________________
Authorized Signatory of
Deutsche Bank National Trust Company,
as Trustee
[Reverse of Class A-3 Certificate]
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
SERIES 2005-OPT2
This Certificate is one of a duly authorized issue of Certificates designated as Soundview Home Loan Trust 2005-OPT2, Asset-Backed Certificates, Series 2005-OPT2 (herein collectively called the “Certificates”), and representing a beneficial ownership interest in the Trust created by the Agreement.
The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Distribution Account for payment hereunder and that the Trustee is not liable to the Certificateholders for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement.
This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced thereby, and the rights, duties and immunities of the Trustee.
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, then the Business Day immediately following such Distribution Date (the “Distribution Date”), commencing on the first Distribution Date specified on the face hereof, to the Person in whose name this Certificate is registered at the close of business on the applicable Record Date in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to Holders of Certificates of the Class to which this Certificate belongs on such Distribution Date pursuant to the Agreement.
Distributions on this Certificate shall be made by check or money order mailed to the address of the person entitled thereto as it appears on the Certificate Register or by wire transfer or otherwise, as set forth in the Agreement. The final distribution on each Certificate will be made in like manner, but only upon presentment and surrender of such Certificate at the office of the Trustee or the Trustee’s agent specified in the notice to Certificateholders of such final distribution.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee and of Holders of the requisite percentage of the Percentage Interests of each Class of Certificates affected by such amendment, as specified in the Agreement. 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 therefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the 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 of the Certificate Registrar
upon surrender of this Certificate for registration of transfer at the offices or agencies of the Trustee as provided in the Pooling and Servicing Agreement accompanied by a 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 the same Class in authorized denominations and evidencing the same aggregate Percentage Interest in the Trust will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without coupons 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 the same Class in authorized denominations and evidencing the same 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 Depositor, the Servicer and the Trustee and any agent of the Depositor, the Servicer or the Trustee may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Trustee, the Servicer or any such agent shall be affected by any notice to the contrary.
On any Distribution Date following the date at which the remaining aggregate Principal Balance of the Mortgage Loans is less than 10% of the sum of the aggregate Principal Balance of the Original Mortgage Loans as of the Cut-off Date and the Original Pre-Funded Amounts, the Servicer may purchase, in whole, from the Trust the Mortgage Loans at a purchase price determined as provided in the Agreement. In the event that no such optional termination occurs, the obligations and responsibilities created by the Agreement will terminate upon notice to the Trustee upon the earliest of (i) the Distribution Date on which the Certificate Principal Balances of the Regular Certificates have been reduced to zero, (ii) the final payment or other liquidation of the last Mortgage Loan in the Trust, (iii) the optional purchase by the Servicer of the Mortgage Loans as described in the Agreement and (iv) the Distribution Date in August 2035.
Capitalized terms used herein that are defined in the Agreement shall have the meanings ascribed to them in the Agreement, and nothing herein shall be deemed inconsistent with that meaning.
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)
the Percentage Interest evidenced by the within Certificate and hereby authorizes the transfer of registration of such Percentage Interest to assignee on the Certificate Register of the Trust.
I (We) further direct the Trustee 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:_________________
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 A-4
FORM OF CLASS A-4 CERTIFICATE
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
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, AS AMENDED (THE “CODE”).
Certificate No. |
: |
1 |
Cut-off Date |
: |
August 1, 2005 |
First Distribution Date |
: |
September 25, 2005 |
Initial Certificate Principal Balance of this Certificate (“Denomination”) |
: |
$94,539,000.00 |
Original Class Certificate Principal Balance of this Class |
: |
$94,539,000.00 |
Percentage Interest |
: |
100% |
Pass-Through Rate |
: |
Variable |
CUSIP |
: |
83611M GE 2 |
Class |
: |
A-4 |
Assumed Maturity Date |
: |
August 2035 |
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
Series 2005-OPT2
CLASS A-4
evidencing the Percentage Interest in the distributions allocable to the Certificates of the above-referenced Class with respect to the Trust consisting of first lien adjustable rate and fixed rate mortgage loans (the “Mortgage Loans”)
FINANCIAL ASSET SECURITIES CORP., AS DEPOSITOR
Principal in respect of this Certificate is distributable monthly as set forth herein. Accordingly, the Certificate Principal Balance of this Class A-4 Certificate at any time may be less than the Initial Certificate Principal Balance set forth on the face hereof, as described herein. This Class A-4 Certificate does not evidence an obligation of, or an interest in, and is not guaranteed by the Depositor, the Servicer, or the Trustee referred to below or any of their respective affiliates.
This certifies that Cede & Co. is the registered owner of the Percentage Interest evidenced by this Class A-4 Certificate (obtained by dividing the Denomination of this Class A-4 Certificate by the Original Class Certificate Principal Balance) in certain monthly distributions with respect to a Trust consisting primarily of the Mortgage Loans deposited by Financial Asset Securities Corp. (the “Depositor”). The Trust was created pursuant to a Pooling and Servicing Agreement dated as of August 1, 2005 (the “Agreement”) among the Depositor, Option One Mortgage Corporation, as servicer (the “Servicer”), and Deutsche Bank National Trust Company, a national banking association, as trustee (the “Trustee”). To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Class A-4 Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Class A-4 Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Reference is hereby made to the further provisions of this Class A-4 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.
This Class A-4 Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose unless manually countersigned by an authorized signatory of the Trustee.
IN WITNESS WHEREOF, the Trustee on behalf of the Trust has caused this Certificate to be duly executed.
Dated: August __, 2005
SOUNDVIEW HOME LOAN TRUST 0000-XXX0
XXXXXXXX BANK NATIONAL TRUST COMPANY, not in its individual capacity, but solely as Trustee
By:_________________________________
This is one of the Certificates referenced
in the within-mentioned Agreement
By:__________________________________________
Authorized Signatory of
Deutsche Bank National Trust Company,
as Trustee
[Reverse of Class A-4 Certificate]
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
SERIES 2005-OPT2
This Certificate is one of a duly authorized issue of Certificates designated as Soundview Home Loan Trust 2005-OPT2, Asset-Backed Certificates, Series 2005-OPT2 (herein collectively called the “Certificates”), and representing a beneficial ownership interest in the Trust created by the Agreement.
The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Distribution Account for payment hereunder and that the Trustee is not liable to the Certificateholders for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement.
This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced thereby, and the rights, duties and immunities of the Trustee.
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, then the Business Day immediately following such Distribution Date (the “Distribution Date”), commencing on the first Distribution Date specified on the face hereof, to the Person in whose name this Certificate is registered at the close of business on the applicable Record Date in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to Holders of Certificates of the Class to which this Certificate belongs on such Distribution Date pursuant to the Agreement.
Distributions on this Certificate shall be made by check or money order mailed to the address of the person entitled thereto as it appears on the Certificate Register or by wire transfer or otherwise, as set forth in the Agreement. The final distribution on each Certificate will be made in like manner, but only upon presentment and surrender of such Certificate at the office of the Trustee or the Trustee’s agent specified in the notice to Certificateholders of such final distribution.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee and of Holders of the requisite percentage of the Percentage Interests of each Class of Certificates affected by such amendment, as specified in the Agreement. 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 therefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the 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 of the Certificate Registrar
upon surrender of this Certificate for registration of transfer at the offices or agencies of the Trustee as provided in the Pooling and Servicing Agreement accompanied by a 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 the same Class in authorized denominations and evidencing the same aggregate Percentage Interest in the Trust will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without coupons 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 the same Class in authorized denominations and evidencing the same 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 Depositor, the Servicer and the Trustee and any agent of the Depositor, the Servicer or the Trustee may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Trustee, the Servicer or any such agent shall be affected by any notice to the contrary.
On any Distribution Date following the date at which the remaining aggregate Principal Balance of the Mortgage Loans is less than 10% of the sum of the aggregate Principal Balance of the Original Mortgage Loans as of the Cut-off Date and the Original Pre-Funded Amounts, the Servicer may purchase, in whole, from the Trust the Mortgage Loans at a purchase price determined as provided in the Agreement. In the event that no such optional termination occurs, the obligations and responsibilities created by the Agreement will terminate upon notice to the Trustee upon the earliest of (i) the Distribution Date on which the Certificate Principal Balances of the Regular Certificates have been reduced to zero, (ii) the final payment or other liquidation of the last Mortgage Loan in the Trust, (iii) the optional purchase by the Servicer of the Mortgage Loans as described in the Agreement and (iv) the Distribution Date in August 2035.
Capitalized terms used herein that are defined in the Agreement shall have the meanings ascribed to them in the Agreement, and nothing herein shall be deemed inconsistent with that meaning.
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)
the Percentage Interest evidenced by the within Certificate and hereby authorizes the transfer of registration of such Percentage Interest to assignee on the Certificate Register of the Trust.
I (We) further direct the Trustee 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:_________________
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 A-5
FORM OF CLASS A-5 CERTIFICATE
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
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, AS AMENDED (THE “CODE”).
Certificate No. |
: |
1 |
Cut-off Date |
: |
August 1, 2005 |
First Distribution Date |
: |
September 25, 2005 |
Initial Certificate Principal Balance of this Certificate (“Denomination”) |
: |
$34,793,000.00 |
Original Class Certificate Principal Balance of this Class |
: |
$34,793,000.00 |
Percentage Interest |
: |
100% |
Pass-Through Rate |
: |
Variable |
CUSIP |
: |
83611M GF 9 |
Class |
: |
A-5 |
Assumed Maturity Date |
: |
August 2035 |
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
Series 2005-OPT2
CLASS A-5
evidencing the Percentage Interest in the distributions allocable to the Certificates of the above-referenced Class with respect to the Trust consisting of first lien adjustable rate and fixed rate mortgage loans (the “Mortgage Loans”)
FINANCIAL ASSET SECURITIES CORP., AS DEPOSITOR
Principal in respect of this Certificate is distributable monthly as set forth herein. Accordingly, the Certificate Principal Balance of this Class A-5 Certificate at any time may be less than the Initial Certificate Principal Balance set forth on the face hereof, as described herein. This Class A-5 Certificate does not evidence an obligation of, or an interest in, and is not guaranteed by the Depositor, the Servicer, or the Trustee referred to below or any of their respective affiliates.
This certifies that Cede & Co. is the registered owner of the Percentage Interest evidenced by this Class A-5 Certificate (obtained by dividing the Denomination of this Class A-5 Certificate by the Original Class Certificate Principal Balance) in certain monthly distributions with respect to a Trust consisting primarily of the Mortgage Loans deposited by Financial Asset Securities Corp. (the “Depositor”). The Trust was created pursuant to a Pooling and Servicing Agreement dated as of August 1, 2005 (the “Agreement”) among the Depositor, Option One Mortgage Corporation, as servicer (the “Servicer”), and Deutsche Bank National Trust Company, a national banking association, as trustee (the “Trustee”). To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Class A-5 Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Class A-5 Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Reference is hereby made to the further provisions of this Class A-5 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.
This Class A-5 Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose unless manually countersigned by an authorized signatory of the Trustee.
IN WITNESS WHEREOF, the Trustee on behalf of the Trust has caused this Certificate to be duly executed.
Dated: August __, 2005
SOUNDVIEW HOME LOAN TRUST 0000-XXX0
XXXXXXXX BANK NATIONAL TRUST COMPANY, not in its individual capacity, but solely as Trustee
By:_________________________________
This is one of the Certificates referenced
in the within-mentioned Agreement
By:__________________________________________
Authorized Signatory of
Deutsche Bank National Trust Company,
as Trustee
[Reverse of Class A-5 Certificate]
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
SERIES 2005-OPT2
This Certificate is one of a duly authorized issue of Certificates designated as Soundview Home Loan Trust 2005-OPT2, Asset-Backed Certificates, Series 2005-OPT2 (herein collectively called the “Certificates”), and representing a beneficial ownership interest in the Trust created by the Agreement.
The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Distribution Account for payment hereunder and that the Trustee is not liable to the Certificateholders for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement.
This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced thereby, and the rights, duties and immunities of the Trustee.
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, then the Business Day immediately following such Distribution Date (the “Distribution Date”), commencing on the first Distribution Date specified on the face hereof, to the Person in whose name this Certificate is registered at the close of business on the applicable Record Date in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to Holders of Certificates of the Class to which this Certificate belongs on such Distribution Date pursuant to the Agreement.
Distributions on this Certificate shall be made by check or money order mailed to the address of the person entitled thereto as it appears on the Certificate Register or by wire transfer or otherwise, as set forth in the Agreement. The final distribution on each Certificate will be made in like manner, but only upon presentment and surrender of such Certificate at the office of the Trustee or the Trustee’s agent specified in the notice to Certificateholders of such final distribution.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee and of Holders of the requisite percentage of the Percentage Interests of each Class of Certificates affected by such amendment, as specified in the Agreement. 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 therefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the 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 of the Certificate Registrar
upon surrender of this Certificate for registration of transfer at the offices or agencies of the Trustee as provided in the Pooling and Servicing Agreement accompanied by a 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 the same Class in authorized denominations and evidencing the same aggregate Percentage Interest in the Trust will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without coupons 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 the same Class in authorized denominations and evidencing the same 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 Depositor, the Servicer and the Trustee and any agent of the Depositor, the Servicer or the Trustee may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Trustee, the Servicer or any such agent shall be affected by any notice to the contrary.
On any Distribution Date following the date at which the remaining aggregate Principal Balance of the Mortgage Loans is less than 10% of the sum of the aggregate Principal Balance of the Original Mortgage Loans as of the Cut-off Date and the Original Pre-Funded Amounts, the Servicer may purchase, in whole, from the Trust the Mortgage Loans at a purchase price determined as provided in the Agreement. In the event that no such optional termination occurs, the obligations and responsibilities created by the Agreement will terminate upon notice to the Trustee upon the earliest of (i) the Distribution Date on which the Certificate Principal Balances of the Regular Certificates have been reduced to zero, (ii) the final payment or other liquidation of the last Mortgage Loan in the Trust, (iii) the optional purchase by the Servicer of the Mortgage Loans as described in the Agreement and (iv) the Distribution Date in August 2035.
Capitalized terms used herein that are defined in the Agreement shall have the meanings ascribed to them in the Agreement, and nothing herein shall be deemed inconsistent with that meaning.
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)
the Percentage Interest evidenced by the within Certificate and hereby authorizes the transfer of registration of such Percentage Interest to assignee on the Certificate Register of the Trust.
I (We) further direct the Trustee 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:_________________
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 A-6
FORM OF CLASS A-6 CERTIFICATE
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
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, AS AMENDED (THE “CODE”).
Certificate No. |
: |
1 |
Cut-off Date |
: |
August 1, 2005 |
First Distribution Date |
: |
September 25, 2005 |
Initial Certificate Principal Balance of this Certificate (“Denomination”) |
: |
$23,816,000.00 |
Original Class Certificate Principal Balance of this Class |
: |
$23,816,000.00 |
Percentage Interest |
: |
100% |
Pass-Through Rate |
: |
Variable |
CUSIP |
: |
83611M GG 7 |
Class |
: |
A-6 |
Assumed Maturity Date |
: |
August 2035 |
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
Series 2005-OPT2
CLASS A-6
evidencing the Percentage Interest in the distributions allocable to the Certificates of the above-referenced Class with respect to the Trust consisting of first lien adjustable rate and fixed rate mortgage loans (the “Mortgage Loans”)
FINANCIAL ASSET SECURITIES CORP., AS DEPOSITOR
Principal in respect of this Certificate is distributable monthly as set forth herein. Accordingly, the Certificate Principal Balance of this Class A-6 Certificate at any time may be less than the Initial Certificate Principal Balance set forth on the face hereof, as described herein. This Class A-6 Certificate does not evidence an obligation of, or an interest in, and is not guaranteed by the Depositor, the Servicer, or the Trustee referred to below or any of their respective affiliates.
This certifies that Cede & Co. is the registered owner of the Percentage Interest evidenced by this Class A-6 Certificate (obtained by dividing the Denomination of this Class A-6 Certificate by the Original Class Certificate Principal Balance) in certain monthly distributions with respect to a Trust consisting primarily of the Mortgage Loans deposited by Financial Asset Securities Corp. (the “Depositor”). The Trust was created pursuant to a Pooling and Servicing Agreement dated as of August 1, 2005 (the “Agreement”) among the Depositor, Option One Mortgage Corporation, as servicer (the “Servicer”), and Deutsche Bank National Trust Company, a national banking association, as trustee (the “Trustee”). To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Class A-6 Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Class A-6 Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Reference is hereby made to the further provisions of this Class A-6 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.
This Class A-6 Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose unless manually countersigned by an authorized signatory of the Trustee.
IN WITNESS WHEREOF, the Trustee on behalf of the Trust has caused this Certificate to be duly executed.
Dated: August __, 2005
SOUNDVIEW HOME LOAN TRUST 0000-XXX0
XXXXXXXX BANK NATIONAL TRUST COMPANY, not in its individual capacity, but solely as Trustee
By:_________________________________
This is one of the Certificates referenced
in the within-mentioned Agreement
By:__________________________________________
Authorized Signatory of
Deutsche Bank National Trust Company,
as Trustee
[Reverse of Class A-6 Certificate]
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
SERIES 2005-OPT2
This Certificate is one of a duly authorized issue of Certificates designated as Soundview Home Loan Trust 2005-OPT2, Asset-Backed Certificates, Series 2005-OPT2 (herein collectively called the “Certificates”), and representing a beneficial ownership interest in the Trust created by the Agreement.
The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Distribution Account for payment hereunder and that the Trustee is not liable to the Certificateholders for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement.
This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced thereby, and the rights, duties and immunities of the Trustee.
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, then the Business Day immediately following such Distribution Date (the “Distribution Date”), commencing on the first Distribution Date specified on the face hereof, to the Person in whose name this Certificate is registered at the close of business on the applicable Record Date in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to Holders of Certificates of the Class to which this Certificate belongs on such Distribution Date pursuant to the Agreement.
Distributions on this Certificate shall be made by check or money order mailed to the address of the person entitled thereto as it appears on the Certificate Register or by wire transfer or otherwise, as set forth in the Agreement. The final distribution on each Certificate will be made in like manner, but only upon presentment and surrender of such Certificate at the office of the Trustee or the Trustee’s agent specified in the notice to Certificateholders of such final distribution.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee and of Holders of the requisite percentage of the Percentage Interests of each Class of Certificates affected by such amendment, as specified in the Agreement. 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 therefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the 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 of the Certificate Registrar
upon surrender of this Certificate for registration of transfer at the offices or agencies of the Trustee as provided in the Pooling and Servicing Agreement accompanied by a 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 the same Class in authorized denominations and evidencing the same aggregate Percentage Interest in the Trust will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without coupons 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 the same Class in authorized denominations and evidencing the same 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 Depositor, the Servicer and the Trustee and any agent of the Depositor, the Servicer or the Trustee may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Trustee, the Servicer or any such agent shall be affected by any notice to the contrary.
On any Distribution Date following the date at which the remaining aggregate Principal Balance of the Mortgage Loans is less than 10% of the sum of the aggregate Principal Balance of the Original Mortgage Loans as of the Cut-off Date and the Original Pre-Funded Amounts, the Servicer may purchase, in whole, from the Trust the Mortgage Loans at a purchase price determined as provided in the Agreement. In the event that no such optional termination occurs, the obligations and responsibilities created by the Agreement will terminate upon notice to the Trustee upon the earliest of (i) the Distribution Date on which the Certificate Principal Balances of the Regular Certificates have been reduced to zero, (ii) the final payment or other liquidation of the last Mortgage Loan in the Trust, (iii) the optional purchase by the Servicer of the Mortgage Loans as described in the Agreement and (iv) the Distribution Date in August 2035.
Capitalized terms used herein that are defined in the Agreement shall have the meanings ascribed to them in the Agreement, and nothing herein shall be deemed inconsistent with that meaning.
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)
the Percentage Interest evidenced by the within Certificate and hereby authorizes the transfer of registration of such Percentage Interest to assignee on the Certificate Register of the Trust.
I (We) further direct the Trustee 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:_________________
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 A-7
FORM OF CLASS M-1 CERTIFICATE
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
THIS CERTIFICATE IS SUBORDINATE TO THE CLASS A-1 CERTIFICATES, THE CLASS A-2 CERTIFICATES, THE CLASS A-3 CERTIFICATES, THE CLASS A-4 CERTIFICATES, THE CLASS A-5 CERTIFICATES AND THE CLASS A-6 CERTIFICATES TO THE EXTENT DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
NO TRANSFER OF THIS CERTIFICATE TO AN EMPLOYEE BENEFIT PLAN OR OTHER RETIREMENT ARRANGEMENT (EACH A “PLAN”) SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED (“ERISA”), SHALL BE MADE EXCEPT IN COMPLIANCE WITH THE PROCEDURES DESCRIBED HEREIN.
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, AS AMENDED (THE “CODE”).
Certificate No. |
: |
1 |
Cut-off Date |
: |
August 1, 2005 |
First Distribution Date |
: |
September 25, 2005 |
Initial Certificate Principal Balance of this Certificate (“Denomination”) |
: |
$47,115,000.00 |
Original Class Certificate Principal Balance of this Class |
: |
$47,115,000.00 |
Percentage Interest |
: |
100.00% |
Pass-Through Rate |
: |
Variable |
CUSIP |
: |
83611M GH 5 |
Class |
: |
M-1 |
Assumed Maturity Date |
: |
August 2035 |
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
Series 2005-OPT2
CLASS M-1
evidencing the Percentage Interest in the distributions allocable to the Certificates of the above-referenced Class with respect to the Trust consisting of first lien adjustable rate and fixed rate mortgage loans (the “Mortgage Loans”)
FINANCIAL ASSET SECURITIES CORP., AS DEPOSITOR
Principal in respect of this Certificate is distributable monthly as set forth herein. Accordingly, the Certificate Principal Balance of this Class M-1 Certificate at any time may be less than the Initial Certificate Principal Balance set forth on the face hereof, as described herein. This Class M-1 Certificate does not evidence an obligation of, or an interest in, and is not guaranteed by the Depositor, the Servicer, or the Trustee referred to below or any of their respective affiliates.
This certifies that Cede & Co. is the registered owner of the Percentage Interest evidenced by this Class M-1 Certificate (obtained by dividing the Denomination of this Class M-1 Certificate by the Original Class Certificate Principal Balance) in certain monthly distributions with respect to a Trust consisting primarily of the Mortgage Loans deposited by Financial Asset Securities Corp. (the “Depositor”). The Trust was created pursuant to a Pooling and Servicing Agreement dated as of August 1, 2005 (the “Agreement”) among the Depositor, Option One Mortgage Corporation, as servicer (the “Servicer”), and Deutsche Bank National Trust Company, a national banking association, as trustee (the “Trustee”). To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Class M-1 Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Class M-1 Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
No transfer of this Certificate to a Plan subject to ERISA or Section 4975 of the Code, any Person acting, directly or indirectly, on behalf of any such Plan or any person using Plan Assets to acquire this Certificate shall be made except in accordance with Section 5.02(d) of the Agreement.
Reference is hereby made to the further provisions of this Class M-1 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.
This Class M-1 Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose unless manually countersigned by an authorized signatory of the Trustee.
IN WITNESS WHEREOF, the Trustee on behalf of the Trust has caused this Certificate to be duly executed.
Dated: August __, 2005
SOUNDVIEW HOME LOAN TRUST 0000-XXX0
XXXXXXXX BANK NATIONAL TRUST COMPANY, not in its individual capacity, but solely as Trustee
By:_________________________________
This is one of the Certificates referenced
in the within-mentioned Agreement
By:__________________________________________
Authorized Signatory of
Deutsche Bank National Trust Company,
as Trustee
[Reverse of Class M-1 Certificate]
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
SERIES 2005-OPT2
This Certificate is one of a duly authorized issue of Certificates designated as Soundview Home Loan Trust 2005-OPT2, Asset-Backed Certificates, Series 2005-OPT2 herein collectively called the “Certificates”), and representing a beneficial ownership interest in the Trust created by the Agreement.
The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Distribution Account for payment hereunder and that the Trustee is not liable to the Certificateholders for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement.
This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced thereby, and the rights, duties and immunities of the Trustee.
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, then the Business Day immediately following such Distribution Date (the “Distribution Date”), commencing on the first Distribution Date specified on the face hereof, to the Person in whose name this Certificate is registered at the close of business on the applicable Record Date in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to Holders of Certificates of the Class to which this Certificate belongs on such Distribution Date pursuant to the Agreement.
Distributions on this Certificate shall be made by check or money order mailed to the address of the person entitled thereto as it appears on the Certificate Register or by wire transfer or otherwise, as set forth in the Agreement. The final distribution on each Certificate will be made in like manner, but only upon presentment and surrender of such Certificate at the office of the Trustee or the Trustee’s agent specified in the notice to Certificateholders of such final distribution.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee and of Holders of the requisite percentage of the Percentage Interests of each Class of Certificates affected by such amendment, as specified in the Agreement. 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 therefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the 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 of the Certificate Registrar
upon surrender of this Certificate for registration of transfer at the offices or agencies of the Trustee as provided in the Pooling and Servicing Agreement accompanied by a 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 the same Class in authorized denominations and evidencing the same aggregate Percentage Interest in the Trust will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without coupons 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 the same Class in authorized denominations and evidencing the same 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 Depositor, the Servicer and the Trustee and any agent of the Depositor, the Servicer or the Trustee may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Trustee, the Servicer or any such agent shall be affected by any notice to the contrary.
On any Distribution Date following the date at which the remaining aggregate Principal Balance of the Mortgage Loans is less than 10% of the sum of the aggregate Principal Balance of the Original Mortgage Loans as of the Cut-off Date and the Original Pre-Funded Amounts, the Servicer may purchase, in whole, from the Trust the Mortgage Loans at a purchase price determined as provided in the Agreement. In the event that no such optional termination occurs, the obligations and responsibilities created by the Agreement will terminate upon notice to the Trustee upon the earliest of (i) the Distribution Date on which the Certificate Principal Balances of the Regular Certificates have been reduced to zero, (ii) the final payment or other liquidation of the last Mortgage Loan in the Trust, (iii) the optional purchase by the Servicer of the Mortgage Loans as described in the Agreement and (iv) the Distribution Date in August 2035.
Capitalized terms used herein that are defined in the Agreement shall have the meanings ascribed to them in the Agreement, and nothing herein shall be deemed inconsistent with that meaning.
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)
the Percentage Interest evidenced by the within Certificate and hereby authorizes the transfer of registration of such Percentage Interest to assignee on the Certificate Register of the Trust.
I (We) further direct the Trustee 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:_________________
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 A-8
FORM OF CLASS M-2 CERTIFICATE
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
THIS CERTIFICATE IS SUBORDINATE TO THE CLASS A-1 CERTIFICATES, THE CLASS A-2 CERTIFICATES, THE CLASS A-3 CERTIFICATES, THE CLASS A-4 CERTIFICATES, THE CLASS A-5 CERTIFICATES, THE CLASS A-6 CERTIFICATES AND THE CLASS M-1 CERTIFICATES TO THE EXTENT DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
NO TRANSFER OF THIS CERTIFICATE TO AN EMPLOYEE BENEFIT PLAN OR OTHER RETIREMENT ARRANGEMENT (EACH A “PLAN”) SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED (“ERISA”), SHALL BE MADE EXCEPT IN COMPLIANCE WITH THE PROCEDURES DESCRIBED HEREIN.
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, AS AMENDED (THE “CODE”).
Certificate No. |
: |
1 |
Cut-off Date |
: |
August 1, 2005 |
First Distribution Date |
: |
September 25, 2005 |
Initial Certificate Principal Balance of this Certificate (“Denomination”) |
: |
$34,689,000.00 |
Original Class Certificate Principal Balance of this Class |
: |
$34,689,000.00 |
Percentage Interest |
: |
100.00% |
Pass-Through Rate |
: |
Variable |
CUSIP |
: |
83611M GJ 1 |
Class |
: |
M-2 |
Assumed Maturity Date |
: |
August 2035 |
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
Series 2005-OPT2
CLASS M-2
evidencing the Percentage Interest in the distributions allocable to the Certificates of the above-referenced Class with respect to the Trust consisting of first lien adjustable rate and fixed rate mortgage loans (the “Mortgage Loans”)
FINANCIAL ASSET SECURITIES CORP., AS DEPOSITOR
Principal in respect of this Certificate is distributable monthly as set forth herein. Accordingly, the Certificate Principal Balance of this Class M-2 Certificate at any time may be less than the Initial Certificate Principal Balance set forth on the face hereof, as described herein. This Class M-2 Certificate does not evidence an obligation of, or an interest in, and is not guaranteed by the Depositor, the Servicer, or the Trustee referred to below or any of their respective affiliates.
This certifies that Cede & Co. is the registered owner of the Percentage Interest evidenced by this Class M-2 Certificate (obtained by dividing the Denomination of this Class M-2 Certificate by the Original Class Certificate Principal Balance) in certain monthly distributions with respect to a Trust consisting primarily of the Mortgage Loans deposited by Financial Asset Securities Corp. (the “Depositor”). The Trust was created pursuant to a Pooling and Servicing Agreement dated as of August 1, 2005 (the “Agreement”) among the Depositor, Option One Mortgage Corporation, as servicer (the “Servicer”), and Deutsche Bank National Trust Company, a national banking association, as trustee (the “Trustee”). To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Class M-2 Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Class M-2 Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
No transfer of this Certificate to a Plan subject to ERISA or Section 4975 of the Code, any Person acting, directly or indirectly, on behalf of any such Plan or any person using Plan Assets to acquire this Certificate shall be made except in accordance with Section 5.02(d) of the Agreement.
Reference is hereby made to the further provisions of this Class M-2 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.
This Class M-2 Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose unless manually countersigned by an authorized signatory of the Trustee.
IN WITNESS WHEREOF, the Trustee on behalf of the Trust has caused this Certificate to be duly executed.
Dated: August __, 2005
SOUNDVIEW HOME LOAN TRUST 0000-XXX0
XXXXXXXX BANK NATIONAL TRUST COMPANY, not in its individual capacity, but solely as Trustee
By:_________________________________
This is one of the Certificates referenced
in the within-mentioned Agreement
By:__________________________________________
Authorized Signatory of
Deutsche Bank National Trust Company,
as Trustee
[Reverse of Class M-2 Certificate]
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
SERIES 2005-OPT2
This Certificate is one of a duly authorized issue of Certificates designated as Soundview Home Loan Trust 2005-OPT2, Asset-Backed Certificates, Series 2005-OPT2 herein collectively called the “Certificates”), and representing a beneficial ownership interest in the Trust created by the Agreement.
The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Distribution Account for payment hereunder and that the Trustee is not liable to the Certificateholders for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement.
This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced thereby, and the rights, duties and immunities of the Trustee.
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, then the Business Day immediately following such Distribution Date (the “Distribution Date”), commencing on the first Distribution Date specified on the face hereof, to the Person in whose name this Certificate is registered at the close of business on the applicable Record Date in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to Holders of Certificates of the Class to which this Certificate belongs on such Distribution Date pursuant to the Agreement.
Distributions on this Certificate shall be made by check or money order mailed to the address of the person entitled thereto as it appears on the Certificate Register or by wire transfer or otherwise, as set forth in the Agreement. The final distribution on each Certificate will be made in like manner, but only upon presentment and surrender of such Certificate at the office of the Trustee or the Trustee’s agent specified in the notice to Certificateholders of such final distribution.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee and of Holders of the requisite percentage of the Percentage Interests of each Class of Certificates affected by such amendment, as specified in the Agreement. 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 therefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the 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 of the Certificate Registrar
upon surrender of this Certificate for registration of transfer at the offices or agencies of the Trustee as provided in the Pooling and Servicing Agreement accompanied by a 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 the same Class in authorized denominations and evidencing the same aggregate Percentage Interest in the Trust will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without coupons 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 the same Class in authorized denominations and evidencing the same 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 Depositor, the Servicer and the Trustee and any agent of the Depositor, the Servicer or the Trustee may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Trustee, the Servicer or any such agent shall be affected by any notice to the contrary.
On any Distribution Date following the date at which the remaining aggregate Principal Balance of the Mortgage Loans is less than 10% of the sum of the aggregate Principal Balance of the Original Mortgage Loans as of the Cut-off Date and the Original Pre-Funded Amounts, the Servicer may purchase, in whole, from the Trust the Mortgage Loans at a purchase price determined as provided in the Agreement. In the event that no such optional termination occurs, the obligations and responsibilities created by the Agreement will terminate upon notice to the Trustee upon the earliest of (i) the Distribution Date on which the Certificate Principal Balances of the Regular Certificates have been reduced to zero, (ii) the final payment or other liquidation of the last Mortgage Loan in the Trust, (iii) the optional purchase by the Servicer of the Mortgage Loans as described in the Agreement and (iv) the Distribution Date in August 2035.
Capitalized terms used herein that are defined in the Agreement shall have the meanings ascribed to them in the Agreement, and nothing herein shall be deemed inconsistent with that meaning.
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)
the Percentage Interest evidenced by the within Certificate and hereby authorizes the transfer of registration of such Percentage Interest to assignee on the Certificate Register of the Trust.
I (We) further direct the Trustee 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:_________________
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 A-9
FORM OF CLASS M-3 CERTIFICATE
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
THIS CERTIFICATE IS SUBORDINATE TO THE CLASS A-1 CERTIFICATES, THE CLASS A-2 CERTIFICATES, THE CLASS A-3 CERTIFICATES, THE CLASS A-4 CERTIFICATES, THE CLASS A-5 CERTIFICATES, THE CLASS A-6 CERTIFICATES, THE CLASS M-1 CERTIFICATES AND THE CLASS M-2 CERTIFICATES TO THE EXTENT DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
NO TRANSFER OF THIS CERTIFICATE TO AN EMPLOYEE BENEFIT PLAN OR OTHER RETIREMENT ARRANGEMENT (EACH A “PLAN”) SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED (“ERISA”), SHALL BE MADE EXCEPT IN COMPLIANCE WITH THE PROCEDURES DESCRIBED HEREIN.
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, AS AMENDED (THE “CODE”).
Certificate No. |
: |
1 |
Cut-off Date |
: |
August 1, 2005 |
First Distribution Date |
: |
September 25, 2005 |
Initial Certificate Principal Balance of this Certificate (“Denomination”) |
: |
$8,802,000.00 |
Original Class Certificate Principal Balance of this Class |
: |
$8,802,000.00 |
Percentage Interest |
: |
100.00% |
Pass-Through Rate |
: |
Variable |
CUSIP |
: |
83611M GK 8 |
Class |
: |
M-3 |
Assumed Maturity Date |
: |
August 2035 |
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
Series 2005-OPT2
CLASS M-3
evidencing the Percentage Interest in the distributions allocable to the Certificates of the above-referenced Class with respect to the Trust consisting of first lien adjustable rate and fixed rate mortgage loans (the “Mortgage Loans”)
FINANCIAL ASSET SECURITIES CORP., AS DEPOSITOR
Principal in respect of this Certificate is distributable monthly as set forth herein. Accordingly, the Certificate Principal Balance of this Class M-3 Certificate at any time may be less than the Initial Certificate Principal Balance set forth on the face hereof, as described herein. This Class M-3 Certificate does not evidence an obligation of, or an interest in, and is not guaranteed by the Depositor, the Servicer, or the Trustee referred to below or any of their respective affiliates.
This certifies that Cede & Co. is the registered owner of the Percentage Interest evidenced by this Class M-3 Certificate (obtained by dividing the Denomination of this Class M-3 Certificate by the Original Class Certificate Principal Balance) in certain monthly distributions with respect to a Trust consisting primarily of the Mortgage Loans deposited by Financial Asset Securities Corp. (the “Depositor”). The Trust was created pursuant to a Pooling and Servicing Agreement dated as of August 1, 2005 (the “Agreement”) among the Depositor, Option One Mortgage Corporation, as servicer (the “Servicer”), and Deutsche Bank National Trust Company, a national banking association, as trustee (the “Trustee”). To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Class M-3 Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Class M-3 Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
No transfer of this Certificate to a Plan subject to ERISA or Section 4975 of the Code, any Person acting, directly or indirectly, on behalf of any such Plan or any person using Plan Assets to acquire this Certificate shall be made except in accordance with Section 5.02(d) of the Agreement.
Reference is hereby made to the further provisions of this Class M-3 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.
This Class M-3 Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose unless manually countersigned by an authorized signatory of the Trustee.
IN WITNESS WHEREOF, the Trustee on behalf of the Trust has caused this Certificate to be duly executed.
Dated: August __, 2005
SOUNDVIEW HOME LOAN TRUST 0000-XXX0
XXXXXXXX BANK NATIONAL TRUST COMPANY, not in its individual capacity, but solely as Trustee
By:_________________________________
This is one of the Certificates referenced
in the within-mentioned Agreement
By:__________________________________________
Authorized Signatory of
Deutsche Bank National Trust Company,
as Trustee
[Reverse of Class M-3 Certificate]
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
SERIES 2005-OPT2
This Certificate is one of a duly authorized issue of Certificates designated as Soundview Home Loan Trust 2005-OPT2, Asset-Backed Certificates, Series 2005-OPT2 herein collectively called the “Certificates”), and representing a beneficial ownership interest in the Trust created by the Agreement.
The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Distribution Account for payment hereunder and that the Trustee is not liable to the Certificateholders for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement.
This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced thereby, and the rights, duties and immunities of the Trustee.
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, then the Business Day immediately following such Distribution Date (the “Distribution Date”), commencing on the first Distribution Date specified on the face hereof, to the Person in whose name this Certificate is registered at the close of business on the applicable Record Date in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to Holders of Certificates of the Class to which this Certificate belongs on such Distribution Date pursuant to the Agreement.
Distributions on this Certificate shall be made by check or money order mailed to the address of the person entitled thereto as it appears on the Certificate Register or by wire transfer or otherwise, as set forth in the Agreement. The final distribution on each Certificate will be made in like manner, but only upon presentment and surrender of such Certificate at the office of the Trustee or the Trustee’s agent specified in the notice to Certificateholders of such final distribution.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee and of Holders of the requisite percentage of the Percentage Interests of each Class of Certificates affected by such amendment, as specified in the Agreement. 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 therefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the 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 of the Certificate Registrar
upon surrender of this Certificate for registration of transfer at the offices or agencies of the Trustee as provided in the Pooling and Servicing Agreement accompanied by a 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 the same Class in authorized denominations and evidencing the same aggregate Percentage Interest in the Trust will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without coupons 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 the same Class in authorized denominations and evidencing the same 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 Depositor, the Servicer and the Trustee and any agent of the Depositor, the Servicer or the Trustee may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Trustee, the Servicer or any such agent shall be affected by any notice to the contrary.
On any Distribution Date following the date at which the remaining aggregate Principal Balance of the Mortgage Loans is less than 10% of the sum of the aggregate Principal Balance of the Original Mortgage Loans as of the Cut-off Date and the Original Pre-Funded Amounts, the Servicer may purchase, in whole, from the Trust the Mortgage Loans at a purchase price determined as provided in the Agreement. In the event that no such optional termination occurs, the obligations and responsibilities created by the Agreement will terminate upon notice to the Trustee upon the earliest of (i) the Distribution Date on which the Certificate Principal Balances of the Regular Certificates have been reduced to zero, (ii) the final payment or other liquidation of the last Mortgage Loan in the Trust, (iii) the optional purchase by the Servicer of the Mortgage Loans as described in the Agreement and (iv) the Distribution Date in August 2035.
Capitalized terms used herein that are defined in the Agreement shall have the meanings ascribed to them in the Agreement, and nothing herein shall be deemed inconsistent with that meaning.
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)
the Percentage Interest evidenced by the within Certificate and hereby authorizes the transfer of registration of such Percentage Interest to assignee on the Certificate Register of the Trust.
I (We) further direct the Trustee 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:_________________
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 A-10
FORM OF CLASS M-4 CERTIFICATE
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
THIS CERTIFICATE IS SUBORDINATE TO THE CLASS A-1 CERTIFICATES, THE CLASS A-2 CERTIFICATES, THE CLASS A-3 CERTIFICATES, THE CLASS A-4 CERTIFICATES, THE CLASS A-5 CERTIFICATES, THE CLASS A-6 CERTIFICATES, THE CLASS M-1 CERTIFICATES, THE CLASS M-2 CERTIFICATES AND THE CLASS M-3 CERTIFICATES TO THE EXTENT DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
NO TRANSFER OF THIS CERTIFICATE TO AN EMPLOYEE BENEFIT PLAN OR OTHER RETIREMENT ARRANGEMENT (EACH A “PLAN”) SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED (“ERISA”), SHALL BE MADE EXCEPT IN COMPLIANCE WITH THE PROCEDURES DESCRIBED HEREIN.
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, AS AMENDED (THE “CODE”).
Certificate No. |
: |
1 |
Cut-off Date |
: |
August 1, 2005 |
First Distribution Date |
: |
September 25, 2005 |
Initial Certificate Principal Balance of this Certificate (“Denomination”) |
: |
$10,355,000.00 |
Original Class Certificate Principal Balance of this Class |
: |
$10,355,000.00 |
Percentage Interest |
: |
100.00% |
Pass-Through Rate |
: |
Variable |
CUSIP |
: |
83611M GL 6 |
Class |
: |
M-4 |
Assumed Maturity Date |
: |
August 2035 |
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
Series 2005-OPT2
CLASS M-4
evidencing the Percentage Interest in the distributions allocable to the Certificates of the above-referenced Class with respect to the Trust consisting of first lien adjustable rate and fixed rate mortgage loans (the “Mortgage Loans”)
FINANCIAL ASSET SECURITIES CORP., AS DEPOSITOR
Principal in respect of this Certificate is distributable monthly as set forth herein. Accordingly, the Certificate Principal Balance of this Class M-4 Certificate at any time may be less than the Initial Certificate Principal Balance set forth on the face hereof, as described herein. This Class M-4 Certificate does not evidence an obligation of, or an interest in, and is not guaranteed by the Depositor, the Servicer, or the Trustee referred to below or any of their respective affiliates.
This certifies that Cede & Co. is the registered owner of the Percentage Interest evidenced by this Class M-4 Certificate (obtained by dividing the Denomination of this Class M-4 Certificate by the Original Class Certificate Principal Balance) in certain monthly distributions with respect to a Trust consisting primarily of the Mortgage Loans deposited by Financial Asset Securities Corp. (the “Depositor”). The Trust was created pursuant to a Pooling and Servicing Agreement dated as of August 1, 2005 (the “Agreement”) among the Depositor, Option One Mortgage Corporation, as servicer (the “Servicer”), and Deutsche Bank National Trust Company, a national banking association, as trustee (the “Trustee”). To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Class M-4 Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Class M-4 Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
No transfer of this Certificate to a Plan subject to ERISA or Section 4975 of the Code, any Person acting, directly or indirectly, on behalf of any such Plan or any person using Plan Assets to acquire this Certificate shall be made except in accordance with Section 5.02(d) of the Agreement.
Reference is hereby made to the further provisions of this Class M-4 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.
This Class M-4 Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose unless manually countersigned by an authorized signatory of the Trustee.
IN WITNESS WHEREOF, the Trustee on behalf of the Trust has caused this Certificate to be duly executed.
Dated: August __, 2005
SOUNDVIEW HOME LOAN TRUST 0000-XXX0
XXXXXXXX BANK NATIONAL TRUST COMPANY, not in its individual capacity, but solely as Trustee
By:_________________________________
This is one of the Certificates referenced
in the within-mentioned Agreement
By:__________________________________________
Authorized Signatory of
Deutsche Bank National Trust Company,
as Trustee
[Reverse of Class M-4 Certificate]
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
SERIES 2005-OPT2
This Certificate is one of a duly authorized issue of Certificates designated as Soundview Home Loan Trust 2005-OPT2, Asset-Backed Certificates, Series 2005-OPT2 herein collectively called the “Certificates”), and representing a beneficial ownership interest in the Trust created by the Agreement.
The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Distribution Account for payment hereunder and that the Trustee is not liable to the Certificateholders for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement.
This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced thereby, and the rights, duties and immunities of the Trustee.
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, then the Business Day immediately following such Distribution Date (the “Distribution Date”), commencing on the first Distribution Date specified on the face hereof, to the Person in whose name this Certificate is registered at the close of business on the applicable Record Date in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to Holders of Certificates of the Class to which this Certificate belongs on such Distribution Date pursuant to the Agreement.
Distributions on this Certificate shall be made by check or money order mailed to the address of the person entitled thereto as it appears on the Certificate Register or by wire transfer or otherwise, as set forth in the Agreement. The final distribution on each Certificate will be made in like manner, but only upon presentment and surrender of such Certificate at the office of the Trustee or the Trustee’s agent specified in the notice to Certificateholders of such final distribution.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee and of Holders of the requisite percentage of the Percentage Interests of each Class of Certificates affected by such amendment, as specified in the Agreement. 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 therefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the 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 of the Certificate Registrar
upon surrender of this Certificate for registration of transfer at the offices or agencies of the Trustee as provided in the Pooling and Servicing Agreement accompanied by a 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 the same Class in authorized denominations and evidencing the same aggregate Percentage Interest in the Trust will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without coupons 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 the same Class in authorized denominations and evidencing the same 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 Depositor, the Servicer and the Trustee and any agent of the Depositor, the Servicer or the Trustee may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Trustee, the Servicer or any such agent shall be affected by any notice to the contrary.
On any Distribution Date following the date at which the remaining aggregate Principal Balance of the Mortgage Loans is less than 10% of the sum of the aggregate Principal Balance of the Original Mortgage Loans as of the Cut-off Date and the Original Pre-Funded Amounts, the Servicer may purchase, in whole, from the Trust the Mortgage Loans at a purchase price determined as provided in the Agreement. In the event that no such optional termination occurs, the obligations and responsibilities created by the Agreement will terminate upon notice to the Trustee upon the earliest of (i) the Distribution Date on which the Certificate Principal Balances of the Regular Certificates have been reduced to zero, (ii) the final payment or other liquidation of the last Mortgage Loan in the Trust, (iii) the optional purchase by the Servicer of the Mortgage Loans as described in the Agreement and (iv) the Distribution Date in August 2035.
Capitalized terms used herein that are defined in the Agreement shall have the meanings ascribed to them in the Agreement, and nothing herein shall be deemed inconsistent with that meaning.
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)
the Percentage Interest evidenced by the within Certificate and hereby authorizes the transfer of registration of such Percentage Interest to assignee on the Certificate Register of the Trust.
I (We) further direct the Trustee 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:_________________
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 A-11
FORM OF CLASS M-5 CERTIFICATE
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
THIS CERTIFICATE IS SUBORDINATE TO THE CLASS A-1 CERTIFICATES, THE CLASS A-2 CERTIFICATES, THE CLASS A-3 CERTIFICATES, THE CLASS A-4 CERTIFICATES, THE CLASS A-5 CERTIFICATES, THE CLASS A-6 CERTIFICATES, THE CLASS M-1 CERTIFICATES, THE CLASS M-2 CERTIFICATES, THE CLASS M-3 CERTIFICATES AND THE CLASS M-4 CERTIFICATES TO THE EXTENT DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
NO TRANSFER OF THIS CERTIFICATE TO AN EMPLOYEE BENEFIT PLAN OR OTHER RETIREMENT ARRANGEMENT (EACH A “PLAN”) SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED (“ERISA”), SHALL BE MADE EXCEPT IN COMPLIANCE WITH THE PROCEDURES DESCRIBED HEREIN.
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, AS AMENDED (THE “CODE”).
Certificate No. |
: |
1 |
Cut-off Date |
: |
August 1, 2005 |
First Distribution Date |
: |
September 25, 2005 |
Initial Certificate Principal Balance of this Certificate (“Denomination”) |
: |
$8,802,000.00 |
Original Class Certificate Principal Balance of this Class |
: |
$8,802,000.00 |
Percentage Interest |
: |
100.00% |
Pass-Through Rate |
: |
Variable |
CUSIP |
: |
83611M GM 4 |
Class |
: |
M-5 |
Assumed Maturity Date |
: |
August 2035 |
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
Series 2005-OPT2
CLASS M-5
evidencing the Percentage Interest in the distributions allocable to the Certificates of the above-referenced Class with respect to the Trust consisting of first lien adjustable rate and fixed rate mortgage loans (the “Mortgage Loans”)
FINANCIAL ASSET SECURITIES CORP., AS DEPOSITOR
Principal in respect of this Certificate is distributable monthly as set forth herein. Accordingly, the Certificate Principal Balance of this Class M-5 Certificate at any time may be less than the Initial Certificate Principal Balance set forth on the face hereof, as described herein. This Class M-5 Certificate does not evidence an obligation of, or an interest in, and is not guaranteed by the Depositor, the Servicer, or the Trustee referred to below or any of their respective affiliates.
This certifies that Cede & Co. is the registered owner of the Percentage Interest evidenced by this Class M-5 Certificate (obtained by dividing the Denomination of this Class M-5 Certificate by the Original Class Certificate Principal Balance) in certain monthly distributions with respect to a Trust consisting primarily of the Mortgage Loans deposited by Financial Asset Securities Corp. (the “Depositor”). The Trust was created pursuant to a Pooling and Servicing Agreement dated as of August 1, 2005 (the “Agreement”) among the Depositor, Option One Mortgage Corporation, as servicer (the “Servicer”), and Deutsche Bank National Trust Company, a national banking association, as trustee (the “Trustee”). To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Class M-5 Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Class M-5 Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
No transfer of this Certificate to a Plan subject to ERISA or Section 4975 of the Code, any Person acting, directly or indirectly, on behalf of any such Plan or any person using Plan Assets to acquire this Certificate shall be made except in accordance with Section 5.02(d) of the Agreement.
Reference is hereby made to the further provisions of this Class M-5 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.
This Class M-5 Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose unless manually countersigned by an authorized signatory of the Trustee.
IN WITNESS WHEREOF, the Trustee on behalf of the Trust has caused this Certificate to be duly executed.
Dated: August __, 2005
SOUNDVIEW HOME LOAN TRUST 0000-XXX0
XXXXXXXX BANK NATIONAL TRUST COMPANY, not in its individual capacity, but solely as Trustee
By:_________________________________
This is one of the Certificates referenced
in the within-mentioned Agreement
By:__________________________________________
Authorized Signatory of
Deutsche Bank National Trust Company,
as Trustee
[Reverse of Class M-5 Certificate]
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
SERIES 2005-OPT2
This Certificate is one of a duly authorized issue of Certificates designated as Soundview Home Loan Trust 2005-OPT2, Asset-Backed Certificates, Series 2005-OPT2 herein collectively called the “Certificates”), and representing a beneficial ownership interest in the Trust created by the Agreement.
The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Distribution Account for payment hereunder and that the Trustee is not liable to the Certificateholders for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement.
This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced thereby, and the rights, duties and immunities of the Trustee.
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, then the Business Day immediately following such Distribution Date (the “Distribution Date”), commencing on the first Distribution Date specified on the face hereof, to the Person in whose name this Certificate is registered at the close of business on the applicable Record Date in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to Holders of Certificates of the Class to which this Certificate belongs on such Distribution Date pursuant to the Agreement.
Distributions on this Certificate shall be made by check or money order mailed to the address of the person entitled thereto as it appears on the Certificate Register or by wire transfer or otherwise, as set forth in the Agreement. The final distribution on each Certificate will be made in like manner, but only upon presentment and surrender of such Certificate at the office of the Trustee or the Trustee’s agent specified in the notice to Certificateholders of such final distribution.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee and of Holders of the requisite percentage of the Percentage Interests of each Class of Certificates affected by such amendment, as specified in the Agreement. 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 therefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the 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 of the Certificate Registrar
upon surrender of this Certificate for registration of transfer at the offices or agencies of the Trustee as provided in the Pooling and Servicing Agreement accompanied by a 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 the same Class in authorized denominations and evidencing the same aggregate Percentage Interest in the Trust will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without coupons 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 the same Class in authorized denominations and evidencing the same 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 Depositor, the Servicer and the Trustee and any agent of the Depositor, the Servicer or the Trustee may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Trustee, the Servicer or any such agent shall be affected by any notice to the contrary.
On any Distribution Date following the date at which the remaining aggregate Principal Balance of the Mortgage Loans is less than 10% of the sum of the aggregate Principal Balance of the Original Mortgage Loans as of the Cut-off Date and the Original Pre-Funded Amounts, the Servicer may purchase, in whole, from the Trust the Mortgage Loans at a purchase price determined as provided in the Agreement. In the event that no such optional termination occurs, the obligations and responsibilities created by the Agreement will terminate upon notice to the Trustee upon the earliest of (i) the Distribution Date on which the Certificate Principal Balances of the Regular Certificates have been reduced to zero, (ii) the final payment or other liquidation of the last Mortgage Loan in the Trust, (iii) the optional purchase by the Servicer of the Mortgage Loans as described in the Agreement and (iv) the Distribution Date in August 2035.
Capitalized terms used herein that are defined in the Agreement shall have the meanings ascribed to them in the Agreement, and nothing herein shall be deemed inconsistent with that meaning.
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)
the Percentage Interest evidenced by the within Certificate and hereby authorizes the transfer of registration of such Percentage Interest to assignee on the Certificate Register of the Trust.
I (We) further direct the Trustee 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:_________________
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 A-12
FORM OF CLASS M-6 CERTIFICATE
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
THIS CERTIFICATE IS SUBORDINATE TO THE CLASS A-1 CERTIFICATES, THE CLASS A-2 CERTIFICATES, THE CLASS A-3 CERTIFICATES, THE CLASS A-4 CERTIFICATES, THE CLASS A-5 CERTIFICATES, THE CLASS A-6 CERTIFICATES, THE CLASS M-1 CERTIFICATES, THE CLASS M-2 CERTIFICATES, THE CLASS M-3 CERTIFICATES, THE CLASS M-4 CERTIFICATES AND THE CLASS M-5 CERTIFICATES TO THE EXTENT DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
NO TRANSFER OF THIS CERTIFICATE TO AN EMPLOYEE BENEFIT PLAN OR OTHER RETIREMENT ARRANGEMENT (EACH A “PLAN”) SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED (“ERISA”), SHALL BE MADE EXCEPT IN COMPLIANCE WITH THE PROCEDURES DESCRIBED HEREIN.
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, AS AMENDED (THE “CODE”).
Certificate No. |
: |
1 |
Cut-off Date |
: |
August 1, 2005 |
First Distribution Date |
: |
September 25, 2005 |
Initial Certificate Principal Balance of this Certificate (“Denomination”) |
: |
$9,319,000.00 |
Original Class Certificate Principal Balance of this Class |
: |
$9,319,000.00 |
Percentage Interest |
: |
100.00% |
Pass-Through Rate |
: |
Variable |
CUSIP |
: |
83611M GN 2 |
Class |
: |
M-6 |
Assumed Maturity Date |
: |
August 2035 |
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
Series 2005-OPT2
CLASS M-6
evidencing the Percentage Interest in the distributions allocable to the Certificates of the above-referenced Class with respect to the Trust consisting of first lien adjustable rate and fixed rate mortgage loans (the “Mortgage Loans”)
FINANCIAL ASSET SECURITIES CORP., AS DEPOSITOR
Principal in respect of this Certificate is distributable monthly as set forth herein. Accordingly, the Certificate Principal Balance of this Class M-6 Certificate at any time may be less than the Initial Certificate Principal Balance set forth on the face hereof, as described herein. This Class M-6 Certificate does not evidence an obligation of, or an interest in, and is not guaranteed by the Depositor, the Servicer, or the Trustee referred to below or any of their respective affiliates.
This certifies that Cede & Co. is the registered owner of the Percentage Interest evidenced by this Class M-6 Certificate (obtained by dividing the Denomination of this Class M-6 Certificate by the Original Class Certificate Principal Balance) in certain monthly distributions with respect to a Trust consisting primarily of the Mortgage Loans deposited by Financial Asset Securities Corp. (the “Depositor”). The Trust was created pursuant to a Pooling and Servicing Agreement dated as of August 1, 2005 (the “Agreement”) among the Depositor, Option One Mortgage Corporation, as servicer (the “Servicer”), and Deutsche Bank National Trust Company, a national banking association, as trustee (the “Trustee”). To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Class M-6 Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Class M-6 Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
No transfer of this Certificate to a Plan subject to ERISA or Section 4975 of the Code, any Person acting, directly or indirectly, on behalf of any such Plan or any person using Plan Assets to acquire this Certificate shall be made except in accordance with Section 5.02(d) of the Agreement.
Reference is hereby made to the further provisions of this Class M-6 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.
This Class M-6 Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose unless manually countersigned by an authorized signatory of the Trustee.
IN WITNESS WHEREOF, the Trustee on behalf of the Trust has caused this Certificate to be duly executed.
Dated: August __, 2005
SOUNDVIEW HOME LOAN TRUST 0000-XXX0
XXXXXXXX BANK NATIONAL TRUST COMPANY, not in its individual capacity, but solely as Trustee
By:_________________________________
This is one of the Certificates referenced
in the within-mentioned Agreement
By:__________________________________________
Authorized Signatory of
Deutsche Bank National Trust Company,
as Trustee
[Reverse of Class M-6 Certificate]
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
SERIES 2005-OPT2
This Certificate is one of a duly authorized issue of Certificates designated as Soundview Home Loan Trust 2005-OPT2, Asset-Backed Certificates, Series 2005-OPT2 herein collectively called the “Certificates”), and representing a beneficial ownership interest in the Trust created by the Agreement.
The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Distribution Account for payment hereunder and that the Trustee is not liable to the Certificateholders for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement.
This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced thereby, and the rights, duties and immunities of the Trustee.
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, then the Business Day immediately following such Distribution Date (the “Distribution Date”), commencing on the first Distribution Date specified on the face hereof, to the Person in whose name this Certificate is registered at the close of business on the applicable Record Date in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to Holders of Certificates of the Class to which this Certificate belongs on such Distribution Date pursuant to the Agreement.
Distributions on this Certificate shall be made by check or money order mailed to the address of the person entitled thereto as it appears on the Certificate Register or by wire transfer or otherwise, as set forth in the Agreement. The final distribution on each Certificate will be made in like manner, but only upon presentment and surrender of such Certificate at the office of the Trustee or the Trustee’s agent specified in the notice to Certificateholders of such final distribution.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee and of Holders of the requisite percentage of the Percentage Interests of each Class of Certificates affected by such amendment, as specified in the Agreement. 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 therefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the 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 of the Certificate Registrar
upon surrender of this Certificate for registration of transfer at the offices or agencies of the Trustee as provided in the Pooling and Servicing Agreement accompanied by a 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 the same Class in authorized denominations and evidencing the same aggregate Percentage Interest in the Trust will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without coupons 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 the same Class in authorized denominations and evidencing the same 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 Depositor, the Servicer and the Trustee and any agent of the Depositor, the Servicer or the Trustee may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Trustee, the Servicer or any such agent shall be affected by any notice to the contrary.
On any Distribution Date following the date at which the remaining aggregate Principal Balance of the Mortgage Loans is less than 10% of the sum of the aggregate Principal Balance of the Original Mortgage Loans as of the Cut-off Date and the Original Pre-Funded Amounts, the Servicer may purchase, in whole, from the Trust the Mortgage Loans at a purchase price determined as provided in the Agreement. In the event that no such optional termination occurs, the obligations and responsibilities created by the Agreement will terminate upon notice to the Trustee upon the earliest of (i) the Distribution Date on which the Certificate Principal Balances of the Regular Certificates have been reduced to zero, (ii) the final payment or other liquidation of the last Mortgage Loan in the Trust, (iii) the optional purchase by the Servicer of the Mortgage Loans as described in the Agreement and (iv) the Distribution Date in August 2035.
Capitalized terms used herein that are defined in the Agreement shall have the meanings ascribed to them in the Agreement, and nothing herein shall be deemed inconsistent with that meaning.
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)
the Percentage Interest evidenced by the within Certificate and hereby authorizes the transfer of registration of such Percentage Interest to assignee on the Certificate Register of the Trust.
I (We) further direct the Trustee 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:_________________
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 A-13
FORM OF CLASS M-7 CERTIFICATE
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
THIS CERTIFICATE IS SUBORDINATE TO THE CLASS A-1 CERTIFICATES, THE CLASS A-2 CERTIFICATES, THE CLASS A-3 CERTIFICATES, THE CLASS A-4 CERTIFICATES, THE CLASS A-5 CERTIFICATES, THE CLASS A-6 CERTIFICATES, THE CLASS M-1 CERTIFICATES, THE CLASS M-2 CERTIFICATES, THE CLASS M-3 CERTIFICATES, THE CLASS M-4 CERTIFICATES, THE CLASS M-5 CERTIFICATES AND THE CLASS M-6 CERTIFICATES TO THE EXTENT DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
NO TRANSFER OF THIS CERTIFICATE TO AN EMPLOYEE BENEFIT PLAN OR OTHER RETIREMENT ARRANGEMENT (EACH A “PLAN”) SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED (“ERISA”), SHALL BE MADE EXCEPT IN COMPLIANCE WITH THE PROCEDURES DESCRIBED HEREIN.
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, AS AMENDED (THE “CODE”).
Certificate No. |
: |
1 |
Cut-off Date |
: |
August 1, 2005 |
First Distribution Date |
: |
September 25, 2005 |
Initial Certificate Principal Balance of this Certificate (“Denomination”) |
: |
$8,284,000.00 |
Original Class Certificate Principal Balance of this Class |
: |
$8,284,000.00 |
Percentage Interest |
: |
100.00% |
Pass-Through Rate |
: |
Variable |
CUSIP |
: |
83611M GP 7 |
Class |
: |
M-7 |
Assumed Maturity Date |
: |
August 2035 |
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
Series 2005-OPT2
CLASS M-7
evidencing the Percentage Interest in the distributions allocable to the Certificates of the above-referenced Class with respect to the Trust consisting of first lien adjustable rate and fixed rate mortgage loans (the “Mortgage Loans”)
FINANCIAL ASSET SECURITIES CORP., AS DEPOSITOR
Principal in respect of this Certificate is distributable monthly as set forth herein. Accordingly, the Certificate Principal Balance of this Class M-7 Certificate at any time may be less than the Initial Certificate Principal Balance set forth on the face hereof, as described herein. This Class M-7 Certificate does not evidence an obligation of, or an interest in, and is not guaranteed by the Depositor, the Servicer, or the Trustee referred to below or any of their respective affiliates.
This certifies that Cede & Co. is the registered owner of the Percentage Interest evidenced by this Class M-7 Certificate (obtained by dividing the Denomination of this Class M-7 Certificate by the Original Class Certificate Principal Balance) in certain monthly distributions with respect to a Trust consisting primarily of the Mortgage Loans deposited by Financial Asset Securities Corp. (the “Depositor”). The Trust was created pursuant to a Pooling and Servicing Agreement dated as of August 1, 2005 (the “Agreement”) among the Depositor, Option One Mortgage Corporation, as servicer (the “Servicer”), and Deutsche Bank National Trust Company, a national banking association, as trustee (the “Trustee”). To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Class M-7 Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Class M-7 Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
No transfer of this Certificate to a Plan subject to ERISA or Section 4975 of the Code, any Person acting, directly or indirectly, on behalf of any such Plan or any person using Plan Assets to acquire this Certificate shall be made except in accordance with Section 5.02(d) of the Agreement.
Reference is hereby made to the further provisions of this Class M-7 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.
This Class M-7 Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose unless manually countersigned by an authorized signatory of the Trustee.
IN WITNESS WHEREOF, the Trustee on behalf of the Trust has caused this Certificate to be duly executed.
Dated: August __, 2005
SOUNDVIEW HOME LOAN TRUST 0000-XXX0
XXXXXXXX BANK NATIONAL TRUST COMPANY, not in its individual capacity, but solely as Trustee
By:_________________________________
This is one of the Certificates referenced
in the within-mentioned Agreement
By:__________________________________________
Authorized Signatory of
Deutsche Bank National Trust Company,
as Trustee
[Reverse of Class M-7 Certificate]
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
SERIES 2005-OPT2
This Certificate is one of a duly authorized issue of Certificates designated as Soundview Home Loan Trust 2005-OPT2, Asset-Backed Certificates, Series 2005-OPT2 herein collectively called the “Certificates”), and representing a beneficial ownership interest in the Trust created by the Agreement.
The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Distribution Account for payment hereunder and that the Trustee is not liable to the Certificateholders for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement.
This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced thereby, and the rights, duties and immunities of the Trustee.
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, then the Business Day immediately following such Distribution Date (the “Distribution Date”), commencing on the first Distribution Date specified on the face hereof, to the Person in whose name this Certificate is registered at the close of business on the applicable Record Date in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to Holders of Certificates of the Class to which this Certificate belongs on such Distribution Date pursuant to the Agreement.
Distributions on this Certificate shall be made by check or money order mailed to the address of the person entitled thereto as it appears on the Certificate Register or by wire transfer or otherwise, as set forth in the Agreement. The final distribution on each Certificate will be made in like manner, but only upon presentment and surrender of such Certificate at the office of the Trustee or the Trustee’s agent specified in the notice to Certificateholders of such final distribution.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee and of Holders of the requisite percentage of the Percentage Interests of each Class of Certificates affected by such amendment, as specified in the Agreement. 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 therefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the 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 of the Certificate Registrar
upon surrender of this Certificate for registration of transfer at the offices or agencies of the Trustee as provided in the Pooling and Servicing Agreement accompanied by a 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 the same Class in authorized denominations and evidencing the same aggregate Percentage Interest in the Trust will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without coupons 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 the same Class in authorized denominations and evidencing the same 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 Depositor, the Servicer and the Trustee and any agent of the Depositor, the Servicer or the Trustee may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Trustee, the Servicer or any such agent shall be affected by any notice to the contrary.
On any Distribution Date following the date at which the remaining aggregate Principal Balance of the Mortgage Loans is less than 10% of the sum of the aggregate Principal Balance of the Original Mortgage Loans as of the Cut-off Date and the Original Pre-Funded Amounts, the Servicer may purchase, in whole, from the Trust the Mortgage Loans at a purchase price determined as provided in the Agreement. In the event that no such optional termination occurs, the obligations and responsibilities created by the Agreement will terminate upon notice to the Trustee upon the earliest of (i) the Distribution Date on which the Certificate Principal Balances of the Regular Certificates have been reduced to zero, (ii) the final payment or other liquidation of the last Mortgage Loan in the Trust, (iii) the optional purchase by the Servicer of the Mortgage Loans as described in the Agreement and (iv) the Distribution Date in August 2035.
Capitalized terms used herein that are defined in the Agreement shall have the meanings ascribed to them in the Agreement, and nothing herein shall be deemed inconsistent with that meaning.
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)
the Percentage Interest evidenced by the within Certificate and hereby authorizes the transfer of registration of such Percentage Interest to assignee on the Certificate Register of the Trust.
I (We) further direct the Trustee 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:_________________
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 A-14
FORM OF CLASS M-8 CERTIFICATE
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
THIS CERTIFICATE IS SUBORDINATE TO THE CLASS A-1 CERTIFICATES, THE CLASS A-2 CERTIFICATES, THE CLASS A-3 CERTIFICATES, THE CLASS A-4 CERTIFICATES, THE CLASS A-5 CERTIFICATES, THE CLASS A-6 CERTIFICATES, THE CLASS M-1 CERTIFICATES, THE CLASS M-2 CERTIFICATES, THE CLASS M-3 CERTIFICATES, THE CLASS M-4 CERTIFICATES, THE CLASS M-5 CERTIFICATES, THE CLASS M-6 CERTIFICATES AND THE CLASS M-7 CERTIFICATES TO THE EXTENT DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
NO TRANSFER OF THIS CERTIFICATE TO AN EMPLOYEE BENEFIT PLAN OR OTHER RETIREMENT ARRANGEMENT (EACH A “PLAN”) SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED (“ERISA”), SHALL BE MADE EXCEPT IN COMPLIANCE WITH THE PROCEDURES DESCRIBED HEREIN.
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, AS AMENDED (THE “CODE”).
Certificate No. |
: |
1 |
Cut-off Date |
: |
August 1, 2005 |
First Distribution Date |
: |
September 25, 2005 |
Initial Certificate Principal Balance of this Certificate (“Denomination”) |
: |
$8,284,000.00 |
Original Class Certificate Principal Balance of this Class |
: |
$8,284,000.00 |
Percentage Interest |
: |
100.00% |
Pass-Through Rate |
: |
Variable |
CUSIP |
: |
83611M GQ 5 |
Class |
: |
M-8 |
Assumed Maturity Date |
: |
August 2035 |
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
Series 2005-OPT2
CLASS M-8
evidencing the Percentage Interest in the distributions allocable to the Certificates of the above-referenced Class with respect to the Trust consisting of first lien adjustable rate and fixed rate mortgage loans (the “Mortgage Loans”)
FINANCIAL ASSET SECURITIES CORP., AS DEPOSITOR
Principal in respect of this Certificate is distributable monthly as set forth herein. Accordingly, the Certificate Principal Balance of this Class M-8 Certificate at any time may be less than the Initial Certificate Principal Balance set forth on the face hereof, as described herein. This Class M-8 Certificate does not evidence an obligation of, or an interest in, and is not guaranteed by the Depositor, the Servicer, or the Trustee referred to below or any of their respective affiliates.
This certifies that Cede & Co. is the registered owner of the Percentage Interest evidenced by this Class M-8 Certificate (obtained by dividing the Denomination of this Class M-8 Certificate by the Original Class Certificate Principal Balance) in certain monthly distributions with respect to a Trust consisting primarily of the Mortgage Loans deposited by Financial Asset Securities Corp. (the “Depositor”). The Trust was created pursuant to a Pooling and Servicing Agreement dated as of August 1, 2005 (the “Agreement”) among the Depositor, Option One Mortgage Corporation, as servicer (the “Servicer”), and Deutsche Bank National Trust Company, a national banking association, as trustee (the “Trustee”). To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Class M-8 Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Class M-8 Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
No transfer of this Certificate to a Plan subject to ERISA or Section 4975 of the Code, any Person acting, directly or indirectly, on behalf of any such Plan or any person using Plan Assets to acquire this Certificate shall be made except in accordance with Section 5.02(d) of the Agreement.
Reference is hereby made to the further provisions of this Class M-8 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.
This Class M-8 Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose unless manually countersigned by an authorized signatory of the Trustee.
IN WITNESS WHEREOF, the Trustee on behalf of the Trust has caused this Certificate to be duly executed.
Dated: August __, 2005
SOUNDVIEW HOME LOAN TRUST 0000-XXX0
XXXXXXXX BANK NATIONAL TRUST COMPANY, not in its individual capacity, but solely as Trustee
By:_________________________________
This is one of the Certificates referenced
in the within-mentioned Agreement
By:__________________________________________
Authorized Signatory of
Deutsche Bank National Trust Company,
as Trustee
[Reverse of Class M-8 Certificate]
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
SERIES 2005-OPT2
This Certificate is one of a duly authorized issue of Certificates designated as Soundview Home Loan Trust 2005-OPT2, Asset-Backed Certificates, Series 2005-OPT2 herein collectively called the “Certificates”), and representing a beneficial ownership interest in the Trust created by the Agreement.
The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Distribution Account for payment hereunder and that the Trustee is not liable to the Certificateholders for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement.
This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced thereby, and the rights, duties and immunities of the Trustee.
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, then the Business Day immediately following such Distribution Date (the “Distribution Date”), commencing on the first Distribution Date specified on the face hereof, to the Person in whose name this Certificate is registered at the close of business on the applicable Record Date in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to Holders of Certificates of the Class to which this Certificate belongs on such Distribution Date pursuant to the Agreement.
Distributions on this Certificate shall be made by check or money order mailed to the address of the person entitled thereto as it appears on the Certificate Register or by wire transfer or otherwise, as set forth in the Agreement. The final distribution on each Certificate will be made in like manner, but only upon presentment and surrender of such Certificate at the office of the Trustee or the Trustee’s agent specified in the notice to Certificateholders of such final distribution.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee and of Holders of the requisite percentage of the Percentage Interests of each Class of Certificates affected by such amendment, as specified in the Agreement. 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 therefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the 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 of the Certificate Registrar
upon surrender of this Certificate for registration of transfer at the offices or agencies of the Trustee as provided in the Pooling and Servicing Agreement accompanied by a 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 the same Class in authorized denominations and evidencing the same aggregate Percentage Interest in the Trust will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without coupons 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 the same Class in authorized denominations and evidencing the same 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 Depositor, the Servicer and the Trustee and any agent of the Depositor, the Servicer or the Trustee may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Trustee, the Servicer or any such agent shall be affected by any notice to the contrary.
On any Distribution Date following the date at which the remaining aggregate Principal Balance of the Mortgage Loans is less than 10% of the sum of the aggregate Principal Balance of the Original Mortgage Loans as of the Cut-off Date and the Original Pre-Funded Amounts, the Servicer may purchase, in whole, from the Trust the Mortgage Loans at a purchase price determined as provided in the Agreement. In the event that no such optional termination occurs, the obligations and responsibilities created by the Agreement will terminate upon notice to the Trustee upon the earliest of (i) the Distribution Date on which the Certificate Principal Balances of the Regular Certificates have been reduced to zero, (ii) the final payment or other liquidation of the last Mortgage Loan in the Trust, (iii) the optional purchase by the Servicer of the Mortgage Loans as described in the Agreement and (iv) the Distribution Date in August 2035.
Capitalized terms used herein that are defined in the Agreement shall have the meanings ascribed to them in the Agreement, and nothing herein shall be deemed inconsistent with that meaning.
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)
the Percentage Interest evidenced by the within Certificate and hereby authorizes the transfer of registration of such Percentage Interest to assignee on the Certificate Register of the Trust.
I (We) further direct the Trustee 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:_________________
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 A-15
FORM OF CLASS M-9 CERTIFICATE
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
THIS CERTIFICATE IS SUBORDINATE TO THE CLASS A-1 CERTIFICATES, THE CLASS A-2 CERTIFICATES, THE CLASS A-3 CERTIFICATES, THE CLASS A-4 CERTIFICATES, THE CLASS A-5 CERTIFICATES, THE CLASS A-6 CERTIFICATES, THE CLASS M-1 CERTIFICATES, THE CLASS M-2 CERTIFICATES, THE CLASS M-3 CERTIFICATES, THE CLASS M-4 CERTIFICATES, THE CLASS M-5 CERTIFICATES, THE CLASS M-6 CERTIFICATES, THE CLASS M-7 CERTIFICATES AND THE CLASS M-8 CERTIFICATES TO THE EXTENT DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
NO TRANSFER OF THIS CERTIFICATE TO AN EMPLOYEE BENEFIT PLAN OR OTHER RETIREMENT ARRANGEMENT (EACH A “PLAN”) SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED (“ERISA”), SHALL BE MADE EXCEPT IN COMPLIANCE WITH THE PROCEDURES DESCRIBED HEREIN.
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, AS AMENDED (THE “CODE”).
Certificate No. |
: |
1 |
Cut-off Date |
: |
August 1, 2005 |
First Distribution Date |
: |
September 25, 2005 |
Initial Certificate Principal Balance of this Certificate (“Denomination”) |
: |
$8,284,000.00 |
Original Class Certificate Principal Balance of this Class |
: |
$8,284,000.00 |
Percentage Interest |
: |
100.00% |
Pass-Through Rate |
: |
Variable |
CUSIP |
: |
83611M GR 3 |
Class |
: |
M-9 |
Assumed Maturity Date |
: |
August 2035 |
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
Series 2005-OPT2
CLASS M-9
evidencing the Percentage Interest in the distributions allocable to the Certificates of the above-referenced Class with respect to the Trust consisting of first lien adjustable rate and fixed rate mortgage loans (the “Mortgage Loans”)
FINANCIAL ASSET SECURITIES CORP., AS DEPOSITOR
Principal in respect of this Certificate is distributable monthly as set forth herein. Accordingly, the Certificate Principal Balance of this Class M-9 Certificate at any time may be less than the Initial Certificate Principal Balance set forth on the face hereof, as described herein. This Class M-9 Certificate does not evidence an obligation of, or an interest in, and is not guaranteed by the Depositor, the Servicer, or the Trustee referred to below or any of their respective affiliates.
This certifies that Cede & Co. is the registered owner of the Percentage Interest evidenced by this Class M-9 Certificate (obtained by dividing the Denomination of this Class M-9 Certificate by the Original Class Certificate Principal Balance) in certain monthly distributions with respect to a Trust consisting primarily of the Mortgage Loans deposited by Financial Asset Securities Corp. (the “Depositor”). The Trust was created pursuant to a Pooling and Servicing Agreement dated as of August 1, 2005 (the “Agreement”) among the Depositor, Option One Mortgage Corporation, as servicer (the “Servicer”), and Deutsche Bank National Trust Company, a national banking association, as trustee (the “Trustee”). To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Class M-9 Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Class M-9 Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
No transfer of this Certificate to a Plan subject to ERISA or Section 4975 of the Code, any Person acting, directly or indirectly, on behalf of any such Plan or any person using Plan Assets to acquire this Certificate shall be made except in accordance with Section 5.02(d) of the Agreement.
Reference is hereby made to the further provisions of this Class M-9 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.
This Class M-9 Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose unless manually countersigned by an authorized signatory of the Trustee.
IN WITNESS WHEREOF, the Trustee on behalf of the Trust has caused this Certificate to be duly executed.
Dated: August __, 2005
SOUNDVIEW HOME LOAN TRUST 0000-XXX0
XXXXXXXX BANK NATIONAL TRUST COMPANY, not in its individual capacity, but solely as Trustee
By:_________________________________
This is one of the Certificates referenced
in the within-mentioned Agreement
By:__________________________________________
Authorized Signatory of
Deutsche Bank National Trust Company,
as Trustee
[Reverse of Class M-9 Certificate]
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
SERIES 2005-OPT2
This Certificate is one of a duly authorized issue of Certificates designated as Soundview Home Loan Trust 2005-OPT2, Asset-Backed Certificates, Series 2005-OPT2 herein collectively called the “Certificates”), and representing a beneficial ownership interest in the Trust created by the Agreement.
The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Distribution Account for payment hereunder and that the Trustee is not liable to the Certificateholders for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement.
This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced thereby, and the rights, duties and immunities of the Trustee.
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, then the Business Day immediately following such Distribution Date (the “Distribution Date”), commencing on the first Distribution Date specified on the face hereof, to the Person in whose name this Certificate is registered at the close of business on the applicable Record Date in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to Holders of Certificates of the Class to which this Certificate belongs on such Distribution Date pursuant to the Agreement.
Distributions on this Certificate shall be made by check or money order mailed to the address of the person entitled thereto as it appears on the Certificate Register or by wire transfer or otherwise, as set forth in the Agreement. The final distribution on each Certificate will be made in like manner, but only upon presentment and surrender of such Certificate at the office of the Trustee or the Trustee’s agent specified in the notice to Certificateholders of such final distribution.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee and of Holders of the requisite percentage of the Percentage Interests of each Class of Certificates affected by such amendment, as specified in the Agreement. 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 therefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the 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 of the Certificate Registrar
upon surrender of this Certificate for registration of transfer at the offices or agencies of the Trustee as provided in the Pooling and Servicing Agreement accompanied by a 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 the same Class in authorized denominations and evidencing the same aggregate Percentage Interest in the Trust will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without coupons 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 the same Class in authorized denominations and evidencing the same 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 Depositor, the Servicer and the Trustee and any agent of the Depositor, the Servicer or the Trustee may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Trustee, the Servicer or any such agent shall be affected by any notice to the contrary.
On any Distribution Date following the date at which the remaining aggregate Principal Balance of the Mortgage Loans is less than 10% of the sum of the aggregate Principal Balance of the Original Mortgage Loans as of the Cut-off Date and the Original Pre-Funded Amounts, the Servicer may purchase, in whole, from the Trust the Mortgage Loans at a purchase price determined as provided in the Agreement. In the event that no such optional termination occurs, the obligations and responsibilities created by the Agreement will terminate upon notice to the Trustee upon the earliest of (i) the Distribution Date on which the Certificate Principal Balances of the Regular Certificates have been reduced to zero, (ii) the final payment or other liquidation of the last Mortgage Loan in the Trust, (iii) the optional purchase by the Servicer of the Mortgage Loans as described in the Agreement and (iv) the Distribution Date in August 2035.
Capitalized terms used herein that are defined in the Agreement shall have the meanings ascribed to them in the Agreement, and nothing herein shall be deemed inconsistent with that meaning.
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)
the Percentage Interest evidenced by the within Certificate and hereby authorizes the transfer of registration of such Percentage Interest to assignee on the Certificate Register of the Trust.
I (We) further direct the Trustee 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:_________________
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 A-16
FORM OF CLASS C CERTIFICATES
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, AS AMENDED (THE “CODE”).
THIS CERTIFICATE HAS NOT BEEN REGISTERED UNDER THE SECURITIES ACT OF 1933, AS AMENDED (THE “ACT”). ANY RESALE OR TRANSFER OF THIS CERTIFICATE WITHOUT REGISTRATION THEREOF UNDER THE ACT MAY ONLY BE MADE IN A TRANSACTION EXEMPTED FROM THE REGISTRATION REQUIREMENTS OF THE ACT AND IN ACCORDANCE WITH THE PROVISIONS OF THE AGREEMENT REFERRED TO HEREIN.
THIS CERTIFICATE IS SUBORDINATE TO THE CLASS A-1 CERTIFICATES, THE CLASS A-2 CERTIFICATES, THE CLASS A-3 CERTIFICATES, THE CLASS A-4 CERTIFICATES, THE CLASS A-5 CERTIFICATES, THE CLASS A-6 CERTIFICATES, THE CLASS M-1 CERTIFICATES, THE CLASS M-2 CERTIFICATES, THE CLASS M-3 CERTIFICATES, THE CLASS M-4 CERTIFICATES, THE CLASS M-5 CERTIFICATES, THE CLASS M-6 CERTIFICATES, THE CLASS M-7 CERTIFICATES, THE CLASS M-8 CERTIFICATES AND THE CLASS M-9 CERTIFICATES TO THE EXTENT DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
THIS CERTIFICATE HAS NOT BEEN REGISTERED UNDER THE SECURITIES ACT OF 1933, AS AMENDED (THE "ACT"). ANY RESALE OR TRANSFER OF THIS CERTIFICATE WITHOUT REGISTRATION THEREOF UNDER THE ACT MAY ONLY BE MADE IN A TRANSACTION EXEMPTED FROM THE REGISTRATION REQUIREMENTS OF THE ACT AND IN ACCORDANCE WITH THE PROVISIONS OF THE AGREEMENT REFERRED TO HEREIN.
NO TRANSFER OF THIS CERTIFICATE TO AN EMPLOYEE BENEFIT PLAN OR OTHER RETIREMENT ARRANGEMENT (EACH A “PLAN”) SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED (“ERISA”), SHALL BE MADE EXCEPT IN COMPLIANCE WITH THE PROCEDURES DESCRIBED HEREIN.
Certificate No. |
: |
1 |
Cut-off Date |
: |
August 1, 2005 |
First Distribution Date |
: |
September 25, 2005 |
Initial Certificate Principal Balance of this Certificate (“Denomination”) |
: |
$6,729,682.00 |
Original Class Certificate Principal Balance of this Class |
: |
$6,729,682.00 |
Percentage Interest |
: |
100.00% |
Class |
: |
C |
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
Series 2005-OPT2
CLASS C
evidencing the Percentage Interest in the distributions allocable to the Certificates of the above-referenced Class with respect to the Trust consisting of first lien adjustable rate and fixed rate mortgage loans (the “Mortgage Loans”)
FINANCIAL ASSET SECURITIES CORP., AS DEPOSITOR
Principal in respect of this Certificate is distributable monthly as set forth herein. Accordingly, the Certificate Principal Balance of this Class C Certificate at any time may be less than the Initial Certificate Principal Balance set forth on the face hereof, as described herein. This Class C Certificate does not evidence an obligation of, or an interest in, and is not guaranteed by the Depositor, the Servicer, or the Trustee referred to below or any of their respective affiliates.
This certifies that Greenwich Capital Financial Products, Inc. is the registered owner of the Percentage Interest evidenced by this Class C Certificate (obtained by dividing the Denomination of this Class C Certificate by the Original Class Certificate Principal Balance) in certain distributions with respect to a Trust consisting primarily of the Mortgage Loans deposited by Financial Asset Securities Corp. (the “Depositor”). The Trust was created pursuant to a Pooling and Servicing Agreement dated as of August 1, 2005 (the “Agreement”) among the Depositor, Option One Mortgage Corporation, as servicer (the “Servicer”), and Deutsche Bank National Trust Company, a national banking association, as trustee (the “Trustee”). To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Class C Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Class C Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
No transfer of a Certificate of this Class shall be made unless such transfer is made pursuant to an effective registration statement under the Act and any applicable state securities laws or is exempt from the registration requirements under said Act and such laws. In the event that a transfer is to be made in reliance upon an exemption from the Act and such laws, in order to assure compliance with the Act and such laws, the Certificateholder desiring to effect such transfer and such Certificateholder’s prospective transferee shall each certify to the Trustee and the Depositor in writing the facts surrounding the transfer. In the event that such a transfer is not to be made pursuant to Rule 144A of the Act, there shall be delivered to the Trustee and the Depositor of an Opinion of Counsel that such transfer may be made pursuant to an exemption from the Act, which Opinion of Counsel shall not be obtained at the expense of the Trustee, the Servicer or the Depositor; or there shall be delivered to the Trustee and the Depositor a transferor certificate by the transferor and an investment letter shall be executed by the transferee. The Holder hereof desiring to effect such transfer shall, and does hereby agree to, indemnify the Trustee and the Depositor 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.
No transfer of this Certificate to a Plan subject to ERISA or Section 4975 of the Code, any Person acting, directly or indirectly, on behalf of any such Plan or any person using Plan
Assets to acquire this Certificate shall be made except in accordance with Section 5.02(d) of the Agreement.
Reference is hereby made to the further provisions of this Class C 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.
This Class C Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose unless manually countersigned by an authorized signatory of the Trustee.
IN WITNESS WHEREOF, the Trustee on behalf of the Trust has caused this Certificate to be duly executed.
Dated: August __, 2005
SOUNDVIEW HOME LOAN TRUST 0000-XXX0
XXXXXXXX BANK NATIONAL TRUST COMPANY, not in its individual capacity, but solely as Trustee
By:_________________________________
This is one of the Certificates referenced
in the within-mentioned Agreement
By:__________________________________________
Authorized Signatory of
Deutsche Bank National Trust Company,
as Trustee
[Reverse of Class C Certificate]
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
SERIES 2005-OPT2
This Certificate is one of a duly authorized issue of Certificates designated as Soundview Home Loan Trust 2005-OPT2, Asset-Backed Certificates, Series 2005-OPT2 (herein collectively called the “Certificates”), and representing a beneficial ownership interest in the Trust created by the Agreement.
The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Distribution Account for payment hereunder and that the Trustee is not liable to the Certificateholders for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement.
This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced thereby, and the rights, duties and immunities of the Trustee.
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, then the Business Day immediately following such Distribution Date (the “Distribution Date”), commencing on the first Distribution Date specified on the face hereof, to the Person in whose name this Certificate is registered at the close of business on the applicable Record Date in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to Holders of Certificates of the Class to which this Certificate belongs on such Distribution Date pursuant to the Agreement.
Distributions on this Certificate shall be made by check or money order mailed to the address of the person entitled thereto as it appears on the Certificate Register or by wire transfer or otherwise, as set forth in the Agreement. The final distribution on each Certificate will be made in like manner, but only upon presentment and surrender of such Certificate at the office of the Trustee or the Trustee’s agent specified in the notice to Certificateholders of such final distribution.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee and of Holders of the requisite percentage of the Percentage Interests of each Class of Certificates affected by such amendment, as specified in the Agreement. 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 therefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the 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 of the Certificate Registrar
upon surrender of this Certificate for registration of transfer at the offices or agencies of the Trustee as provided in the Pooling and Servicing Agreement accompanied by a 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 the same Class in authorized denominations and evidencing the same aggregate Percentage Interest in the Trust will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without coupons 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 the same Class in authorized denominations and evidencing the same 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 Depositor, the Servicer and the Trustee and any agent of the Depositor, the Servicer or the Trustee may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Trustee, the Servicer or any such agent shall be affected by any notice to the contrary.
On any Distribution Date following the date at which the remaining aggregate Principal Balance of the Mortgage Loans is less than 10% of the sum of the aggregate Principal Balance of the Original Mortgage Loans as of the Cut-off Date and the Original Pre-Funded Amounts, the Servicer may purchase, in whole, from the Trust the Mortgage Loans at a purchase price determined as provided in the Agreement. In the event that no such optional termination occurs, the obligations and responsibilities created by the Agreement will terminate upon notice to the Trustee upon the earliest of (i) the Distribution Date on which the Certificate Principal Balances of the Regular Certificates have been reduced to zero, (ii) the final payment or other liquidation of the last Mortgage Loan in the Trust, (iii) the optional purchase by the Servicer of the Mortgage Loans as described in the Agreement and (iv) the Distribution Date in August 2035.
Capitalized terms used herein that are defined in the Agreement shall have the meanings ascribed to them in the Agreement, and nothing herein shall be deemed inconsistent with that meaning.
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)
the Percentage Interest evidenced by the within Certificate and hereby authorizes the transfer of registration of such Percentage Interest to assignee on the Certificate Register of the Trust.
I (We) further direct the Trustee 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:_________________
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 A-17
FORM OF CLASS P 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, AS AMENDED (THE “CODE”).
THIS CERTIFICATE HAS NOT BEEN REGISTERED UNDER THE SECURITIES ACT OF 1933, AS AMENDED (THE “ACT”). ANY RESALE OR TRANSFER OF THIS CERTIFICATE WITHOUT REGISTRATION THEREOF UNDER THE ACT MAY ONLY BE MADE IN A TRANSACTION EXEMPTED FROM THE REGISTRATION REQUIREMENTS OF THE ACT AND IN ACCORDANCE WITH THE PROVISIONS OF THE AGREEMENT REFERRED TO HEREIN.
NO TRANSFER OF THIS CERTIFICATE TO AN EMPLOYEE BENEFIT PLAN OR OTHER RETIREMENT ARRANGEMENT (EACH A “PLAN”) SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED (“ERISA”), SHALL BE MADE EXCEPT IN COMPLIANCE WITH THE PROCEDURES DESCRIBED HEREIN.
Certificate No. |
: |
1 |
Cut-off Date |
: |
August 1, 2005 |
First Distribution Date |
: |
September 25, 2005 |
Initial Certificate Principal Balance of this Certificate (“Denomination”) |
: |
$100.00 |
Original Class Certificate Principal Balance of this Class |
: |
$100.00 |
Percentage Interest |
: |
100.00% |
Class |
: |
P |
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
Series 2005-OPT2
CLASS P
evidencing the Percentage Interest in the distributions allocable to the Certificates of the above-referenced Class with respect to the Trust consisting of first lien adjustable rate and fixed rate mortgage loans (the “Mortgage Loans”)
FINANCIAL ASSET SECURITIES CORP., AS DEPOSITOR
Principal in respect of this Certificate is distributable monthly as set forth herein. Accordingly, the Certificate Principal Balance of this Class P Certificate at any time may be less than the Initial Certificate Principal Balance set forth on the face hereof, as described herein. This Class P Certificate does not evidence an obligation of, or an interest in, and is not guaranteed by the Depositor, the Servicer, or the Trustee referred to below or any of their respective affiliates.
This certifies that Greenwich Capital Financial Products, Inc. is the registered owner of the Percentage Interest evidenced by this Class P Certificate (obtained by dividing the Denomination of this Class P Certificate by the Original Class Certificate Principal Balance) in certain distributions with respect to a Trust consisting primarily of the Mortgage Loans deposited by Financial Asset Securities Corp. (the “Depositor”). The Trust was created pursuant to a Pooling and Servicing Agreement dated as of August 1, 2005 (the “Agreement”) among the Depositor, Option One Mortgage Corporation, as servicer (the “Servicer”), and Deutsche Bank National Trust Company, a national banking association, as trustee (the “Trustee”). To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Class P Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Class P Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
This Certificate does not have a pass-through rate and will be entitled to distributions only to the extent set forth in the Agreement.
No transfer of a Certificate of this Class shall be made unless such transfer is made pursuant to an effective registration statement under the Act and any applicable state securities laws or is exempt from the registration requirements under said Act and such laws. In the event that a transfer is to be made in reliance upon an exemption from the Act and such laws, in order to assure compliance with the Act and such laws, the Certificateholder desiring to effect such transfer and such Certificateholder’s prospective transferee shall each certify to the Trustee and the Depositor in writing the facts surrounding the transfer. In the event that such a transfer is not to be made pursuant to Rule 144A of the Act, there shall be delivered to the Trustee and the Depositor of an Opinion of Counsel that such transfer may be made pursuant to an exemption from the Act, which Opinion of Counsel shall not be obtained at the expense of the Trustee, the Servicer or the Depositor; or there shall be delivered to the Trustee and the Depositor a transferor certificate by the transferor and an investment letter shall be executed by the transferee. The Holder hereof desiring to effect such transfer shall, and does hereby agree to, indemnify the Trustee and the Depositor 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.
No transfer of this Certificate to a Plan subject to ERISA or Section 4975 of the Code, any Person acting, directly or indirectly, on behalf of any such Plan or any person using Plan Assets to acquire this Certificate shall be made except in accordance with Section 5.02(d) of the Agreement.
Reference is hereby made to the further provisions of this Class P 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.
This Class P Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose unless manually countersigned by an authorized signatory of the Trustee.
IN WITNESS WHEREOF, the Trustee on behalf of the Trust has caused this Certificate to be duly executed.
Dated: August __, 2005
SOUNDVIEW HOME LOAN TRUST 0000-XXX0
XXXXXXXX BANK NATIONAL TRUST COMPANY, not in its individual capacity, but solely as Trustee
By:_________________________________
This is one of the Certificates referenced
in the within-mentioned Agreement
By:__________________________________________
Authorized Signatory of
Deutsche Bank National Trust Company,
as Trustee
[Reverse of Class P Certificate]
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
SERIES 2005-OPT2
This Certificate is one of a duly authorized issue of Certificates designated as Soundview Home Loan Trust 2005-OPT2, Asset-Backed Certificates, Series 2005-OPT2 (herein collectively called the “Certificates”), and representing a beneficial ownership interest in the Trust created by the Agreement.
The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Distribution Account for payment hereunder and that the Trustee is not liable to the Certificateholders for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement.
This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced thereby, and the rights, duties and immunities of the Trustee.
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, then the Business Day immediately following such Distribution Date (the “Distribution Date”), commencing on the first Distribution Date specified on the face hereof, to the Person in whose name this Certificate is registered at the close of business on the applicable Record Date in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to Holders of Certificates of the Class to which this Certificate belongs on such Distribution Date pursuant to the Agreement.
Distributions on this Certificate shall be made by check or money order mailed to the address of the person entitled thereto as it appears on the Certificate Register or by wire transfer or otherwise, as set forth in the Agreement. The final distribution on each Certificate will be made in like manner, but only upon presentment and surrender of such Certificate at the office of the Trustee or the Trustee’s agent specified in the notice to Certificateholders of such final distribution.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee and of Holders of the requisite percentage of the Percentage Interests of each Class of Certificates affected by such amendment, as specified in the Agreement. 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 therefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the 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 of the Certificate Registrar
upon surrender of this Certificate for registration of transfer at the offices or agencies of the Trustee as provided in the Pooling and Servicing Agreement accompanied by a 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 the same Class in authorized denominations and evidencing the same aggregate Percentage Interest in the Trust will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without coupons 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 the same Class in authorized denominations and evidencing the same 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 Depositor, the Servicer and the Trustee and any agent of the Depositor, the Servicer or the Trustee may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Trustee, the Servicer or any such agent shall be affected by any notice to the contrary.
On any Distribution Date following the date at which the remaining aggregate Principal Balance of the Mortgage Loans is less than 10% of the sum of the aggregate Principal Balance of the Original Mortgage Loans as of the Cut-off Date and the Original Pre-Funded Amounts, the Servicer may purchase, in whole, from the Trust the Mortgage Loans at a purchase price determined as provided in the Agreement. In the event that no such optional termination occurs, the obligations and responsibilities created by the Agreement will terminate upon notice to the Trustee upon the earliest of (i) the Distribution Date on which the Certificate Principal Balances of the Regular Certificates have been reduced to zero, (ii) the final payment or other liquidation of the last Mortgage Loan in the Trust, (iii) the optional purchase by the Servicer of the Mortgage Loans as described in the Agreement and (iv) the Distribution Date in August 2035.
Capitalized terms used herein that are defined in the Agreement shall have the meanings ascribed to them in the Agreement, and nothing herein shall be deemed inconsistent with that meaning.
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)
the Percentage Interest evidenced by the within Certificate and hereby authorizes the transfer of registration of such Percentage Interest to assignee on the Certificate Register of the Trust.
I (We) further direct the Trustee 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:_________________
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 A-18
FORM OF CLASS R CERTIFICATE
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, AS AMENDED (THE “CODE”).
THIS CERTIFICATE HAS NOT BEEN REGISTERED UNDER THE SECURITIES ACT OF 1933, AS AMENDED (THE “ACT”). ANY RESALE OR TRANSFER OF THIS CERTIFICATE WITHOUT REGISTRATION THEREOF UNDER THE ACT MAY ONLY BE MADE IN A TRANSACTION EXEMPTED FROM THE REGISTRATION REQUIREMENTS OF THE ACT AND IN ACCORDANCE WITH THE PROVISIONS OF THE AGREEMENT REFERRED TO HEREIN.
THIS CLASS R CERTIFICATE HAS NO PRINCIPAL BALANCE, DOES NOT BEAR INTEREST AND WILL NOT RECEIVE ANY DISTRIBUTIONS EXCEPT AS PROVIDED HEREIN.
NEITHER THIS CERTIFICATE NOR ANY INTEREST HEREIN MAY BE TRANSFERRED UNLESS THE PROPOSED TRANSFEREE DELIVERS TO THE TRUSTEE A TRANSFER AFFIDAVIT IN ACCORDANCE WITH THE PROVISIONS OF THE AGREEMENT REFERRED TO HEREIN.
NO TRANSFER OF THIS CERTIFICATE TO AN EMPLOYEE BENEFIT PLAN OR OTHER RETIREMENT ARRANGEMENT (EACH A “PLAN”) SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED (“ERISA”), SHALL BE MADE EXCEPT IN COMPLIANCE WITH THE PROCEDURES DESCRIBED HEREIN.
Certificate No. |
: |
1 |
Cut-off Date |
: |
August 1, 2005 |
First Distribution Date |
: |
September 25, 2005 |
Percentage Interest |
: |
100.00% |
Class |
: |
R |
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
Series 2005-OPT2
CLASS R
evidencing the Percentage Interest in the distributions allocable to the Certificates of the above-referenced Class with respect to the Trust consisting primarily of a pool of first lien adjustable rate and fixed rate mortgage loans (the “Mortgage Loans”)
FINANCIAL ASSET SECURITIES CORP., AS DEPOSITOR
This Certificate does not evidence an obligation of, or an interest in, and is not guaranteed by the Depositor, the Servicer or the Trustee referred to below or any of their respective affiliates.
This certifies that GREENWICH CAPITAL MARKETS, INC. is the registered owner of the Percentage Interest evidenced by this Certificate specified above in the interest represented by all Certificates of the Class to which this Certificate belongs in a Trust consisting primarily of the Mortgage Loans deposited by Financial Asset Securities Corp. (the “Depositor”). The Trust was created pursuant to a Pooling and Servicing Agreement dated as of August 1, 2005 (the “Agreement”) among the Depositor, Option One Mortgage Corporation, as servicer (the “Servicer”), and Deutsche Bank National Trust Company, a national banking association, as trustee (the “Trustee”). 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.
This Certificate does not have a principal balance or pass-through rate and will be entitled to distributions only to the extent set forth in the Agreement. In addition, any distribution of the proceeds of any remaining assets of the Trust will be made only upon presentment and surrender of this Certificate at the Office or the office or agency maintained by the Trustee.
No transfer of a Certificate of this Class shall be made unless such transfer is made pursuant to an effective registration statement under the Act and any applicable state securities laws or is exempt from the registration requirements under said Act and such laws. In the event that a transfer is to be made in reliance upon an exemption from the Act and such laws, in order to assure compliance with the Act and such laws, the Certificateholder desiring to effect such transfer and such Certificateholder’s prospective transferee shall each certify to the Trustee and the Depositor in writing the facts surrounding the transfer. In the event that such a transfer is not to be made pursuant to Rule 144A of the Act, there shall be delivered to the Trustee and the Depositor of an Opinion of Counsel that such transfer may be made pursuant to an exemption from the Act, which Opinion of Counsel shall not be obtained at the expense of the Trustee, the Servicer or the Depositor; or there shall be delivered to the Trustee and the Depositor a transferor certificate by the transferor and an investment letter shall be executed by the transferee. The Holder hereof desiring to effect such transfer shall, and does hereby agree to, indemnify the Trustee and the Depositor 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.
No transfer of this Certificate to a Plan subject to ERISA or Section 4975 of the Code, any Person acting, directly or indirectly, on behalf of any such Plan or any person using Plan Assets to acquire this Certificate shall be made except in accordance with Section 5.02(d) of the Agreement.
Each Holder of this Certificate will be deemed to have agreed to be bound by the restrictions of the Agreement, including but not limited to the restrictions that (i) each person holding or acquiring any Ownership Interest in this Certificate must be a Permitted Transferee, (ii) no Ownership Interest in this Certificate may be transferred without delivery to the Trustee of (a) a transfer affidavit of the proposed transferee and (b) a transfer certificate of the transferor, each of such documents to be in the form described in the Agreement, (iii) each person holding or acquiring any Ownership Interest in this Certificate must agree to require a transfer affidavit and to deliver a transfer certificate to the Trustee as required pursuant to the Agreement, (iv) each person holding or acquiring an Ownership Interest in this Certificate must agree not to transfer an Ownership Interest in this Certificate if it has actual knowledge that the proposed transferee is not a Permitted Transferee and (v) 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. Pursuant to the Agreement, The Trustee will provide the Internal Revenue Service and any pertinent persons with the information needed to compute the tax imposed under the applicable tax laws on transfers of residual interests to disqualified organizations, if any person other than a Permitted Transferee acquires an Ownership Interest on a Class R Certificate in violation of the restrictions mentioned above.
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.
This Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose unless manually countersigned by an authorized officer of the Trustee.
IN WITNESS WHEREOF, the Trustee on behalf of the Trust has caused this Certificate to be duly executed.
Dated: August __, 2005
SOUNDVIEW HOME LOAN TRUST 0000-XXX0
XXXXXXXX BANK NATIONAL TRUST COMPANY, not in its individual capacity, but solely as Trustee
By:_________________________________
This is one of the Certificates referenced
in the within-mentioned Agreement
By:__________________________________________
Authorized Signatory of
Deutsche Bank National Trust Company,
as Trustee
[Reverse of Class R Certificate]
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
SERIES 2005-OPT2
This Certificate is one of a duly authorized issue of Certificates designated as Soundview Home Loan Trust 2005-OPT2 Asset-Backed Certificates, Series 2005-OPT2 (herein collectively called the “Certificates”), and representing a beneficial ownership interest in the Trust created by the Agreement.
The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Distribution Account for payment hereunder and that the Trustee is not liable to the Certificateholders for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement.
This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced thereby, and the rights, duties and immunities of the Trustee.
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, then the Business Day immediately following such Distribution Date (the “Distribution Date”), commencing on the first Distribution Date specified on the face hereof, to the Person in whose name this Certificate is registered at the close of business on the applicable Record Date in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to Holders of Certificates of the Class to which this Certificate belongs on such Distribution Date pursuant to the Agreement.
Distributions on this Certificate shall be made by check or money order mailed to the address of the person entitled thereto as it appears on the Certificate Register or by wire transfer or otherwise, as set forth in the Agreement. The final distribution on each Certificate will be made in like manner, but only upon presentment and surrender of such Certificate at the office of the Trustee or the Trustee’s agent specified in the notice to Certificateholders of such final distribution.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee and of Holders of the requisite percentage of the Percentage Interests of each Class of Certificates affected by such amendment, as specified in the Agreement. 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 therefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the 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 of the Certificate Registrar
upon surrender of this Certificate for registration of transfer at the offices or agencies of the Trustee as provided in the Pooling and Servicing Agreement accompanied by a 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 the same Class in authorized denominations and evidencing the same aggregate Percentage Interest in the Trust will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without coupons 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 the same Class in authorized denominations and evidencing the same 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 Depositor, the Servicer and the Trustee and any agent of the Depositor, the Servicer or the Trustee may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Trustee, the Servicer or any such agent shall be affected by any notice to the contrary.
On any Distribution Date following the date at which the remaining aggregate Principal Balance of the Mortgage Loans is less than 10% of the sum of the aggregate Principal Balance of the Original Mortgage Loans as of the Cut-off Date and the Original Pre-Funded Amounts, the Servicer may purchase, in whole, from the Trust the Mortgage Loans at a purchase price determined as provided in the Agreement. In the event that no such optional termination occurs, the obligations and responsibilities created by the Agreement will terminate upon notice to the Trustee upon the earliest of (i) the Distribution Date on which the Certificate Principal Balances of the Regular Certificates have been reduced to zero, (ii) the final payment or other liquidation of the last Mortgage Loan in the Trust, (iii) the optional purchase by the Servicer of the Mortgage Loans as described in the Agreement and (iv) the Distribution Date in August 2035.
Capitalized terms used herein that are defined in the Agreement shall have the meanings ascribed to them in the Agreement, and nothing herein shall be deemed inconsistent with that meaning.
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)
the Percentage Interest evidenced by the within Certificate and hereby authorizes the transfer of registration of such Percentage Interest to assignee on the Certificate Register of the Trust.
I (We) further direct the Trustee 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:_________________
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 A-19
FORM OF CLASS R-X CERTIFICATES
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, AS AMENDED (THE “CODE”).
THIS CERTIFICATE HAS NOT BEEN REGISTERED UNDER THE SECURITIES ACT OF 1933, AS AMENDED (THE “ACT”). ANY RESALE OR TRANSFER OF THIS CERTIFICATE WITHOUT REGISTRATION THEREOF UNDER THE ACT MAY ONLY BE MADE IN A TRANSACTION EXEMPTED FROM THE REGISTRATION REQUIREMENTS OF THE ACT AND IN ACCORDANCE WITH THE PROVISIONS OF THE AGREEMENT REFERRED TO HEREIN.
THIS CLASS R-X CERTIFICATE HAS NO PRINCIPAL BALANCE, DOES NOT BEAR INTEREST AND WILL NOT RECEIVE ANY DISTRIBUTIONS EXCEPT AS PROVIDED HEREIN.
NEITHER THIS CERTIFICATE NOR ANY INTEREST HEREIN MAY BE TRANSFERRED UNLESS THE PROPOSED TRANSFEREE DELIVERS TO THE TRUSTEE A TRANSFER AFFIDAVIT IN ACCORDANCE WITH THE PROVISIONS OF THE AGREEMENT REFERRED TO HEREIN.
NO TRANSFER OF THIS CERTIFICATE TO AN EMPLOYEE BENEFIT PLAN OR OTHER RETIREMENT ARRANGEMENT (EACH A “PLAN”) SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED (“ERISA”), SHALL BE MADE EXCEPT IN COMPLIANCE WITH THE PROCEDURES DESCRIBED HEREIN.
Certificate No. |
: |
1 |
Cut-off Date |
: |
August 1, 2005 |
First Distribution Date |
: |
September 25, 2005 |
Percentage Interest |
: |
100.00% |
Class |
: |
R-X |
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
Series 2005-OPT2
CLASS R-X
evidencing the Percentage Interest in the distributions allocable to the Certificates of the above-referenced Class with respect to the Trust consisting primarily of a pool of first lien adjustable rate and fixed rate mortgage loans (the “Mortgage Loans”)
FINANCIAL ASSET SECURITIES CORP., AS DEPOSITOR
This Certificate does not evidence an obligation of, or an interest in, and is not guaranteed by the Depositor, the Servicer or the Trustee referred to below or any of their respective affiliates.
This certifies that GREENWICH CAPITAL MARKETS, INC. is the registered owner of the Percentage Interest evidenced by this Certificate specified above in the interest represented by all Certificates of the Class to which this Certificate belongs in a Trust consisting primarily of the Mortgage Loans deposited by Financial Asset Securities Corp. (the “Depositor”). The Trust was created pursuant to a Pooling and Servicing Agreement dated as of August 1, 2005 (the “Agreement”) among the Depositor, Option One Mortgage Corporation, as servicer (the “Servicer”), and Deutsche Bank National Trust Company, a national banking association, as trustee (the “Trustee”). 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.
This Certificate does not have a principal balance or pass-through rate and will be entitled to distributions only to the extent set forth in the Agreement. In addition, any distribution of the proceeds of any remaining assets of the Trust will be made only upon presentment and surrender of this Certificate at the Office or the office or agency maintained by the Trustee.
No transfer of a Certificate of this Class shall be made unless such transfer is made pursuant to an effective registration statement under the Act and any applicable state securities laws or is exempt from the registration requirements under said Act and such laws. In the event that a transfer is to be made in reliance upon an exemption from the Act and such laws, in order to assure compliance with the Act and such laws, the Certificateholder desiring to effect such transfer and such Certificateholder’s prospective transferee shall each certify to the Trustee and the Depositor in writing the facts surrounding the transfer. In the event that such a transfer is not to be made pursuant to Rule 144A of the Act, there shall be delivered to the Trustee and the Depositor of an Opinion of Counsel that such transfer may be made pursuant to an exemption from the Act, which Opinion of Counsel shall not be obtained at the expense of the Trustee, the Servicer or the Depositor; or there shall be delivered to the Trustee and the Depositor a transferor certificate by the transferor and an investment letter shall be executed by the transferee. The Holder hereof desiring to effect such transfer shall, and does hereby agree to, indemnify the Trustee and the Depositor 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.
No transfer of this Certificate to a Plan subject to ERISA or Section 4975 of the Code, any Person acting, directly or indirectly, on behalf of any such Plan or any person using Plan Assets to acquire this Certificate shall be made except in accordance with Section 5.02(d) of the Agreement.
Each Holder of this Certificate will be deemed to have agreed to be bound by the restrictions of the Agreement, including but not limited to the restrictions that (i) each person holding or acquiring any Ownership Interest in this Certificate must be a Permitted Transferee, (ii) no Ownership Interest in this Certificate may be transferred without delivery to the Trustee of (a) a transfer affidavit of the proposed transferee and (b) a transfer certificate of the transferor, each of such documents to be in the form described in the Agreement, (iii) each person holding or acquiring any Ownership Interest in this Certificate must agree to require a transfer affidavit and to deliver a transfer certificate to the Trustee as required pursuant to the Agreement, (iv) each person holding or acquiring an Ownership Interest in this Certificate must agree not to transfer an Ownership Interest in this Certificate if it has actual knowledge that the proposed transferee is not a Permitted Transferee and (v) 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. Pursuant to the Agreement, The Trustee will provide the Internal Revenue Service and any pertinent persons with the information needed to compute the tax imposed under the applicable tax laws on transfers of residual interests to disqualified organizations, if any person other than a Permitted Transferee acquires an Ownership Interest on a Class R-X Certificate in violation of the restrictions mentioned above.
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.
This Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose unless manually countersigned by an authorized officer of the Trustee.
IN WITNESS WHEREOF, the Trustee on behalf of the Trust has caused this Certificate to be duly executed.
Dated: August __, 2005
SOUNDVIEW HOME LOAN TRUST 0000-XXX0
XXXXXXXX BANK NATIONAL TRUST COMPANY, not in its individual capacity, but solely as Trustee
By:_________________________________
This is one of the Certificates referenced
in the within-mentioned Agreement
By:__________________________________________
Authorized Signatory of
Deutsche Bank National Trust Company,
as Trustee
[Reverse of Class R-X Certificate]
Soundview Home Loan Trust 2005-OPT2
Asset-Backed Certificates,
SERIES 2005-OPT2
This Certificate is one of a duly authorized issue of Certificates designated as Soundview Home Loan Trust 2005-OPT2, Asset-Backed Certificates, Series 2005-OPT2 (herein collectively called the “Certificates”), and representing a beneficial ownership interest in the Trust created by the Agreement.
The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Distribution Account for payment hereunder and that the Trustee is not liable to the Certificateholders for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement.
This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced thereby, and the rights, duties and immunities of the Trustee.
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, then the Business Day immediately following such Distribution Date (the “Distribution Date”), commencing on the first Distribution Date specified on the face hereof, to the Person in whose name this Certificate is registered at the close of business on the applicable Record Date in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to Holders of Certificates of the Class to which this Certificate belongs on such Distribution Date pursuant to the Agreement.
Distributions on this Certificate shall be made by check or money order mailed to the address of the person entitled thereto as it appears on the Certificate Register or by wire transfer or otherwise, as set forth in the Agreement. The final distribution on each Certificate will be made in like manner, but only upon presentment and surrender of such Certificate at the office of the Trustee or the Trustee’s agent specified in the notice to Certificateholders of such final distribution.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee and of Holders of the requisite percentage of the Percentage Interests of each Class of Certificates affected by such amendment, as specified in the Agreement. 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 therefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the 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 of the Certificate Registrar
upon surrender of this Certificate for registration of transfer at the offices or agencies of the Trustee as provided in the Pooling and Servicing Agreement accompanied by a 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 the same Class in authorized denominations and evidencing the same aggregate Percentage Interest in the Trust will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without coupons 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 the same Class in authorized denominations and evidencing the same 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 Depositor, the Servicer and the Trustee and any agent of the Depositor, the Servicer or the Trustee may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Trustee, the Servicer or any such agent shall be affected by any notice to the contrary.
On any Distribution Date following the date at which the remaining aggregate Principal Balance of the Mortgage Loans is less than 10% of the sum of the aggregate Principal Balance of the Original Mortgage Loans as of the Cut-off Date and the Original Pre-Funded Amounts, the Servicer may purchase, in whole, from the Trust the Mortgage Loans at a purchase price determined as provided in the Agreement. In the event that no such optional termination occurs, the obligations and responsibilities created by the Agreement will terminate upon notice to the Trustee upon the earliest of (i) the Distribution Date on which the Certificate Principal Balances of the Regular Certificates have been reduced to zero, (ii) the final payment or other liquidation of the last Mortgage Loan in the Trust, (iii) the optional purchase by the Servicer of the Mortgage Loans as described in the Agreement and (iv) the Distribution Date in August 2035.
Capitalized terms used herein that are defined in the Agreement shall have the meanings ascribed to them in the Agreement, and nothing herein shall be deemed inconsistent with that meaning.
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)
the Percentage Interest evidenced by the within Certificate and hereby authorizes the transfer of registration of such Percentage Interest to assignee on the Certificate Register of the Trust.
I (We) further direct the Trustee 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:_________________
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
[RESERVED]
EXHIBIT C
FORM OF ASSIGNMENT AND RECOGNITION AGREEMENT
ASSIGNMENT AND RECOGNITION AGREEMENT
THIS ASSIGNMENT AND RECOGNITION AGREEMENT, dated as of August 18, 2005, (“Agreement”) among Greenwich Capital Financial Products, Inc. (“Assignor”), Financial Asset Securities Corp. (“Assignee”) and Option One Mortgage Corporation (the “Company”):
For and in consideration of the sum of TEN DOLLARS ($10.00) and other valuable consideration the receipt and sufficiency of which hereby are acknowledged, and of the mutual covenants herein contained, the parties hereto hereby agree as follows:
Assignment and Conveyance
1. The Assignor hereby conveys, sells, grants, transfers and assigns to the Assignee as of August 18, 2005 (the “Closing Date”) (x) all of the right, title and interest of the Assignor, as purchaser, in, to and under (a) those certain Mortgage Loans listed as being originated by the Company on the schedule (the “Mortgage Loan Schedule”) attached hereto as Exhibit A (the “Mortgage Loans”) and (b) except as described below, that certain Master Mortgage Loan Purchase and Servicing Agreement dated as of March 1, 2005, as amended (the “Purchase Agreement”), among the Assignor, as purchaser (the “Purchaser”), and the Company, Option One Owner Trust 2001-1A, Option One Owner Trust 2001-1B, Option One Owner Trust 2001-2, Option One Owner Trust 2002-3, Option One Owner Trust 2003-4 and Option One Owner Trust 2003-5, as sellers, solely insofar as the Purchase Agreement relates to the Mortgage Loans and (y) other than as provided below with respect to the enforcement of representations and warranties, none of the obligations of the Assignor under the Purchase Agreement.
The Assignor specifically reserves and does not assign to the Assignee hereunder any and all right, title and interest in, to and under and any obligations of the Assignor with respect to any mortgage loans subject to the Purchase Agreement which are not the Mortgage Loans set forth on the Mortgage Loan Schedule and are not the subject of this Agreement.
Recognition of the Company
2. From and after the date hereof, the Company shall and does hereby recognize that the Assignee will transfer the Mortgage Loans and assign its rights under the Purchase Agreement (solely to the extent set forth herein) and this Agreement to Soundview Mortgage Loan Trust 2005-OPT2 (the “Trust”) created pursuant to a Pooling and Servicing Agreement, dated as of August 1, 2005 (the “Pooling Agreement”), among the Assignee, Option One Mortgage Corporation as servicer (including its successors in interest and any successor servicer under the Pooling Agreement, the “Servicer”) and Deutsche Bank National Trust Company, as trustee (including its successors in interest and any successor trustee under the Pooling Agreement, the “Trustee”). The Company hereby acknowledges and agrees that from and after the Closing Date (i) the Trust will be the owner of the Mortgage Loans, (ii) the Company shall look solely to the Trust for performance of any obligations of the Assignor insofar as they relate to the enforcement of the representations, warranties and covenants with respect to the Mortgage Loans, (iii) the Trust (including the Trustee and the Servicer acting on the Trust’s behalf) shall have all the rights and remedies available to the Assignor, insofar as
they relate to the Mortgage Loans, under the Purchase Agreement, including, without limitation, the enforcement of the document delivery requirements and remedies with respect to breaches of representations and warranties set forth in the Purchase Agreement, and shall be entitled to enforce all of the obligations of the Company thereunder insofar as they relate to the Mortgage Loans, and (iv) all references to the Purchaser (insofar as they relate to the rights, title and interest and, with respect to obligations of the Purchaser, only insofar as they relate to the enforcement of the representations, warranties and covenants of the Company) or the Custodian under the Purchase Agreement insofar as they relate to the Mortgage Loans, shall be deemed to refer to the Trust (including the Trustee, the Trust Administrator and the Servicer acting on the Trust’s behalf). Neither the Company nor the Assignor shall amend or agree to amend, modify, waiver, or otherwise alter any of the terms or provisions of the Purchase Agreement which amendment, modification, waiver or other alteration would in any way affect the Mortgage Loans or the Company’s performance under the Purchase Agreement with respect to the Mortgage Loans without the prior written consent of the Trustee.
Representations and Warranties of the Company
3. The Company warrants and represents to the Assignor, the Assignee and the Trust as of the date hereof that:
(a) The Company is duly organized, validly existing and in good standing under the laws of the jurisdiction of its incorporation;
(b) The Company has full power and authority to execute, deliver and perform its obligations under this Agreement and has full power and authority to perform its obligations under the Purchase Agreement. The execution by the Company of this Agreement is in the ordinary course of the Company’s business and will not conflict with, or result in a breach of, any of the terms, conditions or provisions of the Company’s charter or bylaws or any legal restriction, or any material agreement or instrument to which the Company is now a party or by which it is bound, or result in the violation of any law, rule, regulation, order, judgment or decree to which the Company or its property is subject. The execution, delivery and performance by the Company of this Agreement have been duly authorized by all necessary corporate action on part of the Company. This Agreement has been duly executed and delivered by the Company, and, upon the due authorization, execution and delivery by the Assignor and the Assignee, will constitute the valid and legally binding obligation of the Company, enforceable against the Company in accordance with its terms except as enforceability may be limited by bankruptcy, reorganization, insolvency, moratorium or other similar laws now or hereafter in effect relating to creditors’ rights generally, and by general principles of equity regardless of whether enforceability is considered in a proceeding in equity or at law;
(c) No consent, approval, order or authorization of, or declaration, filing or registration with, any governmental entity is required to be obtained or made by the Company in connection with the execution, delivery or performance by the Company of this Agreement except as has already been obtained;
(d) There is no action, suit, proceeding or investigation pending or threatened against the Company, before any court, administrative agency or other tribunal, which would draw into question the validity of this Agreement or the Purchase Agreement, or which, either in any one instance or in the aggregate, would result in any material adverse change in the ability of the Company to perform its obligations under this Agreement or the Purchase Agreement, and the Company is solvent;
(e) No Mortgage Loan is a “High-Cost Home Mortgage Loan” as defined in the Massachusetts Predatory Home Loan Practices Act, effective November 7, 2004 (Mass. Xxx. Laws Ch. 183C);
(f) No Mortgage Loan is a “High Cost Home Loan” as defined in the Indiana Home Loan Practices Act, effective January 1, 2005 (Ind. Code Xxx. Sections 24-9-1 through 24-9-9);
(g) No Mortgage Loan that was originated on or after October 31, 2004, is subject to mandatory arbitration;
(h) With respect to any Mortgage Loan that contains a provision permitting imposition of a premium upon a prepayment prior to maturity: (i) prior to the loan's origination, the borrower agreed to such premium in exchange for a monetary benefit, including but not limited to a rate or fee reduction, (ii) prior to the loan's origination, the borrower was offered the option of obtaining a mortgage loan that did not require payment of such a premium, (iii) the prepayment premium is disclosed to the borrower in the loan documents pursuant to applicable state and federal law;
(i) No borrower was required to purchase any single premium credit insurance policy (e.g., life, mortgage, disability, accident, unemployment, or health insurance product) or debt cancellation agreement as a condition of obtaining the extension of credit. No borrower obtained a prepaid single premium credit insurance policy (e.g., life, mortgage, disability, accident, unemployement, or health insurance product) in connection with the origination of the Mortgage Loan. No proceeds from any Mortgage Loan were used to purchase single premium credit insurance policies or debt cancellation agreements as part of the origination of, or as a condition to closing, such Mortgage Loan;
(j) All points and fees related to each Mortgage Loan were disclosed in writing to the borrower in accordance with applicable state and federal law and regulation; and
(k) All fees and charges (including finance charges) and whether or not financed, assessed, collected or to be collected in connection with the origination and servicing of each Mortgage Loan has been disclosed in writing to the borrower in accordance with applicable state and federal law and regulation.
4. The Assignor hereby makes the following representations and warranties as of the date hereof:
(a) Each Mortgage Loan at the time it was made complied in all material respects with applicable local, state, and federal laws, including, but not limited to, all applicable predatory and abusive lending laws;
(b) None of the mortgage loans are High Cost as defined by any applicable predatory and abusive lending laws;
(c) No Mortgage Loan is a high cost loan or a covered loan, as applicable (as such terms are defined in the then current Standard & Poor’s LEVELS Glossary, Appendix E);
(d) No Mortgage Loans originated on or before October 1, 2002 through March 6, 2003 is governed by the Georgia Fair Lending Act;
(e) The Stated Principal Balance of each Group I Mortgage Loan is within Xxxxxxx Mac’s dollar amount limits for conforming one-to-four family mortgage loans.
Remedies for Breach of Representations and Warranties
5. The Company hereby acknowledges and agrees that the remedies available to the Assignor, the Assignee and the Trust (including the Trustee and the Servicer acting on the Trust’s behalf) in connection with any breach of the representations and warranties made by the Company set forth in Sections 3 hereof shall be as set forth in Subsection 7.04 of the Purchase Agreement as if they were set forth herein (including without limitation the repurchase and indemnity obligations set forth therein).
The Assignor hereby acknowledges and agrees that the remedies available to the Assignee and the Trust (including the Trustee and the Servicers acting on the Trust’s behalf) in connection with any breach of the representations and warranties made by the Assignor set forth in Section 4 hereof shall be as set forth in Section 2.03 of the Pooling Agreement as if they were set forth herein.
Miscellaneous
6. This Agreement shall be construed in accordance with the laws of the State of New York, without regard to conflicts of law principles, and the obligations, rights and remedies of the parties hereunder shall be determined in accordance with such laws.
7. No term or provision of this Agreement may be waived or modified unless such waiver or modification is in writing and signed by the party against whom such waiver or modification is sought to be enforced, with the prior written consent of the Trustee and the Trust Administrator.
8. This Agreement shall inure to the benefit of (i) the successors and assigns of the parties hereto and (ii) the Trust (including the Trustee and the Servicer acting on the Trust’s behalf). Any entity into which Assignor, Assignee or Company may be merged or consolidated shall, without the requirement for any further writing, be deemed Assignor, Assignee or Company, respectively, hereunder.
9. Each of this Agreement and the Purchase Agreement shall survive the conveyance of the Mortgage Loans and the assignment of the Purchase Agreement (to the extent assigned hereunder) by Assignor to Assignee and by Assignee to the Trust and nothing contained herein shall supersede or amend the terms of the Purchase Agreement.
10. This Agreement may be executed simultaneously in any number of counterparts. Each counterpart shall be deemed to be an original and all such counterparts shall constitute one and the same instrument.
11. In the event that any provision of this Agreement conflicts with any provision of the Purchase Agreement with respect to the Mortgage Loans, the terms of this Agreement shall control.
12. Capitalized terms used in this Agreement (including the exhibits hereto) but not defined in this Agreement shall have the meanings given to such terms in the Purchase Agreement.
[SIGNATURE PAGE FOLLOWS]
IN WITNESS WHEREOF, the parties have caused this Agreement to be executed by their duly authorized officers as of the date first above written.
GREENWICH CAPITAL FINANCIAL PRODUCTS, INC.
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By: |
Name:
Title:
FINANCIAL ASSET SECURITIES CORP.
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By: |
Name:
Title:
OPTION ONE MORTGAGE CORPORATION
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By: |
Name:
Title:
EXHIBIT A
Mortgage Loan Schedule
EXHIBIT D
MORTGAGE LOAN SCHEDULE
[LOGO] RBS GREENWICH CAPITAL SOUNDVIEW 2005-OPT2 MORTGAGE LOAN SCHEDULE: EXHIBIT D (CLOSING POOL AS OF 08/01/2005) LOAN ZIP OCCUPANCY PROPERTY NUMBER STATE CODE STATUS TYPE -------------------------------------------------------------------- 011073427 MI 49056 Primary Manufactured Housing 011074105 MI 48872 Primary Single Family Detached 011074339 CA 93612 Primary Single Family Detached 011074404 CA 95726 Primary Manufactured Housing 011074491 CA 92595 Primary Manufactured Housing 011074590 FL 33428 Primary PUD Attached 011074668 CA 90280 Primary Single Family Detached 011074711 CA 93274 Primary Manufactured Housing 011074824 MN 55447 Primary PUD Attached 011074864 CA 93610 Non-owner 2-4 Units Detached 011074883 CA 90302 Primary Single Family Detached 011074885 CA 90701 Primary Single Family Detached 011074902 MI 48458 Primary Single Family Detached 011075004 CA 90504 Primary Single Family Detached 011075070 CA 92701 Primary 2-4 Units Detached 011075097 CA 93552 Primary Single Family Detached 011075140 CA 92284 Primary Single Family Detached 011075234 CA 90011 Primary Single Family Detached 011075237 CA 90805 Primary Single Family Detached 011075238 CA 92311 Non-owner Single Family Detached 011075254 AZ 85364 Non-owner Single Family Detached 011075271 XX 00000 Primary PUD Detached 011075290 CA 93312 Primary Single Family Detached 011075300 CA 95370 Primary Single Family Detached 011075302 CA 92553 Primary Single Family Detached 011075324 CA 90745 Primary Single Family Detached 011075337 CA 90262 Primary Single Family Detached 011075340 CA 93274 Primary Single Family Detached 011075344 XX 00000 Primary Single Family Detached 011075376 CA 92345 Primary Single Family Detached 011075384 CA 90062 Primary Single Family Detached 011075396 CA 92102 Primary Single Family Detached 011075397 CA 90808 Primary Single Family Detached 011075413 CA 90037 Non-owner 2-4 Units Detached 011075422 CA 90221 Primary Single Family Detached 011075451 CA 93291 Primary Single Family Detached 011075452 FL 33311 Primary Single Family Detached 011075453 FL 33064 Primary Condo Low-Rise Attached 011075459 FL 33334 Primary Single Family Detached 011075462 CA 92704 Primary Condo Low-Rise Attached 011075463 CA 93257 Primary Single Family Detached 011075467 CA 93040 Non-owner Single Family Detached 011075484 FL 33027 Primary Condo Low-Rise Attached 011075505 CT 06457 Primary Single Family Detached 011075506 CA 90280 Primary Single Family Detached 011075518 CA 90043 Primary Single Family Detached 011075525 CA 92201 Primary Single Family Detached 011075526 FL 34761 Primary Single Family Detached 011075527 CA 91766 Primary Single Family Detached 011075530 CA 93638 Primary Single Family Detached 011075532 MI 48178 Primary Single Family Detached 011075533 CA 93436 Primary Single Family Detached 011075544 CA 90640 Primary Single Family Detached 011075548 CA 90660 Primary Single Family Detached 011075556 CA 92345 Primary Single Family Detached 011075563 CA 93534 Primary Single Family Detached 011075566 AZ 85015 Primary Single Family Detached 011075573 CA 92509 Primary Single Family Detached 011075579 CA 91335 Primary Single Family Detached 011075592 CA 94801 Primary Single Family Detached 011075594 CA 93304 Primary Single Family Detached 011075598 AZ 85711 Primary Single Family Detached 011075599 CA 90502 Primary Single Family Detached 011075600 CA 95829 Primary Single Family Detached 011075610 CA 91701 Primary Condo Low-Rise Attached 011075634 CA 90810 Primary Single Family Detached 011075640 CA 92503 Primary Single Family Detached 011075644 CA 92571 Primary PUD Detached 011075659 CA 92234 Primary Single Family Detached 011075661 CA 91763 Primary Single Family Detached 011075676 FL 33312 Primary Single Family Detached 011075695 CA 95670 Primary Single Family Detached 011075700 CA 90022 Primary Single Family Detached 011075739 CA 92882 Primary Single Family Detached 011075764 CA 91744 Non-owner Condo Low-Rise Attached 011075792 CA 93906 Primary Single Family Detached 011075815 CA 90810 Primary Single Family Detached 021062880 CA 96019 Primary Single Family Detached 021063234 CA 95667 Primary Manufactured Housing 021063549 CA 91342 Primary Single Family Detached 021063619 CA 96143 Second Home Single Family Detached 021063632 CA 95842 Primary Condo Low-Rise Attached 021063678 CA 94621 Non-owner Single Family Detached 021063779 CA 95726 Primary Manufactured Housing 021064021 CA 95864 Primary Single Family Detached 021064029 XX 00000 Primary PUD Detached 021064105 CA 95528 Primary Manufactured Housing 021064208 CA 94509 Primary Single Family Detached 021064228 CA 95663 Primary Single Family Detached 021064237 CA 94533 Primary Single Family Detached 021064311 CA 93635 Primary Single Family Detached 021064331 CA 95969 Primary Manufactured Housing 021064450 CA 95966 Non-owner 2-4 Units Detached 021064476 CA 95540 Non-owner Single Family Detached 021064478 CA 96080 Second Home Single Family Detached 021064484 CA 96101 Primary Single Family Detached 021064509 XX 00000 Primary Single Family Detached 021064559 CA 92505 Primary Single Family Detached 021064620 CA 95815 Primary Single Family Detached 021064660 CA 95901 Primary Single Family Detached 021064743 CA 96088 Primary Single Family Detached 021064746 NV 89121 Xxx-xxxxx 0-0 Xxxxx Xxxxxxxx 000000000 XX 00000 Primary Manufactured Housing 021064799 HI 96720 Primary Single Family Detached 021064838 CA 93312 Primary Single Family Detached 021064844 CA 95624 Primary Single Family Detached 021064863 CA 94521 Primary Condo Low-Rise Attached 021064878 CA 95209 Primary Single Family Detached 021064921 CA 95621 Primary Single Family Detached 021064923 CA 92301 Primary Single Family Detached 021064948 CA 93706 Primary Single Family Detached 021064963 CA 95834 Non-owner Single Family Detached 021065010 CA 93291 Primary Single Family Detached 021065015 CA 95326 Primary Single Family Detached 021065018 CA 95632 Primary Single Family Detached 021065022 CA 95503 Primary Single Family Detached 021065038 CA 96007 Second Home Single Family Detached 021065057 CA 90007 Primary Single Family Detached 021065079 CA 96002 Primary Single Family Detached 021065085 CA 95826 Primary Condo Low-Rise Attached 021065092 CA 95826 Primary Single Family Detached 021065100 CA 95946 Primary PUD Detached 021065112 CA 95838 Primary Single Family Detached 021065114 CA 96022 Primary Single Family Detached 021065117 CA 94603 Primary Single Family Detached 021065119 CA 93274 Non-owner Single Family Detached 021065125 CA 94565 Primary Single Family Detached 021065126 XX 00000 Primary Single Family Detached 021065133 CA 95942 Primary Single Family Detached 021065135 XX 00000 Primary Single Family Detached 021065143 CA 93280 Primary Single Family Detached 021065176 AZ 85308 Primary Single Family Detached 021065180 CA 95673 Primary Single Family Detached 021065189 CA 94610 Primary 2-4 Units Detached 021065230 CA 95537 Primary 2-4 Units Detached 021065237 CA 95205 Primary Single Family Detached 021065242 CA 95206 Primary Single Family Detached 021065264 CA 95563 Non-owner Single Family Detached 021065267 CA 95678 Non-owner Single Family Detached 021065291 CA 95207 Primary PUD Detached 021065331 CA 96101 Primary Single Family Detached 021065360 CA 95901 Second Home Single Family Detached 021065361 CA 95991 Primary Single Family Detached 031033237 NV 89512 Second Home 2-4 Units Detached 031033530 CA 93535 Primary Single Family Detached 031033691 CA 93552 Primary Single Family Detached 031033726 CA 90003 Primary Single Family Detached 031033960 CA 92240 Non-owner Single Family Detached 031034088 CA 93060 Non-owner 2-4 Units Detached 031034137 CA 90062 Primary 2-4 Units Detached 031034156 CO 80601 Primary Single Family Detached 031034307 CA 90255 Primary Single Family Detached 031034395 CA 90270 Primary Single Family Detached 031034404 CA 93304 Non-owner Single Family Detached 031034520 CA 92356 Primary Single Family Detached 031034534 CA 93305 Non-owner Single Family Detached 031034537 CA 92407 Primary Single Family Detached 031034548 CA 91731 Primary Single Family Detached 031034604 CA 90007 Primary 2-4 Units Attached 031034619 CA 91606 Primary Condo Low-Rise Attached 031034626 CA 92336 Primary Single Family Detached 031034638 CA 90270 Primary 2-4 Units Detached 031034642 CA 92571 Primary Single Family Detached 031034657 CA 93446 Primary Single Family Detached 031034659 CA 91750 Primary Single Family Detached 031034662 CA 92346 Primary Single Family Detached 031034720 CA 93455 Primary Single Family Detached 031034722 CA 91303 Primary Single Family Detached 031034739 CA 90221 Primary Single Family Detached 031034741 CA 93022 Primary Single Family Detached 031034752 XX 00000 Primary Single Family Detached 031034755 NV 89148 Second Home PUD Detached 031034761 CA 90222 Primary Single Family Detached 031034762 CA 93543 Primary Single Family Detached 031034763 CA 92509 Primary Single Family Detached 031034779 CA 96001 Primary Single Family Detached 031034782 CA 92324 Primary Single Family Detached 031034804 CA 92553 Primary Single Family Detached 031034807 CA 91352 Primary Condo Low-Rise Attached 031034809 CA 91331 Primary Single Family Detached 031034816 CA 90222 Non-owner Single Family Detached 031034822 CA 92256 Primary Single Family Detached 031034824 CA 92551 Primary Single Family Detached 031034827 CA 93312 Primary Single Family Detached 031034828 CA 90640 Primary Single Family Detached 031034840 CA 93267 Primary Single Family Detached 031034851 CA 92223 Primary Single Family Detached 031034854 CA 93305 Primary Single Family Detached 031034881 CA 91752 Primary Single Family Detached 031034888 CA 90302 Primary Condo Low-Rise Attached 031034891 CA 90638 Primary Single Family Detached 031034895 CA 90220 Primary Single Family Detached 031034904 CA 91402 Primary Condo Low-Rise Attached 031034915 CA 92505 Primary Single Family Detached 031034920 CA 93306 Primary Single Family Detached 031034921 CA 93063 Primary Single Family Detached 031034931 CA 93308 Primary Single Family Detached 031034970 CA 92336 Primary Single Family Detached 031034998 XX 00000 Primary Single Family Detached 031035003 CA 90650 Primary Single Family Detached 031035004 CA 93535 Non-owner Single Family Detached 031035005 CA 90022 Primary Single Family Detached 031035014 CA 93312 Primary Single Family Detached 031035037 CA 91702 Primary Single Family Detached 031035041 CA 90044 Primary Single Family Detached 031035053 MT 59714 Primary Single Family Detached 031035062 CA 95820 Primary Single Family Detached 031035073 CA 91351 Primary Single Family Detached 031035078 CA 92407 Primary Single Family Detached 031035088 CA 93215 Primary Single Family Detached 031035091 CA 93309 Primary Single Family Detached 031035092 CA 93536 Primary Single Family Detached 031035095 CA 92376 Primary Single Family Detached 041065018 IL 60609 Primary Single Family Detached 041065099 IL 60623 Non-owner 2-4 Units Detached 041065109 IN 46113 Primary Single Family Detached 041065626 IL 60629 Primary Single Family Detached 041065658 IL 61520 Primary Single Family Detached 041065665 KS 67846 Primary Single Family Detached 041066044 KS 66061 Primary Single Family Detached 041066061 IL 60617 Primary 2-4 Units Detached 041066136 IL 60634 Primary Single Family Detached 041066296 IL 62257 Primary Single Family Detached 041066306 IL 61770 Primary Single Family Detached 041066349 IL 60115 Primary Single Family Detached 041066495 IL 60446 Primary Single Family Detached 041066507 IL 60624 Non-owner 2-4 Units Detached 041066635 IL 60478 Primary Single Family Detached 041066647 IL 60085 Primary Single Family Detached 041066672 IL 60426 Primary Single Family Detached 041066698 MO 63120 Primary Single Family Detached 041066726 MO 63028 Primary Single Family Detached 041066735 IN 46614 Primary Single Family Detached 041066748 IN 46226 Non-owner Single Family Detached 041066837 IL 60050 Primary Single Family Detached 041066866 IL 60517 Primary Condo Low-Rise Attached 041066897 IL 61065 Primary Single Family Detached 041066899 IL 60637 Non-owner Condo Low-Rise Attached 041066951 IL 60505 Non-owner Single Family Detached 041066990 IL 61104 Primary Single Family Detached 041066998 IL 60107 Primary Single Family Detached 041067013 IL 62526 Primary Single Family Detached 041067026 MO 63379 Primary Single Family Detached 041067048 IL 61008 Primary Single Family Detached 041067054 IN 46637 Primary Single Family Detached 041067056 IN 46307 Primary Single Family Detached 041067060 IN 46184 Primary Single Family Detached 041067076 IL 60617 Primary Single Family Detached 041067122 MO 63033 Primary Single Family Detached 041067215 IN 46507 Primary Single Family Detached 041067217 MO 63036 Primary Single Family Detached 041067228 WI 53038 Primary Single Family Detached 041067231 MO 63033 Primary Single Family Detached 041067273 IL 61852 Primary Single Family Detached 041067275 IN 46221 Primary Single Family Detached 041067291 KS 67060 Primary Single Family Detached 041067292 IL 60548 Primary Single Family Detached 041067329 IL 60084 Primary Single Family Detached 041067339 IL 61109 Primary Single Family Detached 041067354 MO 64012 Primary Single Family Detached 041067366 IL 62711 Primary Single Family Detached 041067374 IL 60630 Primary Single Family Detached 041067376 IL 62084 Primary Single Family Detached 041067384 MO 63052 Primary PUD Detached 041067404 IN 46792 Primary Single Family Detached 041067413 IL 60020 Primary Condo Low-Rise Attached 041067423 IL 62234 Primary Single Family Detached 041067428 MI 49112 Primary Single Family Detached 041067434 IN 46235 Non-owner Single Family Detached 041067454 MO 64029 Primary Single Family Detached 041067460 IL 60102 Primary Single Family Attached 041067468 IN 46815 Primary Single Family Detached 041067471 KS 67217 Primary Single Family Detached 041067477 IL 60477 Primary PUD Detached 041067483 MO 64093 Primary Single Family Detached 041067486 KS 66109 Primary Single Family Attached 041067491 IL 61822 Primary Single Family Detached 041067523 FL 34434 Second Home Single Family Detached 041067526 IL 61422 Primary Single Family Detached 041067551 IL 61103 Non-owner 2-4 Units Detached 041067592 IL 62226 Primary Single Family Detached 041067601 IL 60628 Primary Single Family Detached 041067625 IN 46703 Primary Single Family Detached 041067633 IL 60615 Primary 2-4 Units Detached 041067693 IL 60482 Primary Single Family Detached 041067699 IL 61021 Primary Single Family Detached 041067702 MO 63137 Primary Single Family Detached 041067706 IL 62221 Primary Single Family Detached 041067709 IN 46517 Primary Single Family Detached 041067713 MO 63118 Primary 2-4 Units Attached 041067735 IL 60563 Primary Single Family Detached 041067741 IL 61759 Primary Single Family Detached 041067746 MO 65810 Primary Single Family Detached 041067793 IL 60411 Primary Single Family Detached 041067797 KS 67235 Primary Single Family Detached 041067824 IL 60073 Primary Single Family Detached 041067866 IN 46514 Primary Single Family Detached 041067893 MO 65536 Primary Single Family Detached 041067913 IL 60620 Primary Single Family Detached 041067940 IL 60620 Primary Single Family Detached 041067947 IL 60202 Primary Single Family Detached 041067961 IL 60620 Primary Single Family Detached 041067962 IL 60177 Primary Single Family Detached 041067964 IL 60449 Primary Single Family Detached 041067980 IL 60565 Primary Condo Low-Rise Attached 041067987 IL 60629 Primary Single Family Detached 041068000 CO 80221 Primary Single Family Detached 041068003 IL 60195 Primary Condo Low-Rise Attached 041068009 IL 60652 Primary Single Family Detached 041068037 IL 60641 Primary Single Family Detached 041068085 MO 63366 Primary PUD Detached 041068099 MO 65631 Primary Single Family Detached 041068106 IL 60101 Primary Single Family Detached 041068113 IL 61550 Primary Single Family Detached 041068114 IL 60539 Primary Single Family Detached 041068136 KS 66013 Primary Single Family Detached 041068138 MO 63304 Primary Single Family Detached 041068170 KS 66603 Non-owner Single Family Detached 041068186 IL 60639 Primary Single Family Detached 041068189 IL 60152 Primary Single Family Detached 041068193 IL 60636 Primary Single Family Detached 041068225 IL 60475 Primary Single Family Detached 041068231 IL 60103 Primary Single Family Detached 041068253 IL 60644 Primary 2-4 Units Detached 041068254 IL 60148 Primary Single Family Detached 041068262 IL 60638 Primary Single Family Detached 041068278 IL 60565 Primary Single Family Detached 041068308 IL 60177 Primary Condo Low-Rise Attached 041068326 MO 65721 Primary Single Family Detached 041068327 MO 64132 Primary Single Family Detached 041068336 IN 46062 Primary Single Family Detached 041068350 IL 60099 Primary Single Family Detached 041068356 IL 60426 Primary Single Family Detached 041068382 IN 46227 Primary Condo Low-Rise Attached 041068395 MI 49622 Non-owner Single Family Detached 041068410 IL 62018 Primary Single Family Detached 041068415 IN 47401 Primary Single Family Detached 041068422 IL 60123 Primary Single Family Detached 041068450 IL 60554 Primary Single Family Detached 041068467 IL 60451 Primary Single Family Detached 041068501 IL 60195 Primary Single Family Detached 041068527 IL 60620 Primary Single Family Detached 041068528 IN 46113 Primary Single Family Detached 041068550 IL 60085 Primary Single Family Detached 041068552 IL 60630 Primary Single Family Detached 041068559 IN 46501 Primary Single Family Detached 041068568 IN 46360 Primary Condo Low-Rise Attached 041068653 IL 60050 Primary Single Family Detached 051056763 GA 30087 Primary Single Family Detached 051056823 FL 32738 Primary Single Family Detached 051056857 GA 30127 Primary Single Family Detached 051056904 GA 30014 Primary Single Family Detached 051056917 GA 31546 Primary Single Family Detached 051057021 GA 30512 Primary Single Family Detached 051057031 FL 32206 Primary Single Family Detached 051057103 GA 30233 Primary Single Family 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Family Detached 401001763 NY 11703 Primary Single Family Detached 401001861 NJ 07094 Primary Condo High-Rise Attached 401001886 XX 00000 Primary PUD Detached 401002035 CA 92604 Primary PUD Attached 401002054 FL 32836 Primary PUD Attached 401002060 XX 00000 Primary Single Family Detached 401002117 NY 10801 Primary Single Family Detached 401002170 MI 48442 Primary Single Family Detached 401002254 CA 92234 Primary Single Family Detached 511034638 AZ 86404 Primary Condo Low-Rise Attached 511035255 CA 95212 Primary Single Family Detached 511035274 CA 93065 Primary Single Family Detached 511035476 AZ 85283 Primary Single Family Detached 511035564 CO 80908 Primary Single Family Detached 511035651 CA 93536 Primary Single Family Detached 511035667 CA 92056 Primary PUD Detached 511035740 CA 93550 Primary Single Family Detached 511035839 XX 00000 Primary PUD Detached 511035897 CA 91762 Primary Single Family Detached 511035957 AZ 85364 Primary Single Family Detached 511035987 CO 80134 Primary Single Family Detached 511036009 CA 93401 Primary Single Family Detached 511036063 CA 92509 Primary Single Family Detached 511036161 CO 80303 Primary PUD Detached 511036178 CA 92694 Primary Condo Low-Rise Attached 511036214 CO 81520 Primary Single Family Detached 511036224 CA 92211 Primary PUD Detached 511036357 WA 98663 Non-owner Single Family Detached 511036371 CA 92019 Primary Single Family Detached 511036373 CA 90745 Primary Single Family Detached 511036387 CA 92563 Primary Single Family Detached 511036436 AZ 85331 Primary Single Family Detached 511036445 AZ 85212 Primary Single Family Detached 511036495 CO 80229 Primary Condo Low-Rise Attached 521023938 MI 49229 Primary Single Family Detached 521024184 IL 60544 Primary Single Family Detached 521025030 IN 46112 Primary PUD Detached 521025052 IL 60431 Primary Single Family Detached 521025170 IL 61744 Primary Single Family Detached 521025178 CA 92405 Primary Single Family Detached 521025339 MO 64167 Primary Single Family Detached 521025723 IL 60641 Primary Condo Low-Rise Attached 521025796 IA 50701 Primary Single Family Detached 521025878 OH 45011 Primary Single Family Detached 521025993 MI 48450 Second Home Single Family Detached 521026082 OR 97123 Primary Single Family Detached 521026102 MI 48220 Primary Single Family Detached 521026324 IL 60084 Primary Single Family Detached 551005308 TX 76712 Primary Single Family Detached 551006034 TX 77573 Primary Single Family Detached 551006362 TX 78541 Primary Single Family Detached 551006444 LA 70583 Primary Single Family Detached 551006451 TX 76123 Primary Single Family Detached 551006764 TX 78413 Primary Single Family Detached 551006896 TX 78703 Primary Single Family Detached 551006933 TX 75452 Primary Single Family Detached 551007025 TX 78255 Primary Single Family Detached 551007211 TX 75039 Primary Single Family Attached 561001914 FL 33180 Primary PUD Detached 561002102 FL 34743 Primary PUD Detached 561002117 FL 34134 Primary Condo Low-Rise Attached 561002203 FL 33467 Primary PUD Detached 561002317 FL 33510 Primary PUD Detached 561002338 FL 33897 Primary Single Family Detached 561002447 FL 34952 Primary Single Family Detached 561002463 FL 33305 Second Home Condo High-Rise Attached 561002505 FL 34120 Primary Single Family Detached 561002614 FL 33063 Primary Single Family Detached 561002651 FL 34744 Primary PUD Detached 581000152 WA 98373 Primary Single Family Detached 581000423 XX 00000 Primary Single Family Detached 581000497 CA 95301 Primary Single Family Detached 581000671 CA 95020 Primary PUD Attached 581000772 NV 89512 Primary Single Family Detached 581000785 CA 95307 Primary Single Family Detached 581000814 CA 95624 Primary Single Family Detached 581000825 XX 00000 Primary PUD Detached 581000846 CA 94561 Primary Single Family Detached 581000857 CA 95324 Primary Single Family Detached 581000961 XX 00000 Primary Single Family Detached 581000963 XX 00000 Primary Condo Low-Rise Attached 581000993 XX 00000 Primary Single Family Detached 581001104 XX 00000 Primary Single Family Detached 581001114 CA 95023 Primary Single Family Detached 591000099 MI 49799 Primary Single Family Detached 591000234 FL 33703 Primary Single Family Detached 591000294 MI 48198 Primary Single Family Detached 591000408 MI 48356 Primary Single Family Detached 611016046 NY 11050 Primary Single Family Detached 611016167 NY 11221 Primary 2-4 Units Attached 611016391 NY 11210 Primary Single Family Detached 611016401 NY 11779 Non-owner Single Family Detached 611016461 NY 11731 Primary Single Family Detached 611016494 CT 06812 Primary Single Family Detached 611016605 NY 11727 Primary Condo Low-Rise Attached 611016608 NY 12582 Non-owner Single Family Detached 611016640 NY 11572 Primary Single Family Detached 611016667 NY 11224 Primary 2-4 Units Detached 611016668 NY 11714 Primary Single Family Detached 611016673 NY 11950 Primary Single Family Detached 611016691 NY 11755 Primary Single Family Detached 611016717 NY 11803 Primary Single Family Detached 611016739 NY 10607 Primary Single Family Detached 611016822 NY 11710 Primary Single Family Detached 611016835 NY 12061 Primary Single Family Detached 611016837 NY 11559 Primary Single Family Detached 611016867 NY 11010 Primary Single Family Detached 611016890 NY 10960 Primary Single Family Detached 611016892 NY 11373 Primary 2-4 Units Detached 611016893 NY 11501 Primary Single Family Detached 611016896 NY 11050 Primary Single Family Detached 611016955 NY 11580 Primary Single Family Detached 611016964 NJ 07642 Primary Single Family Detached 611017020 NY 11701 Primary Single Family Detached 611017057 NY 11580 Primary Single Family Detached 611017058 NY 11754 Primary Single Family Detached 621007235 FL 33312 Primary Single Family Detached 621007598 FL 34953 Primary Single Family Detached 621007799 FL 33162 Primary Single Family Detached 621007869 FL 32118 Primary Single Family Detached 621007887 FL 34983 Primary Single Family Detached 621007949 FL 33177 Primary Single Family Detached 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621008900 FL 33020 Primary 2-4 Units Detached 621008902 FL 33478 Primary Single Family Detached 621008956 FL 33308 Primary Single Family Detached 621009023 FL 34983 Primary Single Family Detached 621009057 FL 33410 Non-owner Single Family Detached 621009071 FL 33071 Primary Single Family Detached 621009080 FL 33165 Primary Single Family Detached 621009232 FL 33184 Primary Single Family Detached 621009241 FL 33404 Primary Condo Low-Rise Attached 621009338 FL 33020 Primary 2-4 Units Detached 631006733 CA 92604 Primary Condo Low-Rise Attached 631007205 CA 90249 Primary Single Family Detached 631007246 CA 92024 Non-owner Single Family Detached 631007272 CA 91977 Primary Single Family Detached 631007329 CA 92071 Primary PUD Attached 631007460 CA 92040 Primary Single Family Detached 631007476 CA 92064 Primary Single Family Detached 631007534 CA 92028 Primary Single Family Detached 631007602 CA 92563 Primary Single Family Detached 631007652 CA 92586 Primary PUD Detached 631007670 CA 95482 Primary Single Family Detached 631007676 CA 93033 Primary Condo Low-Rise Attached 631007686 FL 33462 Primary PUD Detached 631007694 CA 94063 Primary Single Family Detached 631007699 CA 92071 Primary Single Family Detached 631007726 CA 92592 Primary Single Family Detached 631007741 CA 95209 Primary Single Family Detached 631007770 CA 92211 Primary Single Family Detached 631007774 CA 92270 Primary Single Family Detached 631007779 CA 95138 Primary Single Family Detached 631007840 CA 94612 Primary Condo High-Rise Attached 631007841 CA 92270 Primary PUD Detached 631007851 CA 92130 Primary PUD Detached 631007869 CA 92024 Primary PUD Detached 631007871 CA 92008 Primary Single Family Detached 631007908 CA 92117 Primary Condo Low-Rise Attached 631007929 CA 95403 Primary Single Family Detached 631007998 CA 92707 Primary Single Family Detached 631008005 CA 91962 Primary Single Family Detached 641008867 TX 78597 Primary Single Family Attached 641008880 TX 76114 Primary Single Family Detached 641009031 TX 75052 Primary Single Family Detached 641009253 TX 79934 Primary Single Family Detached 641009495 TX 78258 Primary Single Family Detached 641009647 TX 75154 Primary Single Family Detached 651009474 MI 48209 Primary Single Family Detached 651009499 MD 20623 Primary Single Family Detached 651009559 NC 27040 Second Home Single Family Detached 651009643 MD 21756 Primary Single Family Detached 651009733 WI 53076 Primary Single Family Detached 651009849 VA 20121 Primary PUD Detached 651009859 GA 30152 Primary PUD Detached 651009882 MA 02301 Primary 2-4 Units Detached 651009896 GA 30083 Non-owner Single Family Detached 651009897 GA 30035 Non-owner Single Family Detached 651009915 VA 23666 Primary Single Family Detached 651010057 PA 17837 Primary Single Family Detached 651010153 TN 38119 Primary Single Family Detached 651010188 FL 32127 Primary Single Family Detached 651010291 MD 20769 Primary Single Family Detached 651010295 CT 06853 Primary Single Family Detached 651010308 FL 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Detached 661006814 CA 92335 Primary Single Family Detached 661006872 CA 96161 Primary Single Family Detached 661006895 CA 92532 Primary Single Family Detached 661006931 CA 92335 Primary Single Family Detached 661006954 CA 92336 Primary Single Family Detached 661006976 CA 92113 Primary Single Family Detached 661007022 CA 92404 Primary PUD Detached 661007030 CA 92019 Primary PUD Detached 661007048 CA 92335 Primary Single Family Detached 661007104 MI 49083 Primary Single Family Detached 661007117 FL 32828 Primary PUD Detached 661007190 CA 92543 Primary Single Family Detached 661007220 CA 92335 Primary Single Family Detached 661007240 CA 92586 Primary Single Family Detached 661007244 CA 92336 Primary Single Family Detached 661007260 CA 93446 Primary Single Family Detached 661007264 CA 92335 Primary Single Family Detached 661007289 CA 91202 Primary Single Family Detached 661007365 CA 95835 Primary Single Family Detached 661007374 AZ 85730 Primary Single Family Detached 661007402 CA 95403 Primary Single Family Detached 661007430 CA 92394 Primary Single Family Attached 661007461 CA 91345 Primary Single Family Detached 661007464 CA 93551 Primary Single Family Detached 661007471 CA 92503 Primary Single Family Detached 661007483 CA 94585 Primary Single Family Detached 661007568 CA 94538 Primary Single Family Detached 661007587 OR 97031 Primary Single Family Detached 661007595 XX 00000 Primary PUD Detached 661007602 CA 92563 Primary Condo Low-Rise Attached 661007705 CA 91606 Primary 2-4 Units Detached 661007776 CA 92307 Primary Single Family Detached 661007803 CA 92056 Primary Single Family Detached 671003280 CA 94560 Primary Single Family Detached 671003427 UT 84722 Primary Manufactured Housing 671003593 CA 93906 Primary Single Family Detached 671003744 CA 93906 Primary Single Family Detached 671003753 CA 95351 Primary Single Family Detached 671003849 CA 94542 Primary Single Family Detached 671003925 CA 93906 Primary Single Family Detached 671003988 CA 93726 Primary Single Family Detached 671004082 CA 95301 Primary Single Family Detached 671004127 CA 95376 Primary Single Family Detached 671004157 CA 94063 Primary Condo Low-Rise Attached 671004191 CA 93657 Primary Single Family Detached 671004211 CA 95336 Primary Single Family Detached 671004253 CA 95823 Primary Single Family Detached 671004365 CA 94531 Primary Single Family Detached 671004471 CA 94014 Primary Condo Low-Rise Attached 671004482 CA 95123 Primary Condo Low-Rise Attached 671004514 CA 94063 Primary Single Family Detached 671004522 CA 93940 Primary Single Family Detached 671004548 CA 94015 Primary Condo Low-Rise Attached 671004590 CA 95076 Primary Single Family Detached 681005359 MA 01826 Primary Single Family Detached 681005556 ME 04061 Primary Single Family Detached 681005559 XX 00000 Primary Single Family Detached 681005678 XX 00000 Primary Single Family Detached 681005900 MA 01824 Primary Single Family Detached 681005940 MA 02649 Primary Single Family Detached 681005953 ME 04092 Primary Single Family Detached 681006039 MA 02467 Primary Condo Low-Rise Attached 681006071 MA 02155 Primary Condo Low-Rise Attached 681006139 VT 05738 Primary Single Family Detached 681006159 ME 03906 Primary Single Family Detached 681006184 XX 00000 Primary Single Family Detached 681006216 ME 04345 Primary Single Family Detached 681006259 XX 00000 Primary Single Family Detached 681006348 ME 04105 Primary Single Family Detached 681006375 MA 01880 Primary Single Family Detached 681006386 MA 02126 Primary 2-4 Units Detached 681006419 XX 00000 Primary 2-4 Units Detached 681006449 ME 04240 Primary Single Family Detached 681006456 ME 04022 Primary Single Family Detached 681006477 MA 02151 Primary Single Family Detached 681006501 MA 01876 Primary Single Family Detached 681006565 XX 00000 Primary Single Family Detached 681006639 MA 01887 Primary Single Family Detached 681006717 ME 04038 Primary Single Family Detached 681006730 ME 04915 Primary Single Family Detached 681006782 ME 04358 Primary Single Family Detached 691002849 VA 24091 Primary Manufactured Housing 691003175 VA 24121 Primary Manufactured Housing 691003422 MD 20664 Primary Single Family Detached 691003466 DE 19701 Primary Single Family Detached 691003480 PA 19014 Primary Single Family Detached 691003619 MD 20785 Primary Single Family Detached 691003627 MD 20772 Primary PUD Detached 691003648 VA 20170 Primary PUD Attached 691003674 PA 17201 Primary Single Family Detached 691003843 MD 20772 Primary Condo Low-Rise Attached 691003886 MD 21044 Primary Single Family Detached 691003905 MD 20905 Primary Single Family Detached 691003906 VA 20152 Primary PUD Attached 691003922 VA 22191 Primary PUD Detached 691003933 MD 20746 Primary Single Family Detached 691003935 MD 20721 Primary Single Family Detached 691003972 MD 21797 Primary Single Family Detached 691003978 VA 20165 Primary PUD Detached 691004001 DE 19701 Primary PUD Detached 691004005 MD 20603 Primary PUD Detached 691004018 MD 20695 Primary PUD Detached 691004056 MD 20735 Primary PUD Detached 691004072 MD 21401 Primary Single Family Detached 691004144 MD 21237 Primary PUD Detached 691004156 VA 22066 Primary Single Family Detached 701000456 CA 92562 Primary Single Family Detached 701000479 CA 95376 Primary Single Family Detached 701000988 CA 95330 Primary Single Family Detached 701001004 CA 90249 Primary Single Family Detached 701001018 CA 92114 Primary Single Family Detached 701001025 CA 95006 Primary Single Family Detached 701001044 CA 92530 Primary Single Family Detached 701001045 CA 93063 Primary Single Family Detached 701001065 CA 90402 Primary Condo Low-Rise Attached 701001112 CA 91010 Primary PUD Detached 711006946 MA 02719 Primary Single Family Detached 711007046 XX 00000 Primary Single Family Detached 711007249 MA 02072 Primary Single Family Detached 721006958 AZ 85296 Primary PUD Detached 721007237 AZ 85383 Primary PUD Detached 721007361 OK 74344 Primary Single Family Detached 721007373 CA 94015 Primary Single Family Detached 731010705 TN 37774 Primary Single Family Detached 731010797 VA 22554 Primary Single Family Detached 731011032 VA 20151 Primary Single Family Attached 741010573 FL 33626 Primary Single Family Detached 741011858 FL 34602 Primary Single Family Detached 741011927 FL 33897 Primary PUD Detached 761009519 IL 60090 Primary Single Family Detached 761010227 WI 54169 Primary Single Family Detached 781003640 MI 48238 Primary Single Family Detached 791002619 IL 62269 Primary Single Family Detached 791002892 CO 80229 Primary Single Family Detached 791002903 MO 65807 Primary Single Family Detached 831039474 CA 95008 Primary Single Family Detached 831039480 PA 19141 Primary Single Family Attached 831039481 NJ 07630 Primary Single Family Detached 831039897 NJ 07104 Non-owner 2-4 Units Detached 831039985 FL 33065 Primary PUD Detached 831040479 NJ 07104 Non-owner 2-4 Units Detached 831041572 FL 33060 Primary Single Family Detached 831041798 CA 92270 Primary PUD Detached 831041804 CA 95820 Primary Single Family Detached 831041808 CA 92508 Primary Single Family Detached 831041810 XX 00000 Primary Single Family Detached 831041811 CA 92392 Primary Single Family Detached 831042146 FL 33408 Second Home Single Family Detached 831042153 NJ 08731 Primary Single Family Detached 831042178 NJ 07305 Primary 2-4 Units Detached 831042179 NJ 07067 Primary Single Family Detached 831042373 TX 75082 Primary Single Family Detached 831042544 CA 92833 Primary Single Family Detached 831042546 CA 95823 Primary Single Family Detached 831042547 CA 91311 Primary Single Family Detached 831042548 CA 90703 Primary Single Family Detached 831042551 CA 91311 Primary Single Family Detached 831042552 CA 90703 Primary Single Family Detached 831042553 CA 92705 Primary Single Family Detached 831042558 CA 92567 Primary Single Family Detached 831042975 FL 33150 Primary 2-4 Units Detached 831043178 NY 11787 Primary Single Family Detached 831043299 CT 06360 Primary Single Family Detached 831043556 MI 49622 Primary Single Family Detached 841005694 MI 49735 Primary Single Family Detached 841005780 MI 49009 Primary Single Family Detached 841005798 MI 48197 Primary Single Family Detached 841006004 MI 49738 Primary Single Family Detached 841006126 MI 48854 Primary Single Family Detached 841006207 MI 48207 Primary Single Family Attached 841006284 MI 49686 Primary Single Family Detached 851000935 NJ 08050 Primary Single Family Detached 851001052 NJ 07901 Primary Single Family Detached 851001087 NJ 08043 Primary Single Family Detached 851001131 NJ 07203 Primary Single Family Detached 871000806 NJ 07506 Primary 2-4 Units Detached 871000896 NJ 07601 Primary 2-4 Units Detached 871000914 NJ 07410 Primary Single Family Detached 871000969 NJ 07018 Primary 2-4 Units Detached 871001011 NY 11233 Primary 2-4 Units Detached 871001013 NJ 07840 Primary Single Family Detached 871001074 NY 10021 Non-owner Condo Low-Rise Attached 871001092 NY 10705 Primary 2-4 Units Detached 871001135 NJ 08857 Primary Single Family Detached 871001155 NY 11746 Non-owner Single Family Detached 871001177 NJ 07024 Primary Condo Low-Rise Attached 871001250 NJ 08050 Second Home Single Family Detached 871001320 NJ 08735 Second Home Single Family Detached 871001355 NJ 08816 Primary Condo Low-Rise Attached 871001397 NJ 07201 Primary 2-4 Units Detached 911000188 CA 92555 Primary PUD Detached 911000211 CA 92555 Primary PUD Detached 911000233 CA 91761 Primary Single Family Detached 911000263 CA 92337 Primary Single Family Detached 911000313 CA 91977 Primary 2-4 Units Attached 911000319 CA 92840 Primary Single Family Detached 911000332 CA 92567 Primary Single Family Detached 911000346 CA 92530 Primary Single Family Detached 911000375 CA 92881 Primary Single Family Attached ----------------------------------------------------------- 1,179 ----------------------------------------------------------- ----------------------------------------------------------- 5,565 =========================================================== LTV AT 1ST LOAN ORIGINAL REMAINING ORIGINA- MORTGAGE PAYMENT MATURITY NUMBER TERM TERM TION RATE DATE DATE -------------------------------------------------------------- 011073427 360 357 85 8.55 6/1/2005 5/1/2035 011074105 360 358 80 7 7/1/2005 6/1/2035 011074339 360 358 75 7.25 7/1/2005 6/1/2035 011074404 360 356 45.61 6.55 5/1/2005 4/1/2035 011074491 360 357 85 7.3 6/1/2005 5/1/2035 011074590 360 358 66.26 7.75 7/1/2005 6/1/2035 011074668 360 358 80 6.69 7/1/2005 6/1/2035 011074711 360 357 65 8.715 6/1/2005 5/1/2035 011074824 360 357 80 8.5 6/1/2005 5/1/2035 011074864 360 358 90 8.45 7/1/2005 6/1/2035 011074883 360 357 44.58 9.75 6/1/2005 5/1/2035 011074885 360 357 78.57 6.5 6/1/2005 5/1/2035 011074902 360 358 80 7.35 7/1/2005 6/1/2035 011075004 360 358 19.07 8.99 7/1/2005 6/1/2035 011075070 360 358 70 6.45 7/1/2005 6/1/2035 011075097 360 358 70 6.4 7/1/2005 6/1/2035 011075140 360 358 48.78 7.75 7/1/2005 6/1/2035 011075234 360 358 70 9.39 7/1/2005 6/1/2035 011075237 360 358 54.17 7.15 7/1/2005 6/1/2035 011075238 360 358 95 8.1 7/1/2005 6/1/2035 011075254 360 358 88.57 8.05 7/1/2005 6/1/2035 011075271 360 358 80 6.95 7/1/2005 6/1/2035 011075290 360 358 63.02 6.475 7/1/2005 6/1/2035 011075300 360 358 80 5.95 7/1/2005 6/1/2035 011075302 360 358 80 6.9 7/1/2005 6/1/2035 011075324 360 358 42.67 5.99 7/1/2005 6/1/2035 011075337 360 358 80 8.95 7/1/2005 6/1/2035 011075340 360 358 56.3 8.1 7/1/2005 6/1/2035 011075344 360 358 64.48 10.45 7/1/2005 6/1/2035 011075376 360 358 80 6.4 7/1/2005 6/1/2035 011075384 360 358 66.13 7.2 7/1/2005 6/1/2035 011075396 360 358 55.56 5.75 7/1/2005 6/1/2035 011075397 360 358 56.68 9.35 7/1/2005 6/1/2035 011075413 360 358 75 6.95 7/1/2005 6/1/2035 011075422 360 358 90 7.54 7/1/2005 6/1/2035 011075451 360 359 80 7.15 8/1/2005 7/1/2035 011075452 360 358 60.78 6.875 7/1/2005 6/1/2035 011075453 360 359 55.51 8.5 8/1/2005 7/1/2035 011075459 360 358 85 7.05 7/1/2005 6/1/2035 011075462 360 358 71.48 6.15 7/1/2005 6/1/2035 011075463 360 358 89.96 7.99 7/1/2005 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1160.31 7/1/2005 185500 011075140 716.41 716.41 9/1/2005 100000 011075234 1772.28 1772.28 7/1/2005 212800 011075237 1317.04 1317.04 8/1/2005 195000 011075238 675.56 675.56 7/1/2005 91200 011075254 685.65 685.65 7/1/2005 93000 011075271 1042.5 1042.5 8/1/2005 180000 011075290 1052.81 1052.81 8/1/2005 167000 011075300 1507.33 1506.93 7/1/2005 304000 011075302 1794 1793.97 8/1/2005 312000 011075324 958.25 958.25 8/1/2005 160000 011075337 1858.38 1858.38 7/1/2005 232000 011075340 562.97 562.97 8/1/2005 76000 011075344 501.05 501.05 7/1/2005 55000 011075376 1561.26 1561.26 7/1/2005 249600 011075384 1683.39 1683.39 7/1/2005 248000 011075396 1197.92 1197.92 7/1/2005 250000 011075397 456.46 456.46 7/1/2005 55000 011075413 2680.89 2680.89 7/1/2005 405000 011075422 2242.75 2242.75 7/1/2005 319500 011075451 929.36 929.36 7/1/2005 137600 011075452 1018.24 1018.24 7/1/2005 155000 011075453 580.53 580.53 7/1/2005 75500 011075459 1364.07 1364.07 7/1/2005 204000 011075462 1328.12 1328.12 7/1/2005 218000 011075463 821.04 821.04 7/1/2005 112000 011075467 1120.34 1120.34 7/1/2005 181000 011075484 1055.57 1055.57 8/1/2005 176250 011075505 1295.73 1295.73 7/1/2005 189000 011075506 1066.67 1066.67 8/1/2005 200000 011075518 1277.32 1277.32 7/1/2005 200000 011075525 1243.89 1243.89 8/1/2005 151200 011075526 1355.85 1355.85 7/1/2005 204000 011075527 1490.62 1490.62 7/1/2005 170000 011075530 2099.74 2099.74 6/1/2005 246500 011075532 2405.73 2405.73 8/1/2005 331000 011075533 1420.43 1420.43 7/1/2005 219000 011075544 2047.44 2047.44 7/1/2005 348500 011075548 2762.61 2762.61 7/1/2005 348000 011075556 1090.58 1090.58 7/1/2005 138000 011075563 1606.62 1606.62 7/1/2005 220000 011075566 1279.56 1279.56 8/1/2005 183000 011075573 1668.66 1668.66 8/1/2005 264000 011075579 857.08 857.08 7/1/2005 85000 011075592 1416.67 1416.41 7/1/2005 272000 011075594 931.63 931.63 7/1/2005 93000 011075598 1009.05 1009.05 7/1/2005 139500 011075599 2070.33 2070.33 8/1/2005 311500 011075600 1603.4 1603.4 7/1/2005 255000 011075610 903.9 903.9 8/1/2005 165600 011075634 1773.79 1773.79 7/1/2005 250000 011075640 1397.67 1397.67 8/1/2005 280000 011075644 2255.97 2255.97 8/1/2005 297500 011075659 1635.75 1635.75 7/1/2005 249000 011075661 1447.44 1447.44 7/1/2005 229000 011075676 959.82 959.82 8/1/2005 145000 011075695 1201.2 1201.2 7/1/2005 246400 011075700 1882.87 1882.87 7/1/2005 243750 011075739 1816.07 1816.07 7/1/2005 280000 011075764 776.71 776.71 7/1/2005 108000 011075792 2621 2621 8/1/2005 255000 011075815 1953 1953 7/1/2005 270000 021062880 636.65 636.65 7/1/2005 145520 021063234 908.04 908.04 7/1/2005 140000 021063549 1993.65 1993.65 7/1/2005 294000 021063619 2326.21 2326.21 7/1/2005 350000 021063632 845.83 845.83 7/1/2005 123990 021063678 1817.46 1817.46 7/1/2005 267750 021063779 1732.98 1732.98 8/1/2005 261800 021064021 1670.03 1670.03 7/1/2005 203000 021064029 2261.2 2261.2 8/1/2005 320250 021064105 1434.24 1434.24 7/1/2005 220000 021064208 1685.83 1685.83 7/1/2005 340000 021064228 2116.85 2116.85 7/1/2005 318500 021064237 928.31 928.31 7/1/2005 155000 021064311 1886.35 1886.35 7/1/2005 300000 021064331 1191.51 1191.51 8/1/2005 180000 021064450 1358.61 1358.61 8/1/2005 180000 021064476 1723.56 1723.56 7/1/2005 246500 021064478 1338.43 1338.43 8/1/2005 215100 021064484 925.87 925.87 7/1/2005 128000 021064509 1163.89 1163.89 8/1/2005 165000 021064559 1023 1023 7/1/2005 165000 021064620 1169.33 1169.33 7/1/2005 185000 021064660 900.09 900.09 7/1/2005 130000 021064743 1620.17 1620.17 7/1/2005 255000 021064746 2724.78 2724.78 7/1/2005 342000 021064786 2180.65 2180.65 8/1/2005 328100 021064799 1351.47 1351.47 8/1/2005 206250 021064838 958.25 958.25 7/1/2005 160000 021064844 1377.7 1377.7 7/1/2005 276000 021064863 2005.95 2005.95 7/1/2005 280000 021064878 1463 1462.99 7/1/2005 308000 021064921 1753.28 1753.28 7/1/2005 250750 021064923 1323.8 1323.8 7/1/2005 196000 021064948 908.14 908.14 7/1/2005 124950 021064963 1259.27 1259.27 7/1/2005 206700 021065010 907.29 907.29 7/1/2005 133000 021065015 1539.64 1539.64 6/1/2005 195000 021065018 1417.99 1417.99 7/1/2005 211000 021065022 921.11 921.11 8/1/2005 152000 021065038 1250.48 1250.48 7/1/2005 196000 021065057 1726.81 1726.81 7/1/2005 257600 021065079 991.58 991.58 8/1/2005 163000 021065085 824.79 824.79 7/1/2005 124600 021065092 1793.01 1793.01 7/1/2005 230000 021065100 1227.33 1227.33 7/1/2005 263000 021065112 1404.94 1404.94 7/1/2005 265500 021065114 1705.44 1705.44 7/1/2005 250000 021065117 1780 1779.47 7/1/2005 356000 021065119 1197.66 1197.66 7/1/2005 151550 021065125 1837.96 1837.96 8/1/2005 229450 021065126 2198.94 2198.94 7/1/2005 337300 021065133 1818.05 1818.05 8/1/2005 255000 021065135 1087.8 1086.62 8/1/2005 176400 021065143 855.27 855.27 7/1/2005 126000 021065176 1179.41 1179.41 7/1/2005 161500 021065180 1428 1428 7/1/2005 306000 021065189 1096.64 1096.64 7/1/2005 165000 021065230 785.47 785.47 7/1/2005 113000 021065237 1431.65 1431.65 7/1/2005 233750 021065242 1270.83 1270.83 7/1/2005 244000 021065264 548.84 548.84 7/1/2005 60000 021065267 2353.18 2353.18 8/1/2005 309600 021065291 761.25 761.25 7/1/2005 80000 021065331 608.95 608.95 8/1/2005 85000 021065360 1050.06 1050.06 7/1/2005 187000 021065361 1181.5 1181.5 8/1/2005 204000 031033237 1171.8 1171.8 7/1/2005 162000 031033530 907.04 907.04 7/1/2005 126000 031033691 1041.95 1041.95 7/1/2005 142000 031033726 1251.63 1251.63 7/1/2005 149500 031033960 1203.55 1203.55 7/1/2005 157250 031034088 2064.07 2064.07 8/1/2005 315000 031034137 2570.65 2570.65 7/1/2005 390320 031034156 1244.75 1244.75 8/1/2005 189000 031034307 1716.39 1716.39 7/1/2005 274400 031034395 2047.02 2047.02 7/1/2005 265000 031034404 532.19 532.19 7/1/2005 97500 031034520 970.69 970.69 8/1/2005 156000 031034534 948.06 948.06 8/1/2005 142500 031034537 2184.43 2184.43 7/1/2005 330000 031034548 620.81 620.81 8/1/2005 80000 031034604 2170.26 2170.26 7/1/2005 315000 031034619 1496.19 1496.19 7/1/2005 243000 031034626 989.26 989.26 7/1/2005 165000 031034638 1563.75 1563.75 7/1/2005 270000 031034642 1929.12 1929.12 7/1/2005 280000 031034657 1572.5 1572.5 7/1/2005 268000 031034659 2002 2002 8/1/2005 336000 031034662 808.91 808.91 7/1/2005 130000 031034720 1367.75 1367.75 7/1/2005 190000 031034722 1250 1250 7/1/2005 250000 031034739 1312.22 1312.22 7/1/2005 212000 031034741 416.78 416.78 7/1/2005 50000 031034752 893.46 893.46 7/1/2005 121880 031034755 1682.39 1682.39 7/1/2005 229500 031034761 1271.91 1271.91 6/1/2005 175000 031034762 1480.02 1480.02 7/1/2005 255000 031034763 1745.26 1745.26 7/1/2005 288000 031034779 920.87 920.87 7/1/2005 133000 031034782 1629.6 1629.6 7/1/2005 288000 031034804 1246.88 1246.88 7/1/2005 225000 031034807 1453.5 1453.5 8/1/2005 229500 031034809 2083.66 2083.66 7/1/2005 298000 031034816 1690.05 1690.05 7/1/2005 220000 031034822 702.52 702.52 7/1/2005 110000 031034824 1041.83 1041.83 8/1/2005 165000 031034827 1642.26 1642.26 7/1/2005 329000 031034828 1024.4 1023.88 7/1/2005 197000 031034840 1384.82 1384.82 7/1/2005 203000 031034851 1397.65 1397.65 8/1/2005 284750 031034854 1103.6 1103.6 7/1/2005 172800 031034881 2601.47 2601.47 7/1/2005 359650 031034888 889.58 889.58 8/1/2005 175000 031034891 2197.67 2197.67 7/1/2005 332000 031034895 1082.2 1082.2 7/1/2005 166000 031034904 1148.02 1148.02 7/1/2005 177000 031034915 1142.81 1142.81 7/1/2005 238500 031034920 533.29 533.29 7/1/2005 70000 031034921 1817.98 1817.98 7/1/2005 300000 031034931 1033.46 1033.46 7/1/2005 150000 031034970 836.82 836.82 7/1/2005 155000 031034998 1364.05 1364.05 8/1/2005 190400 031035003 1112.16 1112.16 6/1/2005 206000 031035004 1100.01 1100.01 8/1/2005 161250 031035005 1225.99 1225.99 7/1/2005 196000 031035014 1399.57 1399.57 8/1/2005 277600 031035037 2478.93 2478.93 7/1/2005 304000 031035041 1321.02 1321.02 8/1/2005 209000 031035053 2078.25 2078.25 7/1/2005 283500 031035062 951.26 951.26 7/1/2005 150500 031035073 2543.62 2543.62 7/1/2005 337000 031035078 1077.04 1077.04 7/1/2005 170400 031035088 577.37 577.37 7/1/2005 96300 031035091 935.51 935.51 6/1/2005 143500 031035092 1304.25 1304.25 7/1/2005 211500 031035095 1137.97 1137.97 7/1/2005 195000 041065018 853.5 853.5 7/1/2005 108000 041065099 1810.11 1810.11 7/1/2005 221000 041065109 803.5 803.5 7/1/2005 124520 041065626 971.08 971.08 7/1/2005 124000 041065658 659.79 659.79 7/1/2005 82000 041065665 744.8 744.8 7/1/2005 106000 041066044 882.92 882.92 7/1/2005 130000 041066061 948.16 948.16 7/1/2005 128000 041066136 1595.11 1595.11 7/1/2005 240000 041066296 464.4 464.4 7/1/2005 56700 041066306 639.36 639.36 7/1/2005 74100 041066349 841.42 841.42 8/1/2005 112000 041066495 736.2 736.2 7/1/2005 107920 041066507 1250.86 1250.86 8/1/2005 166500 041066635 762.56 762.56 6/1/2005 108000 041066647 1553.61 1553.61 7/1/2005 253650 041066672 685.57 685.57 7/1/2005 100000 041066698 503.89 503.89 8/1/2005 58400 041066726 703.08 703.08 6/1/2005 97200 041066735 700.18 700.18 7/1/2005 93200 041066748 542.68 542.68 7/1/2005 62100 041066837 895.59 895.59 8/1/2005 132600 041066866 776.44 776.44 7/1/2005 106320 041066897 800.39 800.39 7/1/2005 109600 041066899 1182.57 1182.57 7/1/2005 157410 041066951 864.47 864.47 7/1/2005 114000 041066990 644.62 644.62 9/1/2005 85405 041066998 1773.41 1773.41 8/1/2005 244000 041067013 506.78 506.78 7/1/2005 61520 041067026 911.39 911.39 7/1/2005 107920 041067048 888.02 888.02 7/1/2005 121600 041067054 680.2 680.2 7/1/2005 100710 041067056 787.72 787.72 7/1/2005 118400 041067060 498.82 498.82 7/1/2005 63120 041067076 1115.88 1115.88 8/1/2005 123500 041067122 851.42 851.42 7/1/2005 120000 041067215 934.08 934.08 8/1/2005 140400 041067217 884.9 884.9 7/1/2005 140000 041067228 1116.13 1116.13 7/1/2005 166500 041067231 982.21 982.21 7/1/2005 119920 041067273 437.09 437.09 7/1/2005 50875 041067275 738.88 738.88 8/1/2005 88255 041067291 615.01 615.01 7/1/2005 72200 041067292 965.21 965.21 7/1/2005 138720 041067329 1517.37 1517.37 7/1/2005 197340 041067339 865.45 865.45 7/1/2005 113600 041067354 1149.44 1149.44 6/1/2005 153000 041067366 806.49 806.49 7/1/2005 90000 041067374 1517.33 1517.33 7/1/2005 192000 041067376 450.54 450.54 7/1/2005 51775 041067384 862.14 862.14 8/1/2005 136400 041067404 580.48 580.48 7/1/2005 60000 041067413 1092.56 1092.56 7/1/2005 130500 041067423 883.96 883.96 7/1/2005 125194 041067428 633.77 633.77 7/1/2005 87200 041067434 680.07 680.07 7/1/2005 95850 041067454 1012.4 1012.4 8/1/2005 142000 041067460 1079.81 1079.81 7/1/2005 150000 041067468 520.45 520.45 8/1/2005 68000 041067471 572.24 572.24 7/1/2005 71760 041067477 1309.78 1309.78 7/1/2005 192000 041067483 787.37 787.37 7/1/2005 102400 041067486 854.56 854.56 8/1/2005 127160 041067491 948.08 948.08 7/1/2005 146174 041067523 831.22 831.22 7/1/2005 135000 041067526 806.49 806.49 7/1/2005 90000 041067551 1067.83 1067.83 7/1/2005 125900 041067592 724.57 724.57 8/1/2005 96900 041067601 988.82 988.82 7/1/2005 124000 041067625 613.44 613.44 7/1/2005 84000 041067633 1370.04 1370.04 7/1/2005 180000 041067693 1621.15 1621.15 7/1/2005 161250 041067699 1080.82 1080.82 8/1/2005 148000 041067702 741.96 741.96 7/1/2005 69520 041067706 1008.6 1008.6 8/1/2005 81700 041067709 475.05 475.05 7/1/2005 74000 041067713 897.12 897.12 7/1/2005 112500 041067735 1348.2 1348.2 7/1/2005 213300 041067741 1024.22 1024.22 7/1/2005 140250 041067746 757.55 757.55 8/1/2005 108875 041067793 1200.87 1200.87 8/1/2005 180500 041067797 1241.27 1241.27 8/1/2005 166000 041067824 1086.89 1086.89 8/1/2005 144000 041067866 524.73 524.73 7/1/2005 69520 041067893 504.51 504.51 6/1/2005 60000 041067913 795.29 795.29 7/1/2005 98400 041067940 706.14 706.14 7/1/2005 104550 041067947 1952.04 1952.04 8/1/2005 250400 041067961 991.67 991.67 7/1/2005 132000 041067962 909.44 909.44 7/1/2005 132000 041067964 2149.74 2149.74 7/1/2005 246000 041067980 829.43 829.43 7/1/2005 107100 041067987 1038.44 1038.44 7/1/2005 132000 041068000 1005 1005 6/1/2005 150750 041068003 1205.27 1205.27 7/1/2005 156750 041068009 1903.78 1903.78 7/1/2005 254600 041068037 1568.03 1568.03 7/1/2005 252000 041068085 893.03 893.03 7/1/2005 103500 041068099 670.43 670.43 7/1/2005 86000 041068106 1283.93 1283.93 7/1/2005 200000 041068113 931.45 931.45 7/1/2005 118400 041068114 1403.71 1403.71 7/1/2005 204750 041068136 1391.23 1391.23 7/1/2005 198000 041068138 1187.79 1187.79 7/1/2005 165000 041068170 446.54 446.54 8/1/2005 56250 041068186 1681.16 1681.16 7/1/2005 264600 041068189 1080.65 1080.65 7/1/2005 160000 041068193 709.78 709.78 7/1/2005 93600 041068225 907.24 907.24 7/1/2005 135000 041068231 1557.82 1557.82 7/1/2005 229500 041068253 910.81 910.81 7/1/2005 144100 041068254 1540.72 1540.72 8/1/2005 240000 041068262 1893.19 1893.19 6/1/2005 252000 041068278 1818.01 1818.01 8/1/2005 248000 041068308 1057.78 1057.78 7/1/2005 140800 041068326 448.67 448.67 8/1/2005 52000 041068327 757.65 757.65 8/1/2005 99450 041068336 748.91 748.91 7/1/2005 111440 041068350 1871.6 1871.6 7/1/2005 281600 041068356 629.3 629.3 8/1/2005 87000 041068382 906.76 906.76 7/1/2005 130320 041068395 982.59 982.59 7/1/2005 124900 041068410 655.92 655.92 6/1/2005 92000 041068415 660.53 660.53 8/1/2005 95400 041068422 2293.65 2293.65 7/1/2005 346500 041068450 1336.58 1336.58 7/1/2005 205020 041068467 465.96 465.96 8/1/2005 60600 041068501 1726.4 1726.4 7/1/2005 276000 041068527 718.82 718.82 6/1/2005 82000 041068528 1221.03 1221.03 7/1/2005 168000 041068550 1204.68 1204.68 7/1/2005 165750 041068552 2182.9 2182.9 7/1/2005 243600 041068559 757.68 757.68 8/1/2005 93330 041068568 1005.23 1005.23 7/1/2005 165000 041068653 1109.17 1109.17 7/1/2005 185000 051056763 1081.44 1081.44 7/1/2005 140000 051056823 767.84 767.84 7/1/2005 112000 051056857 757.33 757.33 7/1/2005 113600 051056904 612 612 8/1/2005 122400 051056917 434.36 434.36 8/1/2005 63200 051057021 921.61 921.61 7/1/2005 125600 051057031 396.93 396.93 8/1/2005 50000 051057103 579.17 579.1 7/1/2005 100000 051057191 643.03 643.03 7/1/2005 86400 051057206 806.44 806.44 7/1/2005 120000 051057212 856.62 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011074491 245925.35 Cash Out Refinance 7.3 011074590 162628.58 Rate/Term Refinance 7.75 011074668 308000 Cash Out Refinance 6.69 011074711 103817.87 Cash Out Refinance 8.715 011074824 135751.08 Cash Out Refinance 8.5 011074864 348771.03 Purchase 8.45 011074883 184688.95 Cash Out Refinance 9.75 011074885 165000 Cash Out Refinance 6.5 011074902 95852.73 Cash Out Refinance 7.35 011075004 101887.92 Cash Out Refinance 8.99 011075070 388500 Cash Out Refinance 6.45 011075097 185157.13 Rate/Term Refinance 6.4 011075140 99858.39 Cash Out Refinance 7.75 011075234 212584.92 Cash Out Refinance 9.39 011075237 194688.74 Rate/Term Refinance 7.15 011075238 91079.68 Purchase 8.1 011075254 92876.03 Rate/Term Refinance 8.05 011075271 180000 Cash Out Refinance 6.95 011075290 166632.25 Cash Out Refinance 6.475 011075300 303918.52 Cash Out Refinance 5.95 011075302 311994 Rate/Term Refinance 6.9 011075324 159680.04 Cash Out Refinance 5.99 011075337 231742.95 Cash Out Refinance 8.95 011075340 75899.72 Cash Out Refinance 8.1 011075344 54955.63 Cash Out Refinance 10.45 011075376 249138.65 Cash Out Refinance 6.4 011075384 247607.43 Cash Out Refinance 7.2 011075396 250000 Cash Out Refinance 5.75 011075397 54900.06 Cash Out Refinance 9.35 011075413 404308.31 Cash Out Refinance 6.95 011075422 319028.07 Cash Out Refinance 7.54 011075451 137490.51 Cash Out Refinance 7.15 011075452 154738.81 Cash Out Refinance 6.875 011075453 75454.26 Cash Out Refinance 8.5 011075459 203667.89 Cash Out Refinance 7.05 011075462 217577.18 Cash Out Refinance 6.15 011075463 111848.88 Cash Out Refinance 7.99 011075467 180658.93 Cash Out Refinance 6.3 011075484 175797.29 Cash Out Refinance 5.99 011075505 188707.15 Cash Out Refinance 7.3 011075506 200000 Cash Out Refinance 6.4 011075518 199644.38 Cash Out Refinance 6.6 011075525 151042.62 Cash Out Refinance 9.25 011075526 203663.92 Cash Out Refinance 6.99 011075527 169848.63 Cash Out Refinance 9.99 011075530 246264.12 Cash Out Refinance 9.65 011075532 330540.91 Cash Out Refinance 7.9 011075533 218621.83 Cash Out Refinance 6.75 011075544 348500 Cash Out Refinance 7.05 011075548 347606.33 Cash Out Refinance 8.85 011075556 137842.26 Cash Out Refinance 8.8 011075563 219700.77 Cash Out Refinance 7.95 011075566 182727.53 Cash Out Refinance 7.5 011075573 263521.39 Cash Out Refinance 6.5 011075579 84501.76 Cash Out Refinance 8.9 011075592 271950 Cash Out Refinance 6.25 011075594 92942.21 Cash Out Refinance 11.65 011075598 139306.39 Cash Out Refinance 7.85 011075599 310986.83 Cash Out Refinance 6.99 011075600 254533.2 Cash Out Refinance 6.45 011075610 165600 Cash Out Refinance 6.55 011075634 249819.96 Cash Out Refinance 7.65 011075640 280000 Cash Out Refinance 5.99 011075644 297126.97 Cash Out Refinance 8.35 011075659 248790.81 Cash Out Refinance 6.875 011075661 228584.84 Cash Out Refinance 6.5 011075676 144879.46 Cash Out Refinance 6.95 011075695 246400 Cash Out Refinance 5.85 011075700 243603.85 Cash Out Refinance 8.55 011075739 279758.93 Cash Out Refinance 6.75 011075764 107924.39 Purchase 7.79 011075792 254853.02 Cash Out Refinance 11.99 011075815 269813.25 Cash Out Refinance 7.85 021062880 145520 Purchase 5.25 021063234 139513.75 Purchase 6.75 021063549 293534.41 Cash Out Refinance 7.19 021063619 349423.41 Cash Out Refinance 6.99 021063632 123795.97 Purchase 7.25 021063678 267113.31 Cash Out Refinance 7.2 021063779 261110.91 Cash Out Refinance 6.95 021064021 202788.71 Cash Out Refinance 9.25 021064029 319782.62 Cash Out Refinance 7.6 021064105 219623.79 Cash Out Refinance 6.8 021064208 340000 Cash Out Refinance 5.95 021064228 317975.3 Cash Out Refinance 6.99 021064237 154389.42 Purchase 5.99 021064311 299450.83 Cash Out Refinance 6.45 021064331 179701.12 Cash Out Refinance 6.95 021064450 179656.8 Purchase 8.3 021064476 245947.76 Purchase 7.5 021064478 214496.24 Purchase 6.35 021064484 127747.73 Cash Out Refinance 7.85 021064509 164758.71 Cash Out Refinance 7.59 021064559 165000 Cash Out Refinance 7.44 021064620 184664.6 Cash Out Refinance 6.5 021064660 129802.55 Cash Out Refinance 7.4 021064743 254542.16 Cash Out Refinance 6.55 021064746 341616.32 Purchase 8.89 021064786 327559.49 Cash Out Refinance 6.99 021064799 205900.75 Cash Out Refinance 6.85 021064838 159680.04 Cash Out Refinance 5.99 021064844 276000 Cash Out Refinance 5.99 021064863 279602.6 Cash Out Refinance 7.75 021064878 307997.12 Cash Out Refinance 5.7 021064921 250376.65 Cash Out Refinance 7.5 021064923 195687.13 Cash Out Refinance 7.15 021064948 124778.33 Cash Out Refinance 7.9 021064963 206299.11 Cash Out Refinance 6.15 021065010 132791.87 Rate/Term Refinance 7.25 021065015 194776.66 Cash Out Refinance 8.79 021065018 210659.85 Cash Out Refinance 7.1 021065022 151702.36 Purchase 6.1 021065038 195650.82 Purchase 6.59 021065057 257182.69 Cash Out Refinance 7.075 021065079 163000 Cash Out Refinance 7.3 021065085 124393.1 Cash Out Refinance 6.95 021065092 229864.91 Cash Out Refinance 8.65 021065100 263000 Rate/Term Refinance 5.6 021065112 265500 Cash Out Refinance 6.35 021065114 249608.78 Cash Out Refinance 7.25 021065117 355893.2 Cash Out Refinance 6 021065119 151463.71 Cash Out Refinance 8.8 021065125 229195.72 Cash Out Refinance 8.95 021065126 337012.43 Cash Out Refinance 6.8 021065133 254818.2 Cash Out Refinance 7.7 021065135 176209.17 Cash Out Refinance 7.4 021065143 125800.86 Cash Out Refinance 7.2 021065176 161280.33 Cash Out Refinance 7.95 021065180 306000 Cash Out Refinance 5.6 021065189 164864.49 Cash Out Refinance 6.99 021065230 112829.73 Cash Out Refinance 7.44 021065237 233526.06 Cash Out Refinance 6.2 021065242 244000 Cash Out Refinance 6.25 021065264 59976.16 Cash Out Refinance 10.5 021065267 309213.8 Cash Out Refinance 8.375 021065291 79971.42 Cash Out Refinance 10.99 021065331 84940.01 Cash Out Refinance 7.75 021065360 186791.44 Cash Out Refinance 5.4 021065361 204000 Cash Out Refinance 6.95 031033237 161775.17 Cash Out Refinance 7.85 031033530 125734.16 Purchase 7.8 031033691 141808.75 Cash Out Refinance 8 031033726 149287.7 Cash Out Refinance 9.45 031033960 157056.82 Rate/Term Refinance 8.45 031034088 314197.61 Purchase 6.85 031034137 389665.5 Cash Out Refinance 6.9 031034156 188683.09 Rate/Term Refinance 6.9 031034307 273883.05 Cash Out Refinance 6.4 031034395 264681.08 Cash Out Refinance 8.55 031034404 97500 Cash Out Refinance 6.55 031034520 155708.85 Cash Out Refinance 6.35 031034534 142265.7 Purchase 7 031034537 329452.06 Cash Out Refinance 6.95 031034548 79646.32 Cash Out Refinance 8.6 031034604 314516.02 Cash Out Refinance 7.35 031034619 242537.66 Cash Out Refinance 6.25 031034626 164670.66 Cash Out Refinance 6 031034638 270000 Cash Out Refinance 6.95 031034642 279570.45 Cash Out Refinance 7.35 031034657 267444.32 Cash Out Refinance 5.8 031034659 336000 Cash Out Refinance 7.15 031034662 129757.38 Cash Out Refinance 6.35 031034720 189733.64 Cash Out Refinance 7.8 031034722 250000 Cash Out Refinance 6 031034739 211409.32 Cash Out Refinance 6.3 031034741 49949.58 Cash Out Refinance 9.4 031034752 121715.57 Purchase 7.99 031034755 229190.37 Purchase 7.99 031034761 174759.55 Cash Out Refinance 7.9 031034762 254461.18 Cash Out Refinance 5.7 031034763 287436.05 Cash Out Refinance 6.1 031034779 132797.98 Cash Out Refinance 7.4 031034782 288000 Cash Out Refinance 6.79 031034804 225000 Cash Out Refinance 6.65 031034807 229500 Cash Out Refinance 7.6 031034809 297556.3 Cash Out Refinance 7.5 031034816 219731.96 Cash Out Refinance 8.49 031034822 109804.42 Cash Out Refinance 6.6 031034824 164681.69 Cash Out Refinance 6.49 031034827 329000 Cash Out Refinance 5.99 031034828 196900 Cash Out Refinance 6.24 031034840 202682.32 Cash Out Refinance 7.25 031034851 284750 Cash Out Refinance 5.89 031034854 172492.76 Cash Out Refinance 6.6 031034881 359150.85 Cash Out Refinance 7.85 031034888 175000 Cash Out Refinance 6.1 031034891 331448.73 Cash Out Refinance 6.95 031034895 165716.13 Cash Out Refinance 6.8 031034904 176694.36 Cash Out Refinance 6.75 031034915 238500 Cash Out Refinance 5.75 031034920 69896.76 Cash Out Refinance 8.4 031034921 299379.56 Cash Out Refinance 6.1 031034931 149769.88 Cash Out Refinance 7.35 031034970 154630.17 Cash Out Refinance 5.05 031034998 190130.37 Cash Out Refinance 7.75 031035003 205508.48 Cash Out Refinance 5.05 031035004 160997.66 Cash Out Refinance 7.25 031035005 195637.72 Cash Out Refinance 6.4 031035014 277600 Cash Out Refinance 6.05 031035037 303676.91 Cash Out Refinance 9.15 031035041 208621.1 Cash Out Refinance 6.5 031035053 282917.51 Cash Out Refinance 7.99 031035062 150227.16 Purchase 6.5 031035073 336573.13 Cash Out Refinance 8.3 031035078 170091.09 Cash Out Refinance 6.5 031035088 96107.78 Cash Out Refinance 6 031035091 143254.62 Cash Out Refinance 6.8 031035092 211500 Cash Out Refinance 7.4 031035095 194591.84 Cash Out Refinance 5.75 041065018 107876.55 Cash Out Refinance 8.8 041065099 220767.56 Cash Out Refinance 9.2 041065109 124254.39 Purchase 6.7 041065626 123927.92 Cash Out Refinance 8.7 041065658 81910.08 Rate/Term Refinance 9 041065665 105764.88 Purchase 7.55 041066044 130000 Purchase 8.15 041066061 127831.11 Cash Out Refinance 8.1 041066136 239604.63 Cash Out Refinance 6.99 041066296 56640.37 Cash Out Refinance 9.2 041066306 73996.53 Purchase 9.8 041066349 111856.67 Purchase 8.25 041066495 107751.13 Purchase 7.25 041066507 166179.29 Purchase 8.25 041066635 107842.38 Purchase 7.6 041066647 253650 Cash Out Refinance 7.35 041066672 99845.05 Purchase 7.3 041066698 58345.86 Cash Out Refinance 9.8 041066726 96996.99 Purchase 7.85 041066735 93019.65 Purchase 8.25 041066748 62016 Purchase 9.95 041066837 132388.34 Purchase 7.15 041066866 106102.35 Purchase 7.95 041066897 109450.93 Cash Out Refinance 7.95 041066899 157106.79 Purchase 8.25 041066951 113784.85 Purchase 8.35 041066990 82296.78 Purchase 8.3 041066998 243664.74 Cash Out Refinance 7.9 041067013 61423.88 Purchase 9.265 041067026 107814.53 Purchase 9.55 041067048 121306.11 Purchase 7.95 041067054 100468.16 Purchase 7.15 041067056 118101.69 Purchase 7 041067060 63047.86 Purchase 8.8 041067076 123398.18 Cash Out Refinance 10.35 041067122 119826.61 Purchase 7.65 041067215 140052.74 Purchase 7 041067217 139746.18 Purchase 6.5 041067228 166230.26 Cash Out Refinance 7.075 041067231 119793.88 Purchase 9.2 041067273 50827.35 Purchase 9.75 041067275 88166.91 Purchase 9.45 041067291 72130.92 Purchase 9.65 041067292 138511.37 Purchase 7.45 041067329 197023.65 Cash Out Refinance 8.5 041067339 113459.01 Purchase 8.4 041067354 152804.2 Purchase 8.25 041067366 89883.53 Cash Out Refinance 10.25 041067374 191669.6 Rate/Term Refinance 8.8 041067376 51703.3 Purchase 9.9 041067384 136152.72 Purchase 6.5 041067404 59937.99 Purchase 11.2 041067413 130369.75 Rate/Term Refinance 9.45 041067423 125011.3 Purchase 7.6 041067428 87080.2 Cash Out Refinance 7.9 041067434 95711.5 Purchase 7.65 041067454 141796.89 Purchase 7.7 041067460 149789.51 Cash Out Refinance 7.8 041067468 67916.47 Purchase 8.45 041067471 71679.66 Purchase 8.9 041067477 191699.54 Cash Out Refinance 7.25 041067483 102275.48 Purchase 8.5 041067486 126955 Purchase 7.1 041067491 145921.59 Purchase 6.75 041067523 134743.14 Cash Out Refinance 6.25 041067526 89924.2 Cash Out Refinance 10.25 041067551 125778.25 Purchase 9.6 041067592 96828.57 Cash Out Refinance 8.2 041067601 123826.15 Rate/Term Refinance 8.9 041067625 83885.74 Purchase 7.95 041067633 179776.14 Cash Out Refinance 8.39 041067693 160382.95 Cash Out Refinance 8.85 041067699 147798.7 Purchase 7.95 041067702 69484.23 Purchase 12.5 041067706 80640.1 Cash Out Refinance 8.4 041067709 73869.7 Purchase 6.65 041067713 112374.05 Purchase 8.9 041067735 212913.31 Cash Out Refinance 6.5 041067741 140154.94 Cash Out Refinance 7.95 041067746 108508.15 Purchase 7.45 041067793 180082.8 Cash Out Refinance 7 041067797 165785.39 Cash Out Refinance 8.2 041067824 143817.59 Purchase 8.3 041067866 69429.83 Purchase 8.3 041067893 59940.75 Purchase 9.5 041067913 98346.81 Cash Out Refinance 9.05 041067940 104383.11 Cash Out Refinance 7.15 041067947 250252.93 Cash Out Refinance 8.65 041067961 131831.08 Cash Out Refinance 8.25 041067962 131797.5 Cash Out Refinance 7.35 041067964 245779.11 Cash Out Refinance 9.95 041067980 106971.86 Cash Out Refinance 8.578 041067987 131847.55 Cash Out Refinance 8.75 041068000 150750 Cash Out Refinance 8 041068003 156559.41 Cash Out Refinance 8.5 041068009 254270.86 Cash Out Refinance 8.2 041068037 251529.7 Cash Out Refinance 6.35 041068085 103404.05 Purchase 9.8 041068099 85898.61 Cash Out Refinance 8.65 041068106 199824.4 Cash Out Refinance 6.65 041068113 118263.27 Rate/Term Refinance 8.75 041068114 204432.74 Cash Out Refinance 7.3 041068136 40534.35 Cash Out Refinance 7.55 041068138 164884.71 Cash Out Refinance 7.8 041068170 56186.37 Cash Out Refinance 8.85 041068186 264124.93 Cash Out Refinance 6.55 041068189 159744.6 Cash Out Refinance 7.15 041068193 93482.63 Cash Out Refinance 8.35 041068225 134782.38 Cash Out Refinance 7.1 041068231 229319.18 Cash Out Refinance 7.2 041068253 143838.76 Cash Out Refinance 6.5 041068254 239499.93 Cash Out Refinance 6.65 041068262 251677.52 Cash Out Refinance 8.25 041068278 247833.26 Cash Out Refinance 7.99 041068308 140619.82 Cash Out Refinance 8.25 041068326 51950.78 Cash Out Refinance 9.8 041068327 99326.57 Cash Out Refinance 8.4 041068336 111260.35 Purchase 7.1 041068350 281136.09 Cash Out Refinance 6.99 041068356 86939.83 Cash Out Refinance 7.85 041068382 130124.01 Purchase 7.45 041068395 124755.76 Cash Out Refinance 8.75 041068410 91868.4 Purchase 7.7 041068415 95327.77 Cash Out Refinance 7.4 041068422 346213.16 Cash Out Refinance 6.95 041068450 204669.41 Rate/Term Refinance 6.8 041068467 60563.29 Cash Out Refinance 8.5 041068501 275745.6 Cash Out Refinance 6.4 041068527 81462.89 Cash Out Refinance 6.6 041068528 167884.97 Rate/Term Refinance 7.9 041068550 165522.27 Cash Out Refinance 7.9 041068552 243497.85 Cash Out Refinance 10.25 041068559 93280.07 Cash Out Refinance 9.1 041068568 164840.4 Cash Out Refinance 6.15 041068653 184815.83 Cash Out Refinance 6 051056763 139830.96 Cash Out Refinance 8.55 051056823 111738.9 Cash Out Refinance 7.3 051056857 113600 Purchase 8 051056904 122400 Rate/Term Refinance 6 051056917 63053.38 Purchase 7.325 051057021 125345.48 Purchase 8 051057031 49910.99 Cash Out Refinance 8.85 051057103 99988.7 Purchase 6.95 051057191 86287.16 Purchase 8.15 051057206 119806.55 Purchase 7.1 051057212 124853.49 Cash Out Refinance 7.3 051057238 110110.42 Purchase 6.7 051057255 197695.42 Purchase 7.8 051057260 77487.88 Purchase 7.65 051057313 291819.43 Rate/Term Refinance 8.4 051057317 84695 Purchase 7.65 051057333 58583.16 Purchase 10.75 051057349 112800 Purchase 7.05 051057420 129059.24 Purchase 6.9 051057427 107881.58 Cash Out Refinance 9 051057467 143749.64 Cash Out Refinance 8.75 051057481 147756.19 Purchase 6.99 051057483 157428.64 Cash Out Refinance 8.8 051057490 95698.79 Purchase 6.4 051057495 144800 Purchase 6.9 051057505 134258.64 Cash Out Refinance 9.2 051057532 104615.47 Purchase 6.65 051057547 74670.29 Cash Out Refinance 6.7 051057582 85359.75 Purchase 6.35 051057587 100000 Purchase 7.4 051057593 89890.4 Purchase 7.9 051057609 124707.38 Cash Out Refinance 10.85 051057617 74400 Purchase 7.4 051057624 104567.07 Purchase 7.54 051057639 66139.32 Purchase 8.8 051057674 91215.26 Purchase 8.25 051057678 127973.94 Purchase 7.7 051057686 107804.21 Cash Out Refinance 6.5 051057711 137379.62 Purchase 7.15 051057728 111965.63 Purchase 7.15 051057737 126400 Purchase 6.95 051057739 250000 Cash Out Refinance 6.95 051057742 158197.29 Cash Out Refinance 8.25 051057752 134806.88 Cash Out Refinance 7.7 051057754 140536 Purchase 7.75 051057756 125400 Cash Out Refinance 5.85 051057779 124464.12 Purchase 7.95 051057788 111485.06 Purchase 9.3 051057792 98858.39 Purchase 7.7 051057806 127809.43 Rate/Term Refinance 7.5 051057826 107668.92 Cash Out Refinance 8.5 051057835 103043.24 Purchase 7.4 051057879 186740.46 Cash Out Refinance 7.85 051057906 113835.28 Cash Out Refinance 7.65 051057908 113835.28 Cash Out Refinance 7.65 051057955 116862.05 Purchase 8.65 051057969 82976.48 Purchase 6.75 051057978 131880.66 Purchase 8.24 051057982 152463.93 Purchase 6.9 051058003 83899.94 Cash Out Refinance 8.6 051058006 76436.25 Cash Out Refinance 10.3 051058015 49932.68 Cash Out Refinance 8 051058016 121346.1 Cash Out Refinance 8.3 051058023 100868.09 Cash Out Refinance 8.15 051058046 112677.06 Purchase 7.1 051058075 71955.26 Cash Out Refinance 11.65 051058078 135656.39 Purchase 6.15 051058093 216670.4 Cash Out Refinance 7.4 051058102 151750.09 Purchase 7 051058105 100772.13 Purchase 8 051058113 120616.52 Purchase 7.4 051058116 263466.11 Cash Out Refinance 7 051058120 122914.27 Purchase 8 051058127 91965.74 Cash Out Refinance 10.8 051058142 69223.22 Cash Out Refinance 8.95 051058146 144291.21 Rate/Term Refinance 7.65 051058158 131803.47 Cash Out Refinance 7.5 051058164 217202.74 Cash Out Refinance 7.15 051058184 51247.98 Cash Out Refinance 9.375 051058197 102824.03 Cash Out Refinance 6.65 051058208 152259.07 Cash Out Refinance 7.75 051058227 123358.82 Cash Out Refinance 8.8 051058237 49848.75 Cash Out Refinance 8.95 051058248 166305.95 Cash Out Refinance 8.95 051058261 170146.29 Cash Out Refinance 7.5 051058307 115801.64 Purchase 6.8 051058313 66384.04 Purchase 6.7 051058324 184658.05 Cash Out Refinance 6.4 051058336 115818.48 Cash Out Refinance 7.25 051058340 107877.83 Cash Out Refinance 8.85 051058349 92599.4 Cash Out Refinance 9.05 051058359 204004.8 Cash Out Refinance 7.65 051058375 81505.76 Cash Out Refinance 8.75 051058376 111753.62 Cash Out Refinance 10.3 051058385 146617.1 Rate/Term Refinance 6.2 051058397 110182.87 Cash Out Refinance 8.475 051058409 80678.26 Purchase 10 051058430 123253.51 Cash Out Refinance 6 051058446 111024.25 Purchase 7.2 051058465 111835.78 Cash Out Refinance 7.6 051058466 87927.16 Cash Out Refinance 6.95 051058503 113784.75 Cash Out Refinance 7.95 051058541 149216.47 Cash Out Refinance 8.45 051058564 148298.02 Cash Out Refinance 7.95 051058692 146884.82 Cash Out Refinance 7.375 061056562 65475.18 Cash Out Refinance 8.45 061057412 117947.67 Rate/Term Refinance 7.85 061057764 70232.54 Purchase 8.39 061057793 59909.76 Purchase 7.45 061057953 96352.71 Purchase 8.1 061058128 139356.04 Cash Out Refinance 7.05 061058129 98181.74 Purchase 7.55 061058193 107653.65 Purchase 5.65 061058224 80676.72 Rate/Term Refinance 9.9 061058250 65507.1 Purchase 7.75 061058311 60892.68 Purchase 7.15 061058361 126229.46 Purchase 7.99 061058394 130937.3 Cash Out Refinance 7.19 061058461 62526.51 Purchase 8.55 061058465 168485.93 Cash Out Refinance 7.25 061058477 63776.79 Purchase 7.5 061058513 89429.15 Purchase 8.3 061058600 59870.84 Purchase 7.7 061058663 136612.04 Rate/Term Refinance 7.9 061058693 145708.59 Rate/Term Refinance 6 061058702 217243.12 Cash Out Refinance 8.35 061058762 93833.35 Cash Out Refinance 7.65 061058767 97412.23 Purchase 7.45 061058780 68855.57 Purchase 5.75 061058792 61451.13 Purchase 8.9 061058805 76080.09 Rate/Term Refinance 11.74 061058841 102317.37 Cash Out Refinance 10.45 061058865 108641.23 Cash Out Refinance 7.9 061058888 83196.99 Cash Out Refinance 8.85 061058893 58321.15 Purchase 9.35 061058950 64998.29 Purchase 8.65 061058959 140427.29 Purchase 8.45 061058993 72695.66 Purchase 7.69 061058998 103865.56 Purchase 8.2 061059003 101306.89 Cash Out Refinance 6.25 061059009 79873.56 Purchase 7.2 061059012 267810.85 Cash Out Refinance 7.75 061059023 69481.38 Purchase 8.55 061059038 88665.13 Purchase 7.4 061059040 212143.67 Cash Out Refinance 6.9 061059043 87784.85 Purchase 7.34 061059045 79135.4 Rate/Term Refinance 10.4 061059058 102485.14 Purchase 8.9 061059069 57781.1 Cash Out Refinance 8.6 061059073 85466.75 Purchase 8.1 061059111 88476.42 Cash Out Refinance 6.1 061059134 157640.92 Cash Out Refinance 7.025 061059149 89465.84 Purchase 7.5 061059183 83857.76 Cash Out Refinance 6.85 061059192 79847.12 Cash Out Refinance 7.5 061059196 117000.22 Purchase 6.05 061059210 55948.53 Cash Out Refinance 9.84 061059215 116824.04 Cash Out Refinance 7.45 061059245 227934.48 Cash Out Refinance 6.9 061059259 55884.12 Purchase 8.3 061059260 168824.1 Cash Out Refinance 9.25 061059261 113415.06 Purchase 7.05 061059292 143404.1 Cash Out Refinance 6.4 061059293 129952.31 Rate/Term Refinance 7.4 061059310 132390.43 Purchase 7.2 061059320 180264.26 Cash Out Refinance 8.15 061059322 101832.29 Cash Out Refinance 7 061059328 61950.49 Cash Out Refinance 10.55 061059329 194528.4 Rate/Term Refinance 9 061059330 71019.29 Purchase 7.75 061059343 53522.58 Cash Out Refinance 7.7 061059353 56931.41 Cash Out Refinance 8.55 061059355 109110.18 Cash Out Refinance 8.25 061059375 199530.5 Cash Out Refinance 8.99 061059394 216351.9 Cash Out Refinance 7.8 061059404 114186.49 Cash Out Refinance 6.35 061059405 142281.37 Purchase 7.35 061059410 209899.93 Cash Out Refinance 9.65 061059413 129637.83 Cash Out Refinance 6.5 061059425 99833.44 Cash Out Refinance 7.25 061059434 63882.62 Purchase 6.44 061059471 215398.37 Rate/Term Refinance 6.325 061059482 69496.16 Purchase 7.49 061059495 180867.01 Cash Out Refinance 7.55 061059498 105623.79 Rate/Term Refinance 6.8 061059530 160785.36 Cash Out Refinance 6.25 061059546 75781.05 Cash Out Refinance 7.35 061059547 161706.31 Cash Out Refinance 6.5 061059574 135626.21 Cash Out Refinance 6.99 061059622 104422.45 Cash Out Refinance 7.5 061059688 143378.85 Rate/Term Refinance 6.85 071065453 171291.47 Cash Out Refinance 8.5 071065537 68967.81 Cash Out Refinance 9.75 071065540 135199.96 Purchase 6.5 071065951 89817.26 Purchase 7.99 071065968 107770.76 Purchase 7.77 071065988 75266.2 Purchase 10.34 071066147 119969.57 Purchase 5.05 071066165 108000 Purchase 7.25 071066258 87920 Purchase 6.65 071066269 110157.47 Purchase 8.25 071066287 59449.06 Purchase 10.25 071066292 92585.79 Purchase 7.35 071066301 219826.28 Cash Out Refinance 10.55 071066381 179679.94 Rate/Term Refinance 6.6 071066450 164809.44 Cash Out Refinance 8.75 071066459 139849.65 Cash Out Refinance 9.1 071066460 151786.91 Cash Out Refinance 7.8 071066495 289114.39 Cash Out Refinance 6.9 071066498 244457.37 Cash Out Refinance 5.45 071066573 79867.16 Cash Out Refinance 6.95 071066583 317780.85 Cash Out Refinance 7.55 071066592 71827.96 Purchase 8.25 071066621 167157.28 Cash Out Refinance 7.65 071066624 163802.47 Cash Out Refinance 8.55 071066655 160082.3 Cash Out Refinance 7.55 071066661 151719.05 Purchase 6.4 071066676 151775.92 Cash Out Refinance 7.55 071066698 49947.96 Cash Out Refinance 9.25 071066709 88853.08 Purchase 6.99 071066711 144291.21 Cash Out Refinance 7.65 071066722 164691.47 Cash Out Refinance 6.34 071066723 67524.32 Purchase 8.9 071066729 227861.88 Cash Out Refinance 8.5 071066731 165976.12 Purchase 6.99 071066742 78699.79 Cash Out Refinance 8.25 071066754 96257.89 Purchase 7.55 071066775 56962.91 Purchase 8.15 071066781 139886.37 Cash Out Refinance 7.05 071066805 76411.64 Purchase 8.75 071066807 189701.83 Cash Out Refinance 8.075 071066815 113840.18 Cash Out Refinance 7.8 071066816 154782.7 Cash Out Refinance 7.8 071066837 119925.79 Rate/Term Refinance 8.4 071066838 63695.61 Cash Out Refinance 10.19 071066840 122304.52 Cash Out Refinance 7.25 071066858 118794.52 Cash Out Refinance 6.75 071066864 94656 Purchase 7.4 071066871 195175.38 Cash Out Refinance 6.95 071066875 142403.41 Cash Out Refinance 7.95 071066880 83388.88 Cash Out Refinance 8.1 071066889 224780.26 Cash Out Refinance 6.1 071066892 329626.69 Cash Out Refinance 8.85 071066895 165652.99 Cash Out Refinance 7.5 071066901 216420.78 Cash Out Refinance 7.4 071066902 163708.4 Cash Out Refinance 6.6 071066917 65932.64 Purchase 10.99 071066919 202948.25 Cash Out Refinance 6.74 071066922 191722.58 Cash Out Refinance 7.65 071066964 127721.69 Cash Out Refinance 7.85 071066969 130401.43 Cash Out Refinance 6.25 071066970 130243.06 Cash Out Refinance 8.55 071066975 231689 Cash Out Refinance 6.84 071066978 175995.33 Purchase 7.65 071066999 106278.39 Cash Out Refinance 8.8 071067002 134697.12 Purchase 7.45 071067007 182530.53 Cash Out Refinance 7.55 071067009 252000 Cash Out Refinance 7.4 071067021 142975.9 Purchase 7.25 071067043 137388.95 Rate/Term Refinance 7.075 071067064 167172.06 Cash Out Refinance 7.35 071067073 115839 Cash Out Refinance 7.85 071067080 90817.92 Cash Out Refinance 7.625 071067082 311695.3 Cash Out Refinance 6.1 071067101 92894.84 Cash Out Refinance 8.6 071067113 183669.64 Cash Out Refinance 6.55 071067122 231684.46 Cash Out Refinance 7.95 071067123 99794.01 Purchase 6.95 071067129 99929.42 Cash Out Refinance 7.75 071067136 103366.89 Cash Out Refinance 8.25 071067142 137505.79 Cash Out Refinance 7.9 071067148 101303.7 Purchase 9.65 071067149 163208.95 Cash Out Refinance 8.69 071067162 129402.93 Cash Out Refinance 7.45 081054757 133644.35 Cash Out Refinance 6.65 081054939 145709.23 Purchase 6.05 081055126 64261.36 Cash Out Refinance 7.7 081055157 97875.86 Cash Out Refinance 8.3 081055175 135636.42 Purchase 6.99 081055269 135789.37 Purchase 7.75 081055281 69863.78 Purchase 8.2 081055317 144000 Purchase 6.99 081055370 122324.78 Rate/Term Refinance 7.49 081055389 144000 Purchase 7.65 081055408 112533.89 Purchase 7.24 081055465 169695.16 Cash Out Refinance 8.6 081055475 136553.54 Purchase 8.95 081055503 126165.59 Rate/Term Refinance 7.6 081055504 226775.98 Cash Out Refinance 6.35 081055505 144721.62 Cash Out Refinance 7.2 081055522 130933.94 Purchase 8.3 081055620 58402.41 Purchase 8.95 081055657 67874.27 Purchase 8.45 081055665 138039.14 Purchase 7.99 081055680 84376.69 Cash Out Refinance 7.6 081055743 96516.61 Purchase 7.55 081055768 292094.05 Cash Out Refinance 7.85 081055783 131689.22 Cash Out Refinance 7.25 081055814 302663.09 Purchase 5.99 081055839 70465 Cash Out Refinance 8 081055870 107830.99 Purchase 7.25 081055875 65015.94 Purchase 9.9 081055876 150164.65 Purchase 7.25 081055905 59102.48 Purchase 6.99 081055920 53190.19 Rate/Term Refinance 9.05 081055923 100204.14 Purchase 8.75 081055925 138384.97 Purchase 8.6 081055930 153390.8 Purchase 7.95 081055978 163220.45 Cash Out Refinance 8.99 081055988 105241.33 Purchase 6.8 081055990 99867.67 Purchase 8.4 081055997 150229.98 Purchase 7.59 081056006 134786.22 Cash Out Refinance 7.19 081056012 131101.53 Cash Out Refinance 8.85 081056013 97948.66 Cash Out Refinance 9.2 081056015 157043.78 Purchase 6.99 081056019 50618.88 Cash Out Refinance 9.05 081056025 150120.96 Cash Out Refinance 8.6 081056034 111829.87 Cash Out Refinance 7.4 081056035 230000 Cash Out Refinance 6.69 081056043 184750.92 Cash Out Refinance 8 081056097 112024.43 Cash Out Refinance 7.25 081056108 129740.03 Purchase 5.99 081056123 324963.78 Cash Out Refinance 6.99 081056144 85898.61 Cash Out Refinance 8.65 081056152 113833.61 Cash Out Refinance 7.6 081056170 123075.73 Cash Out Refinance 9.4 081056180 199696.21 Cash Out Refinance 7.4 081056181 167728.33 Cash Out Refinance 7.25 081056189 122842.6 Cash Out Refinance 8.25 081056198 73910.02 Cash Out Refinance 8.5 081056212 107830.99 Cash Out Refinance 7.25 081056222 331797.43 Cash Out Refinance 5.7 081056233 324804.63 Cash Out Refinance 11.8 081056255 214923.7 Cash Out Refinance 9.2 081056263 230612.65 Cash Out Refinance 6.9 081056278 211670.86 Cash Out Refinance 7.29 081056288 262412.61 Cash Out Refinance 7.55 081056306 324553.46 Cash Out Refinance 7.9 081056309 179683.04 Cash Out Refinance 6.65 081056313 181742.27 Cash Out Refinance 7.75 081056317 132789.79 Cash Out Refinance 7.2 081056320 59414.89 Cash Out Refinance 7.7 081056329 320000 Rate/Term Refinance 6.75 081056337 115699.45 Purchase 6.25 081056384 104490.47 Cash Out Refinance 8.8 081056424 106175.41 Purchase 5.75 081056426 198116.21 Cash Out Refinance 7.7 081056440 266831.78 Cash Out Refinance 8.6 081056507 199857.41 Cash Out Refinance 7.7 081056524 156536.79 Cash Out Refinance 7.95 081056550 148737.6 Cash Out Refinance 10.25 081056586 94289.84 Cash Out Refinance 8.7 081056656 66971.9 Purchase 10.25 101046782 72119.15 Cash Out Refinance 9.95 101046817 87205.26 Rate/Term Refinance 9.05 101047064 146461.15 Purchase 7.35 101047211 143627.77 Purchase 7.99 101047241 88120.88 Cash Out Refinance 8 101047373 87781.9 Purchase 6.99 101047441 118224.79 Rate/Term Refinance 10.99 101047449 134706.5 Cash Out Refinance 7.65 101047455 95860.4 Purchase 7.4 101047504 116360.69 Purchase 6.8 101047522 108832.97 Rate/Term Refinance 7.99 101047530 54367.4 Cash Out Refinance 11.9 101047594 132809.67 Purchase 7.3 101047611 83937.16 Cash Out Refinance 10.8 101047736 66193.55 Purchase 8.3 101047737 131673.5 Purchase 7 101047807 176353.5 Cash Out Refinance 7.05 101047811 202317.78 Cash Out Refinance 7.2 101047819 224716.32 Rate/Term Refinance 8.25 101047833 99862.59 Purchase 7.9 101047839 274445.85 Cash Out Refinance 5.95 101047842 67936.28 Cash Out Refinance 9.75 101047849 117441.65 Purchase 8 101047852 79105.24 Purchase 8.625 101047870 124159.14 Purchase 8.85 101047879 83108.58 Cash Out Refinance 8.99 101047896 95841.17 Purchase 8.99 101047910 93890.32 Purchase 8.7 101047922 331448.73 Cash Out Refinance 6.95 101047925 160535.09 Cash Out Refinance 6.99 101047956 67917.32 Purchase 8.5 101047958 92039.18 Purchase 10.5 101047960 89379.24 Rate/Term Refinance 7.99 101047983 123210.31 Purchase 8.6 101047998 183212.85 Cash Out Refinance 7.25 101048001 92673.78 Purchase 7.95 101048012 121747.75 Purchase 7.9 101048013 126247.88 Cash Out Refinance 8.55 101048021 73929.18 Purchase 9.65 101048023 73450.68 Rate/Term Refinance 11.3 101048028 75230.92 Rate/Term Refinance 9.9 101048029 91867.08 Purchase 7.65 101048033 59062.84 Cash Out Refinance 8.75 101048056 82694.04 Purchase 8.25 101048075 71907.86 Purchase 8.25 101048082 51953.79 Cash Out Refinance 10 101048084 158220.91 Cash Out Refinance 6.65 101048143 99830.73 Cash Out Refinance 8.85 101048145 95101.94 Cash Out Refinance 9.3 101048190 92458.63 Cash Out Refinance 7.375 101048198 207633.74 Cash Out Refinance 6.65 101048203 86421.1 Purchase 8.8 101048207 113614.51 Rate/Term Refinance 8.6 101048212 83105.87 Cash Out Refinance 8.85 101048213 102264.89 Rate/Term Refinance 8.1 101048217 120664.76 Purchase 8.9 101048233 84680.88 Cash Out Refinance 10.4 101048234 118214.36 Purchase 7.24 101048237 121503.98 Purchase 10.55 101048247 81898.23 Purchase 8.4 101048252 161278.11 Cash Out Refinance 7.9 101048259 135816.89 Cash Out Refinance 8 101048263 82409.34 Purchase 8.99 101048265 195768.91 Cash Out Refinance 8.65 101048278 127841.15 Purchase 8.4 101048292 240125.22 Rate/Term Refinance 8.8 101048294 52927.18 Cash Out Refinance 7.9 101048314 130609 Rate/Term Refinance 7.6 101048318 96813.72 Cash Out Refinance 9.99 101048328 72685.22 Cash Out Refinance 9.99 101048332 145399.95 Rate/Term Refinance 7.9 101048336 59933.79 Cash Out Refinance 9.75 101048342 96698.19 Cash Out Refinance 9.2 101048347 65961.95 Cash Out Refinance 11.99 101048364 71936.72 Cash Out Refinance 10.05 101048377 74921.93 Cash Out Refinance 9.25 101048378 149401.82 Rate/Term Refinance 8.6 101048389 319645.44 Cash Out Refinance 8.95 101048393 65538.53 Cash Out Refinance 9.75 101048412 120380.82 Purchase 7.65 101048425 116352.43 Rate/Term Refinance 8.3 101048427 67281.44 Cash Out Refinance 9 101048430 219694.66 Cash Out Refinance 7.85 101048445 71934.65 Cash Out Refinance 9.9 101048446 76701.72 Cash Out Refinance 8.25 101048450 75895.58 Cash Out Refinance 7.9 101048453 119428.86 Purchase 9.3 101048461 292404.97 Rate/Term Refinance 7.99 101048466 56972.63 Rate/Term Refinance 7.99 101048470 119792.78 Rate/Term Refinance 6.75 101048473 241601.32 Rate/Term Refinance 6.99 101048476 50356.86 Cash Out Refinance 10.2 101048477 104876.2 Cash Out Refinance 8.65 101048481 87855.02 Cash Out Refinance 6.99 101048483 143073.67 Cash Out Refinance 8.44 101048485 168969.95 Rate/Term Refinance 7.5 101048489 75411 Cash Out Refinance 8.65 101048500 175865.43 Cash Out Refinance 10.7 101048505 113911.89 Cash Out Refinance 10.65 101048508 153331.33 Rate/Term Refinance 8.99 101048530 110268.23 Cash Out Refinance 8.59 101048535 79897.63 Cash Out Refinance 8.25 101048550 103893.99 Cash Out Refinance 9.35 101048560 51952.31 Cash Out Refinance 9.85 101048582 82578.17 Purchase 9.85 101048603 66925.79 Purchase 7.55 101048621 343791.61 Cash Out Refinance 8.5 101048623 61547.56 Purchase 10.2 101048688 121518.36 Purchase 11.3 111000017 209637.36 Cash Out Refinance 6.75 111000039 188701.29 Cash Out Refinance 7.2 111000082 72952 Cash Out Refinance 8.1 111000085 204076.95 Cash Out Refinance 7.2 111000090 264386.48 Cash Out Refinance 6.1 111000100 187678.13 Cash Out Refinance 6.8 121038558 142486.41 Cash Out Refinance 7.6 121039078 78658.69 Purchase 8.6 121039193 60726.89 Purchase 10.5 121039209 224660.22 Cash Out Refinance 7.6 121039284 78688.69 Purchase 7.1 121039323 96807.37 Purchase 8.1 121039418 81386.6 Purchase 7.45 121039432 88771.74 Purchase 7.59 121039548 99865.08 Cash Out Refinance 7.99 121039647 78429.24 Purchase 10.2 121039666 175658.4 Cash Out Refinance 7.3 121039669 111876.94 Cash Out Refinance 8.99 121039712 135704.31 Purchase 7.65 121039745 81959 Purchase 7.55 121039756 98164.29 Purchase 7.99 121039796 144793.99 Cash Out Refinance 7.734 121039797 67478.8 Purchase 8.6 121039852 65500.37 Purchase 9.4 121039886 75876.85 Purchase 9.09 121039935 65636.47 Purchase 9.6 121039986 109860.66 Purchase 8.3 121040005 160200 Cash Out Refinance 6.95 121040007 144720 Purchase 6.85 121040060 147691.62 Purchase 6.65 121040077 140411.27 Purchase 8.1 121040089 79869.71 Purchase 9.35 121040094 85412.45 Cash Out Refinance 9.35 121040098 131317.97 Purchase 7.1 121040119 95857.05 Purchase 7.5 121040129 117720.33 Purchase 6.85 121040138 99786.9 Purchase 7.75 121040158 148526.31 Cash Out Refinance 7.45 121040171 54436.07 Purchase 8.75 121040192 70281.67 Purchase 8.2 121040203 246053.83 Cash Out Refinance 7.375 121040230 53713.24 Purchase 10.1 121040235 80156.36 Purchase 8.7 121040248 341761.04 Rate/Term Refinance 7.8 121040299 131755.55 Rate/Term Refinance 6.39 121040332 126192.18 Rate/Term Refinance 7 121040355 168500 Cash Out Refinance 6.2 121040360 73507.52 Purchase 8.34 121040364 116165.86 Cash Out Refinance 7.625 121040372 52938.42 Purchase 8.8 121040377 130465.84 Purchase 8.49 121040416 136609.03 Cash Out Refinance 6.65 121040425 236000 Rate/Term Refinance 6.99 121040452 95180.33 Purchase 7.35 121040458 105843.43 Purchase 7.54 121040475 186718.79 Cash Out Refinance 7.45 121040479 103864.16 Cash Out Refinance 8.15 121040489 140292.89 Cash Out Refinance 7.55 121040496 128104.58 Cash Out Refinance 9.5 121040503 137489.8 Cash Out Refinance 7.375 121040511 111846.12 Rate/Term Refinance 7.9 121040521 207744.15 Cash Out Refinance 7.45 121040529 174189.88 Cash Out Refinance 8.1 121040534 123907.79 Cash Out Refinance 7.49 121040546 303589.84 Cash Out Refinance 7.99 121040560 118628.35 Purchase 7.65 121040569 99935.08 Cash Out Refinance 6.99 121040582 121423.42 Purchase 7.625 121040603 134796.98 Cash Out Refinance 7.45 121040607 207710.74 Cash Out Refinance 7.84 121040618 129985.14 Cash Out Refinance 8.3 121040637 126202.56 Cash Out Refinance 8.7 121040640 252000 Cash Out Refinance 6.95 121040643 83403.89 Cash Out Refinance 9.3 121040649 71479.08 Rate/Term Refinance 11.9 121040650 217640.86 Cash Out Refinance 6.99 121040656 199766.64 Cash Out Refinance 8.7 121040679 49906.32 Cash Out Refinance 7.65 121040682 79928.03 Cash Out Refinance 6.525 121040689 49918.73 Cash Out Refinance 8.4 121040704 126769.32 Cash Out Refinance 6.49 121040714 199507.14 Cash Out Refinance 8.5 121040724 118863.98 Cash Out Refinance 8.8 121040730 184778.09 Cash Out Refinance 6.75 121040732 72833.71 Cash Out Refinance 9.89 121040744 129351.27 Purchase 7.3 121040773 129873.75 Cash Out Refinance 6.45 121040783 183785.3 Cash Out Refinance 8.7 121040790 82338.85 Cash Out Refinance 7.5 121040791 150872.52 Rate/Term Refinance 6.85 121040811 147790.41 Cash Out Refinance 7.75 121040812 134357.53 Cash Out Refinance 7.7 121040818 129749.78 Cash Out Refinance 6.19 121040834 151759.76 Cash Out Refinance 7.2 121040841 220547.62 Cash Out Refinance 8.8 121040855 184351.73 Cash Out Refinance 7.1 121040861 128596.03 Purchase 7.19 121040869 49915.01 Cash Out Refinance 7.99 121040878 355943.28 Rate/Term Refinance 6.75 121040890 135838.81 Cash Out Refinance 6.75 121040893 169356.91 Cash Out Refinance 7.69 121041005 50375.47 Cash Out Refinance 9.55 121041112 148697.08 Purchase 7.85 131030876 72101.58 Rate/Term Refinance 11.3 131031301 71173.47 Cash Out Refinance 9.1 131031373 101838.45 Rate/Term Refinance 9.2 131031552 82122.46 Purchase 7.2 131031694 75824.3 Purchase 9.05 131031838 69865.15 Cash Out Refinance 8.25 131031899 59389.96 Rate/Term Refinance 8.45 131031967 107758.05 Purchase 7.5 131032021 92631.61 Purchase 7.49 131032097 66186.85 Cash Out Refinance 8.84 131032116 56598.33 Cash Out Refinance 8.6 131032164 71124.84 Purchase 8.7 131032192 238937.16 Cash Out Refinance 8.99 131032227 63391.65 Purchase 8.1 131032380 126780 Purchase 7.3 131032404 49973.99 Cash Out Refinance 12.45 131032412 74612.84 Purchase 8.7 131032457 137750 Rate/Term Refinance 7.6 131032462 107739.94 Cash Out Refinance 8.2 131032473 118028.79 Purchase 7.025 131032486 58717.57 Purchase 7.8 131032529 67529.63 Purchase 9.25 131032531 123651.96 Purchase 6.35 131032565 63853.48 Purchase 9.25 131032571 105344.79 Purchase 6.95 131032588 213431.1 Cash Out Refinance 7.49 131032594 68300.39 Purchase 9.6 131032599 67107.68 Cash Out Refinance 7.9 131032606 97424.77 Purchase 6.55 131032616 94214.44 Purchase 8.15 131032637 88166.4 Purchase 7.875 131032658 74857.02 Purchase 7.9 131032659 97761.1 Purchase 7.99 131032682 150412.1 Purchase 6.8 131032704 88678.98 Purchase 7.94 131032713 66046.49 Purchase 7.55 131032718 65533.12 Purchase 9.35 131032719 168017.26 Cash Out Refinance 7.19 131032737 92725.55 Cash Out Refinance 9.75 131032752 102467.35 Cash Out Refinance 8.2 131032782 87794.24 Purchase 7.7 131032796 149499.42 Rate/Term Refinance 7.99 131032800 65431.79 Purchase 8 131032817 53969.63 Rate/Term Refinance 12.1 131032833 166003.71 Cash Out Refinance 7.525 131032834 66324.11 Purchase 8.8 131032861 260746.31 Purchase 7.25 131032862 91810.51 Purchase 8.6 131032878 93957.12 Cash Out Refinance 9.5 131032901 220161.73 Rate/Term Refinance 7.35 131032902 144619.89 Purchase 6.65 131032923 119416.52 Purchase 7.35 131032925 76885.09 Cash Out Refinance 7.489 131032937 102280.29 Purchase 8.3 131032953 115133.72 Rate/Term Refinance 8.75 131032954 142286.59 Purchase 7.5 131032969 50342.99 Purchase 8.85 131032970 132556.27 Cash Out Refinance 7.6 131032975 82734.06 Purchase 6.65 131032998 55952.06 Cash Out Refinance 10.2 131033004 137739.96 Cash Out Refinance 6.3 131033013 83601.32 Cash Out Refinance 8.65 131033014 89893.9 Cash Out Refinance 8.65 131033018 75311.1 Cash Out Refinance 8.65 131033021 67420.42 Cash Out Refinance 8.65 131033022 61050.71 Cash Out Refinance 10.45 131033023 66426.26 Rate/Term Refinance 8.97 131033032 148704.87 Purchase 6.6 131033050 76696.6 Purchase 8 131033053 112651.18 Purchase 8.1 131033073 130961.83 Cash Out Refinance 9.19 131033087 49984.2 Cash Out Refinance 11.55 131033114 152804.2 Cash Out Refinance 8.25 131033115 95813.8 Purchase 6.15 131033147 89661.85 Purchase 6.65 131033150 89471.83 Purchase 7.7 131033159 103339.62 Cash Out Refinance 7.3 131033160 150073.96 Cash Out Refinance 7.45 131033164 152769.91 Cash Out Refinance 7.45 131033182 80034.46 Cash Out Refinance 10.385 131033194 154587.32 Cash Out Refinance 7.9 131033206 139765.25 Cash Out Refinance 6.9 131033213 127996.81 Rate/Term Refinance 6.95 131033251 312000 Rate/Term Refinance 5.45 131033259 187771.43 Cash Out Refinance 6.7 131033279 99845.43 Cash Out Refinance 9 131033284 155533.58 Cash Out Refinance 6.8 131033296 53170.33 Cash Out Refinance 8.9 131033304 242031.01 Cash Out Refinance 6.5 131033305 132000 Rate/Term Refinance 5.99 131033327 240803 Rate/Term Refinance 6 131033372 121409.83 Cash Out Refinance 7.5 131033398 82432.38 Cash Out Refinance 7 131033420 106256.46 Rate/Term Refinance 7.99 131033458 61733.1 Rate/Term Refinance 12.2 131033461 140749.29 Cash Out Refinance 6.6 141045827 49955.09 Purchase 9.975 141045942 87900.25 Cash Out Refinance 8.84 141046098 153407.75 Purchase 7.99 141046128 106828.78 Cash Out Refinance 7.44 141046257 49930.6 Cash Out Refinance 7.85 141046366 239725.68 Cash Out Refinance 8.8 141046446 85421.58 Purchase 9.85 141046449 152250.69 Cash Out Refinance 7.75 141046465 279531.77 Cash Out Refinance 7.25 141046488 124693.49 Cash Out Refinance 6.99 141046619 101029.97 Purchase 6.89 141046702 92590 Purchase 7.45 141046721 111773.83 Purchase 8.15 141046732 77639.21 Purchase 7.75 141046739 98126.65 Purchase 7.75 141046760 108190.2 Purchase 9.375 141046773 324486.34 Cash Out Refinance 7.2 141046813 157295.45 Cash Out Refinance 8.05 141046814 90458.96 Purchase 8.35 141046847 71093.99 Purchase 7.5 141046859 148230.98 Purchase 8.55 141046882 204740.27 Purchase 7.5 141046891 267150 Cash Out Refinance 6.2 141046900 147659.54 Purchase 6.65 141046956 82388.69 Cash Out Refinance 7.99 141046987 217346.61 Cash Out Refinance 8.71 141047023 95182.28 Purchase 7.65 141047035 99906.32 Cash Out Refinance 9.75 141047057 58557.71 Purchase 9.55 141047078 130565.16 Purchase 6.55 141047094 196910.01 Cash Out Refinance 6.025 141047112 94395.29 Purchase 8.95 141047121 149144.46 Purchase 6.99 141047142 143716.24 Purchase 8 141047174 131778.67 Purchase 6.9 141047197 119835.12 Cash Out Refinance 7.9 141047204 59896.39 Rate/Term Refinance 6.75 141047206 136817.39 Purchase 8.05 141047207 144516.08 Purchase 7.3 141047212 191837.9 Rate/Term Refinance 6.85 141047245 236967.39 Cash Out Refinance 8.6 141047262 143851.69 Purchase 9.3 141047263 129701.13 Cash Out Refinance 5.25 141047264 121420.75 Purchase 7.55 141047300 117300.82 Cash Out Refinance 6.95 141047302 67908.44 Purchase 8 141047333 156770.03 Purchase 7.25 141047335 314476.96 Cash Out Refinance 6.95 141047402 62821.93 Purchase 8.4 141047403 69215.73 Cash Out Refinance 8.5 141047424 123795.73 Cash Out Refinance 6.99 141047451 296401.5 Cash Out Refinance 5.95 141047459 214656.82 Cash Out Refinance 7.15 141047497 109848.86 Cash Out Refinance 7.9 141047502 79865.86 Cash Out Refinance 6.9 141047525 164363.91 Cash Out Refinance 6.99 141047528 76703.15 Cash Out Refinance 6.99 141047553 109954.37 Cash Out Refinance 10.3 141047557 163693.92 Cash Out Refinance 6.35 141047575 65930.57 Cash Out Refinance 9.2 141047594 50327.17 Cash Out Refinance 7.65 141047595 209615.57 Cash Out Refinance 6.45 141047605 174766.76 Cash Out Refinance 8.05 141047621 140145.91 Cash Out Refinance 7.5 141047649 279499.61 Cash Out Refinance 7.7 141047650 118623.11 Purchase 7.5 141047658 259612.87 Cash Out Refinance 7.5 141047676 169637.39 Cash Out Refinance 5.65 141047682 111230.39 Cash Out Refinance 6.65 141047692 367715.77 Cash Out Refinance 7.3 141047717 324000 Cash Out Refinance 7.9 141047719 90414.34 Purchase 7.5 141047731 179191 Cash Out Refinance 6.6 141047745 219797.84 Cash Out Refinance 6.5 141047748 175178.74 Cash Out Refinance 6.45 141047750 90248.43 Purchase 6.9 141047752 292009.53 Cash Out Refinance 6.9 141047761 294560.77 Cash Out Refinance 7.5 141047794 212241.63 Cash Out Refinance 8.5 141047802 119812.21 Cash Out Refinance 7.25 141047807 206763.4 Cash Out Refinance 8.8 141047810 66509.42 Cash Out Refinance 7.95 141047815 314377.25 Rate/Term Refinance 6.05 141047816 110196.6 Purchase 7.05 141047819 174709.42 Cash Out Refinance 6.95 141047826 63129.98 Purchase 8.95 141047838 121434.61 Purchase 7.95 141047844 213612.03 Cash Out Refinance 6.5 141047845 125185.57 Purchase 6.8 141047859 358917.86 Cash Out Refinance 6.25 141047860 176389.5 Cash Out Refinance 7.9 141047874 170704.73 Cash Out Refinance 6.75 141047882 129399.19 Purchase 7.3 141047892 98660.07 Cash Out Refinance 7.75 141047897 152793.58 Cash Out Refinance 7.99 141047921 199744.06 Cash Out Refinance 8.25 141047922 49954.15 Cash Out Refinance 9.85 141047929 174722.04 Cash Out Refinance 7.175 141047932 115504.07 Rate/Term Refinance 7.99 141047941 199468.41 Cash Out Refinance 6.2 141047944 119484.54 Cash Out Refinance 7.15 141047957 165372.21 Cash Out Refinance 9.1 141047960 142253.93 Cash Out Refinance 6.75 141047962 104371.63 Cash Out Refinance 8.45 141047964 279544.43 Cash Out Refinance 7.1 141047965 323071.79 Cash Out Refinance 6.15 141047986 289523.19 Cash Out Refinance 7 141047987 55199.31 Cash Out Refinance 9.85 141047995 254825.84 Cash Out Refinance 9.25 141047996 318861.07 Cash Out Refinance 5.99 141048002 299429.22 Cash Out Refinance 6.25 141048004 143793.6 Cash Out Refinance 7.69 141048016 299456.13 Cash Out Refinance 6.5 141048023 218000 Cash Out Refinance 5.99 141048031 223593.12 Cash Out Refinance 6.49 141048033 192614.04 Cash Out Refinance 5.99 141048035 224687.74 Cash Out Refinance 7.85 141048038 185132.47 Cash Out Refinance 8.275 141048040 59815.59 Cash Out Refinance 7.3 141048042 177360.38 Cash Out Refinance 7.99 141048061 201651.18 Cash Out Refinance 6.75 141048072 120894.54 Cash Out Refinance 6.25 141048097 305417.81 Cash Out Refinance 6.25 141048100 263237.83 Cash Out Refinance 7.9 141048109 157356.23 Cash Out Refinance 6.45 141048132 59919.05 Purchase 7.99 141048179 229618.1 Cash Out Refinance 6.95 141048246 289761.82 Cash Out Refinance 6.99 141048323 97491.45 Cash Out Refinance 8.99 141048324 110207.72 Cash Out Refinance 8.99 151028158 77899.84 Purchase 7.5 151028255 130316.67 Purchase 7.79 151028295 157312.01 Rate/Term Refinance 8.59 151028550 64896.25 Cash Out Refinance 7.15 151028598 135920 Purchase 7.85 151028635 148590.34 Cash Out Refinance 7.15 151028642 66308.76 Purchase 7.9 151028659 98118.42 Purchase 6.25 151028672 59877.18 Purchase 7.95 151028699 105827.43 Purchase 7.05 151028709 100584.02 Cash Out Refinance 6.99 151028711 71848.38 Purchase 9.51 151028766 143837.94 Rate/Term Refinance 8.875 151028767 125732.62 Purchase 8.85 151028771 197759.25 Cash Out Refinance 8.5 151028797 161343.67 Cash Out Refinance 7.44 151028805 71121.73 Purchase 9.25 151028806 280034.26 Cash Out Refinance 6.95 151028811 71907.66 Purchase 8.24 151028832 223897.69 Cash Out Refinance 9.85 151028840 199725.22 Cash Out Refinance 7.9 151028847 59916.73 Cash Out Refinance 7.85 151028864 62493.51 Purchase 9.15 151028871 323833.25 Cash Out Refinance 7.575 151028883 143770.14 Purchase 7.15 151028899 249874.41 Cash Out Refinance 9.4 151028922 185129.43 Cash Out Refinance 7.6 151028935 119836.78 Cash Out Refinance 7.95 151028946 131818.64 Cash Out Refinance 7.9 151028953 126941.23 Purchase 5.9 151028963 199821.92 Rate/Term Refinance 9.99 151028968 127767.94 Purchase 6.5 151028999 128546.27 Cash Out Refinance 8.45 151029001 95878.4 Cash Out Refinance 8.3 151029005 119844.36 Purchase 8.19 151029013 279502.15 Cash Out Refinance 6.6 151029022 87645.48 Cash Out Refinance 8.6 151029033 79930.04 Cash Out Refinance 10.075 151029039 81732.35 Cash Out Refinance 7.8 151029042 92631.74 Cash Out Refinance 8.65 151029046 139884.09 Purchase 8.1 151029049 91895.92 Purchase 8.85 151029052 199758.35 Rate/Term Refinance 8.55 151029055 199646.12 Cash Out Refinance 6.625 151029069 132257.45 Purchase 6.45 151029077 161080.62 Cash Out Refinance 7.95 151029079 201227.37 Cash Out Refinance 6.4 151029134 206809.2 Cash Out Refinance 6.4 151029196 188704.24 Cash Out Refinance 7.25 161040128 50851.24 Purchase 6.15 161040458 471282.36 Cash Out Refinance 7.395 161040582 83889.17 Cash Out Refinance 8.1 161041076 79826.12 Cash Out Refinance 5.55 161041197 199683.25 Rate/Term Refinance 9.2 161041248 174499.24 Rate/Term Refinance 6.25 161041323 155549.33 Rate/Term Refinance 6.2 161041362 135014.57 Purchase 7.8 161041479 230218.47 Cash Out Refinance 7.2 161041531 276292.73 Cash Out Refinance 7.45 161041562 141275.61 Purchase 6.75 161041588 346146.49 Cash Out Refinance 6.3 161041634 226400 Rate/Term Refinance 6.4 161041679 214827.21 Cash Out Refinance 7.1 161041680 84874.69 Cash Out Refinance 7.55 161041712 193203 Cash Out Refinance 6.4 161041810 195771.29 Cash Out Refinance 8.7 161041813 179526.9 Cash Out Refinance 7.4 161041818 231586.68 Cash Out Refinance 6.59 161041833 223000 Cash Out Refinance 6.1 161041874 250332.49 Purchase 8.3 161041878 141840.49 Purchase 8.99 161041907 204967.69 Cash Out Refinance 6.2 161041917 99841.64 Cash Out Refinance 7.19 161041918 341485.67 Cash Out Refinance 7.45 161041943 134161.02 Purchase 6.6 161041960 202665.58 Cash Out Refinance 6.99 161041985 265553.96 Cash Out Refinance 6.9 161041989 259593.12 Cash Out Refinance 7.25 161041993 464139.33 Cash Out Refinance 6.4 161041995 128000 Purchase 7 161042000 284690.71 Purchase 9.05 161042002 229699.61 Cash Out Refinance 8.15 161042019 130281.19 Cash Out Refinance 6.9 161042035 357299.38 Cash Out Refinance 6.5 161042049 214499.8 Cash Out Refinance 5.5 161042078 159752.09 Cash Out Refinance 7.3 161042085 292000 Cash Out Refinance 7.55 161042135 247591.45 Cash Out Refinance 6.99 161042165 253800 Cash Out Refinance 6.4 161042166 552168.12 Cash Out Refinance 7.45 161042188 220647.23 Cash Out Refinance 7.15 161042196 109811.89 Cash Out Refinance 6.8 161042199 269652.06 Cash Out Refinance 8.55 161042201 186000 Cash Out Refinance 7.75 161042205 343430.07 Cash Out Refinance 6.35 161042208 179673.68 Cash Out Refinance 6.5 161042212 164713.68 Cash Out Refinance 6.725 161042213 220625.78 Cash Out Refinance 6.85 161042218 165410.35 Cash Out Refinance 7.65 161042222 150238.47 Cash Out Refinance 9.1 161042230 123790.03 Rate/Term Refinance 6.85 161042247 114498.22 Cash Out Refinance 5.5 161042253 117764.47 Rate/Term Refinance 6 161042269 144877.58 Cash Out Refinance 6.85 161042277 204598.57 Cash Out Refinance 6.1 161042278 170601 Cash Out Refinance 7.35 161042281 227499.74 Cash Out Refinance 5.5 161042294 167749.86 Cash Out Refinance 7.5 161042301 260647.86 Cash Out Refinance 7.99 161042302 193178.71 Cash Out Refinance 6.95 161042310 226721.09 Cash Out Refinance 9.4 161042315 53461.47 Cash Out Refinance 10.975 161042323 128394.24 Cash Out Refinance 6.5 161042327 202610.04 Cash Out Refinance 6.2 161042348 239755.37 Cash Out Refinance 9.35 161042350 111290.62 Cash Out Refinance 6.99 161042351 296461.57 Cash Out Refinance 6.5 161042352 245698.24 Cash Out Refinance 8.05 161042355 242819.66 Cash Out Refinance 7.5 161042356 270978.46 Cash Out Refinance 6.2 161042372 138069.77 Cash Out Refinance 5.05 161042376 199687.02 Rate/Term Refinance 7.25 161042378 184821.06 Cash Out Refinance 6.15 161042385 289493.33 Cash Out Refinance 6.69 161042387 129765.52 Cash Out Refinance 7.15 161042390 279535.09 Cash Out Refinance 6.95 161042393 299429.22 Cash Out Refinance 6.25 161042395 212524.3 Cash Out Refinance 8.25 161042401 89813.39 Cash Out Refinance 5.8 161042404 173710.53 Cash Out Refinance 6.94 161042409 190000 Cash Out Refinance 6.65 161042410 256142.65 Cash Out Refinance 7.85 161042424 81034.8 Cash Out Refinance 5.9 161042434 151793.26 Cash Out Refinance 7.95 161042459 203675.75 Cash Out Refinance 7.95 161042462 442299.85 Cash Out Refinance 7.2 161042464 179704.06 Cash Out Refinance 7 161042484 133323.86 Cash Out Refinance 8.1 161042488 145000 Cash Out Refinance 6.54 161042489 130281.19 Cash Out Refinance 6.9 161042491 157795.74 Cash Out Refinance 8.2 161042493 197637.55 Cash Out Refinance 6.45 161042497 233505.57 Cash Out Refinance 6.3 161042506 332509.12 Cash Out Refinance 7.55 161042511 154780.5 Cash Out Refinance 7.75 161042513 199680.77 Cash Out Refinance 7.15 161042524 208941.53 Cash Out Refinance 7.55 161042582 316373.28 Cash Out Refinance 6.05 161042588 301408.64 Cash Out Refinance 6.1 161042615 99913.05 Cash Out Refinance 6.7 161042624 202296.23 Cash Out Refinance 5.95 161042641 220769.42 Cash Out Refinance 5.54 161042655 122765.91 Cash Out Refinance 7 161042688 368676.03 Cash Out Refinance 6.65 161042781 244799.18 Cash Out Refinance 7 171024698 89817.62 Rate/Term Refinance 8 171025182 161534.02 Cash Out Refinance 7.375 171025358 74831.13 Purchase 7.475 171025420 134174.63 Purchase 6.9 171025428 152358.58 Purchase 6.2 171025508 106379.31 Cash Out Refinance 8.29 171025511 148183.54 Cash Out Refinance 7.75 171025563 241314.79 Purchase 7.8 171025566 127183.78 Cash Out Refinance 7 171025611 139799.74 Purchase 7.7 171025638 120000 Purchase 5.5 171025672 163254.12 Rate/Term Refinance 7.45 171025689 149997.31 Purchase 7.2 171025690 113290.25 Purchase 7.35 171025761 123847.37 Cash Out Refinance 8.44 171025800 136000 Purchase 6.9 171025845 144200 Purchase 6.29 171025852 148000 Purchase 6.8 171025881 157302.51 Purchase 8.35 171025884 67859.65 Purchase 7.99 171025894 103600 Purchase 6.7 171025901 127770.49 Purchase 8.6 171025916 337110.24 Cash Out Refinance 8.75 171025923 108000 Purchase 6.8 171025934 211757.47 Cash Out Refinance 8.8 171025982 122360.11 Purchase 7.3 171026008 143824.54 Cash Out Refinance 8.49 171026009 50959.74 Purchase 10.55 171026042 55817.59 Purchase 7.55 171026045 172000 Cash Out Refinance 6.35 171026050 187759.42 Cash Out Refinance 8.25 171026055 134764.58 Cash Out Refinance 6.7 171026067 76286.88 Purchase 7.6 171026070 133600 Purchase 5.9 171026090 128062.83 Purchase 7.6 171026094 128073.78 Cash Out Refinance 7.9 171026099 135775.95 Cash Out Refinance 6.99 171026110 237595.08 Purchase 8.4 171026126 152800.18 Purchase 8.15 171026127 114136.51 Cash Out Refinance 7.7 171026128 96704.39 Cash Out Refinance 9.5 171026132 121319.09 Purchase 7.5 171026147 174005.21 Cash Out Refinance 7.79 171026148 113450.12 Purchase 8.1 171026154 127793.65 Purchase 7.1 171026174 88662.4 Purchase 7.3 171026195 135751.03 Cash Out Refinance 6.45 171026219 237695.44 Cash Out Refinance 8.25 171026225 206550 Cash Out Refinance 7.35 171026251 275628.39 Rate/Term Refinance 8 171026253 279666.49 Cash Out Refinance 8.6 171026261 253500 Cash Out Refinance 6.25 171026269 119903.18 Purchase 10.45 171026288 147999.38 Cash Out Refinance 7.7 171026327 183361.47 Cash Out Refinance 8.19 171026330 161032.45 Cash Out Refinance 7.99 171026337 136073.69 Purchase 6.95 171026373 139698.54 Rate/Term Refinance 5.6 171026388 136302.77 Cash Out Refinance 7.65 171026400 265611.71 Cash Out Refinance 6.99 171026406 167778.33 Rate/Term Refinance 8.1 171026411 96150.79 Cash Out Refinance 7.3 171026416 197780.62 Cash Out Refinance 8.95 171026430 177353.4 Cash Out Refinance 6.99 171026454 90092.64 Purchase 6.7 171026480 249612.63 Cash Out Refinance 7.3 171026533 270326.31 Cash Out Refinance 7.25 171026645 229346.01 Cash Out Refinance 8 171026654 139879.46 Purchase 6.75 191023716 54251.96 Purchase 8.9 191023857 119671.39 Rate/Term Refinance 7.95 191024176 88132.3 Purchase 7.65 191024290 69808.31 Cash Out Refinance 7.95 191024466 154539.08 Cash Out Refinance 8.9 191024551 149743.23 Cash Out Refinance 8.825 191024583 248303.37 Cash Out Refinance 6.75 191024687 267367 Cash Out Refinance 7.7 191024701 63676.73 Cash Out Refinance 8.15 191024713 66647.33 Purchase 7.4 191024736 136000 Purchase 7.15 191024738 148605.37 Rate/Term Refinance 8.19 191024748 69089.55 Purchase 7.15 191024838 153945.79 Purchase 7 191024887 67887.17 Purchase 7.95 191024901 220647.26 Cash Out Refinance 7.19 191024908 92687.97 Purchase 8.55 191024938 130000 Purchase 6.5 191024996 253743.03 Purchase 9.45 191025025 163505.9 Rate/Term Refinance 6.55 191025047 264385.62 Cash Out Refinance 7.25 191025054 194400 Rate/Term Refinance 6.4 191025058 117909.83 Cash Out Refinance 7.5 191025066 178163.63 Cash Out Refinance 6.3 191025080 156862 Cash Out Refinance 10.05 191025121 101897.76 Rate/Term Refinance 9.43 191025149 242058.28 Cash Out Refinance 7.95 191025153 216420.13 Cash Out Refinance 7.55 191025166 60344.9 Purchase 9.875 191025176 319208.5 Cash Out Refinance 7 191025209 291518.96 Cash Out Refinance 6.99 191025227 239777.52 Cash Out Refinance 9.8 191025241 143693.57 Purchase 7.45 191025250 241931.02 Cash Out Refinance 8.11 191025278 131837.85 Cash Out Refinance 8.45 191025287 153806.56 Cash Out Refinance 8.9 191025289 350000 Cash Out Refinance 5.55 191025290 161370.68 Cash Out Refinance 7.74 191025305 195751.39 Cash Out Refinance 8.1 191025317 87761.39 Purchase 8.2 191025323 211220.96 Cash Out Refinance 8.1 191025324 59949.89 Cash Out Refinance 10.29 191025337 151900 Cash Out Refinance 7 191025358 152747.94 Cash Out Refinance 6.99 191025363 64706.84 Purchase 9.875 191025369 162762.11 Cash Out Refinance 7.6 191025371 167763.72 Cash Out Refinance 8.25 191025372 99046.28 Purchase 7.3 191025384 176877.58 Cash Out Refinance 7.85 191025398 133600 Rate/Term Refinance 7.1 191025457 163760.16 Cash Out Refinance 7.59 191025464 145346.12 Cash Out Refinance 6.7 211028133 52156.3 Purchase 8.6 211028342 97986.5 Purchase 7.65 211028362 64248.37 Purchase 7.25 211028436 83056.22 Cash Out Refinance 8.15 211028533 224495.93 Purchase 7.5 211028550 58154.74 Cash Out Refinance 7.8 211028556 204167.53 Cash Out Refinance 5.85 211028662 112544.74 Purchase 7.45 211028679 63750.17 Purchase 8.1 211028724 112452.42 Purchase 7.4 211028810 127819.49 Purchase 7.8 211028871 136800 Purchase 7.3 211028949 88552.56 Purchase 8.35 211028975 92588.05 Purchase 8.1 211029036 80833.97 Rate/Term Refinance 8.9 211029170 60905.48 Rate/Term Refinance 7.3 211029214 199764.21 Cash Out Refinance 8.65 211029247 71191.27 Cash Out Refinance 10.35 211029256 141272.12 Purchase 7.05 211029280 52439.83 Purchase 8.55 211029329 219669.14 Cash Out Refinance 7.45 211029370 107716.19 Purchase 6.69 211029390 95778.42 Purchase 7.35 211029472 82309.45 Rate/Term Refinance 8.99 211029475 128063.21 Purchase 9.6 211029511 127663.41 Purchase 8.05 211029543 91898.06 Purchase 8.95 211029550 87542.99 Rate/Term Refinance 7.24 211029566 128855.59 Cash Out Refinance 8.9 211029583 143699.24 Purchase 7.85 211029589 87132.35 Purchase 8.29 211029602 117260.46 Purchase 7.3 211029603 112247.76 Purchase 8.1 211029636 69619.51 Purchase 8.75 211029638 98886.63 Purchase 7.25 211029686 139133.78 Purchase 7.6 211029705 355520.67 Cash Out Refinance 8 211029711 74854.05 Purchase 8.2 211029724 79897.63 Purchase 8.25 211029726 146785.46 Cash Out Refinance 7.6 211029733 240149.01 Cash Out Refinance 7.6 211029742 91033.07 Purchase 8.5 211029806 116607.58 Purchase 6.99 211029819 63877.32 Purchase 8.2 211029820 96669.4 Cash Out Refinance 7.99 211029887 144518.24 Purchase 8.2 211029898 62528.83 Purchase 8.65 211029923 150347.48 Purchase 6.9 211029947 98990.72 Purchase 7.8 211029949 151831.59 Purchase 8.95 211029972 127697.58 Purchase 8.75 211029977 95006.7 Purchase 7.99 211029980 271695.48 Cash Out Refinance 8.9 211029990 59915.03 Purchase 7.75 211029998 120678.16 Cash Out Refinance 9.4 211030000 51947.54 Cash Out Refinance 9.4 211030004 101336 Purchase 6.99 211030015 90999.92 Rate/Term Refinance 8.1 211030028 55869.25 Purchase 9.9 211030051 107814.14 Purchase 8.8 211030082 91876.27 Cash Out Refinance 8.35 211030087 77411.78 Purchase 7.1 211030090 107782.22 Purchase 6.99 211030121 227149.42 Cash Out Refinance 8.8 211030131 90592.74 Purchase 8.1 211030141 112360.37 Purchase 8.4 211030156 107763.52 Purchase 7.7 211030161 80889.83 Cash Out Refinance 7.95 211030193 57878.09 Purchase 8.4 211030205 54922.89 Purchase 7.8 211030210 103868.25 Purchase 8.3 211030251 108135.51 Purchase 9.4 211030286 79097.61 Cash Out Refinance 8.2 211030287 60679.28 Purchase 8.1 211030303 126204.07 Purchase 8.75 211030322 296583.61 Cash Out Refinance 7.8 211030333 159813.2 Cash Out Refinance 8.7 211030336 107891.98 Cash Out Refinance 9.44 211030347 148172.64 Cash Out Refinance 7.5 211030352 60965.79 Purchase 8.5 211030359 107910.85 Purchase 7.25 211030360 239620.69 Cash Out Refinance 7.2 211030367 144586.55 Cash Out Refinance 7.55 211030392 83928.5 Cash Out Refinance 10.2 211030400 224285.27 Cash Out Refinance 8.65 211030429 136322.45 Cash Out Refinance 7.9 211030433 91064.22 Purchase 7.5 211030456 208756.12 Cash Out Refinance 8.7 211030496 153335.04 Rate/Term Refinance 7.37 211030497 69904.79 Cash Out Refinance 7.95 211030503 224550.05 Cash Out Refinance 5.99 211030521 122661.05 Purchase 7.75 211030532 164843.77 Cash Out Refinance 9.7 211030553 128239.55 Rate/Term Refinance 10.15 211030557 163546.43 Purchase 8.35 211030589 211492.01 Cash Out Refinance 8.49 211030592 71130.41 Purchase 9.55 211030611 264528.81 Cash Out Refinance 6.6 211030650 71869.47 Purchase 6.5 211030683 81527.34 Cash Out Refinance 9.99 211030688 96871.49 Cash Out Refinance 8.08 211030714 149743.5 Cash Out Refinance 6.8 211030776 284299.95 Cash Out Refinance 7.2 211030782 162258.06 Cash Out Refinance 7.5 211030796 307711.43 Cash Out Refinance 9.75 211030819 123323.33 Cash Out Refinance 7.7 211030856 90868.06 Cash Out Refinance 8.1 211030871 215854.77 Cash Out Refinance 7.99 211030913 59931.2 Cash Out Refinance 8.8 211030976 223552.91 Cash Out Refinance 6 211030987 49727.22 Cash Out Refinance 10.1 211031007 303833.92 Cash Out Refinance 8.55 211031034 50371.3 Cash Out Refinance 8.8 211031045 50951.71 Cash Out Refinance 9.7 211031164 146003.56 Cash Out Refinance 8.01 211031187 104659.12 Cash Out Refinance 8.7 211031193 165710.54 Rate/Term Refinance 6.7 211031211 98866.7 Cash Out Refinance 8 211031441 79546.39 Cash Out Refinance 8.82 211031523 292114.08 Rate/Term Refinance 8.1 231062976 114804.7 Purchase 7.24 231063004 87867.65 Cash Out Refinance 7.45 231063316 55647.15 Purchase 7.05 231063424 242416.94 Purchase 7.99 231063554 179430.78 Purchase 6.8 231063758 274456.31 Cash Out Refinance 7.85 231063885 172626.74 Purchase 7.2 231064222 103733.41 Purchase 6.55 231064374 100603.46 Purchase 8.19 231064526 279774.98 Cash Out Refinance 7.1 231064600 59905.36 Cash Out Refinance 7.21 231064604 79802.13 Purchase 7 231064636 58894.07 Cash Out Refinance 6.55 231064965 127774.6 Purchase 6.65 231064977 109441.64 Purchase 7.65 231065021 140250 Purchase 6.5 231065156 62464.92 Purchase 7.95 231065215 249616.47 Cash Out Refinance 7.35 231065232 49917.8 Purchase 7 231065245 114036.89 Purchase 8.15 231065314 111831.56 Rate/Term Refinance 7.45 231065403 110073.57 Purchase 9.15 231065488 103691.79 Purchase 7.6 231065494 95697.49 Purchase 7.325 231065518 314406.43 Cash Out Refinance 6.3 231065567 160982.26 Cash Out Refinance 6.95 231065615 227662 Cash Out Refinance 5.3 231065617 265455.51 Cash Out Refinance 7.95 231065636 199816.57 Cash Out Refinance 9.85 231065642 194697.86 Cash Out Refinance 7.3 231065657 158606.31 Purchase 7.35 231065704 94133.03 Cash Out Refinance 8.4 231065709 125821.57 Cash Out Refinance 7.75 231065718 61855.48 Purchase 7.3 231065740 113475.18 Cash Out Refinance 8.99 231065797 199824.06 Cash Out Refinance 6.64 231065870 147920 Purchase 5.9 231065900 67763.26 Purchase 8.85 231065901 250348.04 Cash Out Refinance 6.75 231065902 184892.46 Cash Out Refinance 8.7 231065942 133775.2 Purchase 8.95 231065950 124541.24 Purchase 5.8 231065968 151920 Purchase 8.15 231066095 114952.29 Cash Out Refinance 10.3 231066101 124929.56 Cash Out Refinance 8.85 231066110 78311.3 Cash Out Refinance 8.85 231066123 99615.43 Purchase 7.99 231066137 132978.84 Purchase 6.95 231066156 184664.28 Cash Out Refinance 7.6 231066166 119802.31 Cash Out Refinance 6.99 231066172 111819.44 Cash Out Refinance 7.1 231066175 138149.1 Purchase 6.5 231066226 67286.04 Purchase 7.8 231066238 57446.82 Purchase 8.99 231066247 105752.87 Purchase 7.3 231066292 101261.45 Cash Out Refinance 10.7 231066306 49939.2 Rate/Term Refinance 8.5 231066307 147739.4 Purchase 6.65 231066352 177862.51 Cash Out Refinance 7.3 231066373 151681.89 Purchase 9.25 231066385 334166.35 Cash Out Refinance 7.8 231066394 59912.44 Purchase 7.6 231066421 119653.34 Purchase 6.2 231066455 154702.24 Cash Out Refinance 6.2 231066471 99830.66 Purchase 6.85 231066547 176052.69 Cash Out Refinance 8.9 231066557 103749.14 Purchase 7 231066562 170765.05 Cash Out Refinance 7.9 231066595 337299.41 Cash Out Refinance 9.99 231066620 119444 Purchase 7.85 231066622 64397.43 Purchase 9.15 231066655 69796.41 Purchase 9.15 231066661 308317.15 Cash Out Refinance 7.8 231066686 190847.54 Cash Out Refinance 10.5 231066692 113505.07 Cash Out Refinance 5.6 231066711 320000 Cash Out Refinance 7.15 231066751 260929.16 Cash Out Refinance 6.95 231066757 86741.76 Purchase 8 231066777 169685.78 Cash Out Refinance 6.4 231066795 264764.57 Rate/Term Refinance 10 231066825 81082.67 Purchase 7.65 231066826 50693.77 Cash Out Refinance 8.95 231066848 143577.1 Purchase 7.19 231066854 216854.1 Cash Out Refinance 7.99 231066861 142139.32 Purchase 6.45 231066866 80214.41 Purchase 7.89 231066885 72930.14 Cash Out Refinance 9.65 231066900 223157.93 Cash Out Refinance 7.4 231066924 109352.27 Cash Out Refinance 7.99 231066930 119353.97 Cash Out Refinance 8.25 231066950 52096.03 Purchase 7.2 231066984 137013.81 Purchase 6.25 231066991 255388.41 Cash Out Refinance 6.95 231067012 113981.36 Purchase 7.25 231067062 139774.32 Purchase 7.1 231067067 445979.01 Cash Out Refinance 8.7 231067116 153054.83 Cash Out Refinance 7.14 231067170 265112.52 Cash Out Refinance 7.6 231067185 143430.35 Rate/Term Refinance 8.64 231067198 76414.36 Purchase 8.9 231067204 229553.94 Cash Out Refinance 6.5 231067235 194646.49 Cash Out Refinance 6.5 231067255 263680.65 Cash Out Refinance 8.525 231067260 237650 Cash Out Refinance 8.9 231067277 182411.24 Cash Out Refinance 7.2 231067278 112645.01 Cash Out Refinance 7.9 231067285 102531.16 Cash Out Refinance 8 231067297 67856.32 Purchase 5.7 231067328 335418.65 Cash Out Refinance 6.74 231067344 134879.13 Cash Out Refinance 6.55 231067351 71777.82 Purchase 6.05 231067358 147861.34 Purchase 9.75 231067366 189743.65 Cash Out Refinance 7.99 231067370 112332.49 Cash Out Refinance 7.5 231067374 153686.41 Purchase 7.85 231067393 129538.79 Purchase 6.15 231067394 222365.1 Cash Out Refinance 7.45 231067408 259007.81 Purchase 8.1 231067411 117804.07 Purchase 6.95 231067418 174847.84 Cash Out Refinance 6.7 231067450 140000.63 Cash Out Refinance 6.6 231067472 71119.57 Cash Out Refinance 6.45 231067491 170765.05 Cash Out Refinance 7.9 231067494 216614.16 Cash Out Refinance 6.6 231067508 107877.57 Cash Out Refinance 8.84 231067510 66819.41 Purchase 8.45 231067531 119780.02 Cash Out Refinance 7.25 231067579 159715.52 Cash Out Refinance 6.6 231067607 222762.93 Cash Out Refinance 6.1 231067633 129026.05 Cash Out Refinance 8 231067666 209832.9 Cash Out Refinance 7.15 231067679 65365.97 Purchase 7.95 231067682 163674.74 Cash Out Refinance 7.35 231067693 175848.47 Cash Out Refinance 6.75 231067779 254699.38 Cash Out Refinance 8.65 231067810 55150.1 Purchase 6.5 231067824 150992.26 Cash Out Refinance 7.9 231067829 90847.1 Cash Out Refinance 6.89 231067834 305314.03 Cash Out Refinance 5.6 231067870 214793.63 Cash Out Refinance 6.19 231067892 169867.38 Cash Out Refinance 7.25 231067901 441294.47 Cash Out Refinance 7.15 231067909 130000 Cash Out Refinance 6.975 231067949 50377.7 Purchase 10 231067950 314017.51 Cash Out Refinance 7.35 231067972 238165.64 Cash Out Refinance 7.8 231068018 123468.4 Cash Out Refinance 12.5 231068024 220805.02 Cash Out Refinance 7.35 231068030 202386.29 Cash Out Refinance 8.9 231068040 249846.59 Cash Out Refinance 7.1 231068074 215870.49 Cash Out Refinance 8.55 231068092 324758.8 Cash Out Refinance 7.5 231068104 322734.72 Cash Out Refinance 6.99 231068158 176866.26 Cash Out Refinance 7.41 231068239 245326.79 Cash Out Refinance 7.4 231068248 171790.44 Cash Out Refinance 8.49 231068285 147744.42 Cash Out Refinance 6.75 231068297 64955.43 Purchase 11.2 231068329 220118.51 Cash Out Refinance 6.74 231068351 199842.42 Cash Out Refinance 7.2 231068375 324770.62 Cash Out Refinance 7.75 231068550 53968.93 Purchase 8.75 231068710 79390 Cash Out Refinance 7.3 231068736 237821.59 Cash Out Refinance 7.45 251036117 49918.75 Cash Out Refinance 10.05 251036205 165079.22 Cash Out Refinance 8.04 251036485 135813.13 Cash Out Refinance 7.9 251036553 49941.07 Cash Out Refinance 8.65 251036736 195181.09 Cash Out Refinance 7.04 251036780 49935.18 Cash Out Refinance 6.55 251036805 122263.6 Cash Out Refinance 6.79 251036861 147939.05 Cash Out Refinance 6.65 251036870 188407.02 Cash Out Refinance 8.45 251036922 85952.49 Cash Out Refinance 6.79 251036929 199101.81 Cash Out Refinance 6 261051767 54865.85 Cash Out Refinance 11.69 261051929 61909.73 Cash Out Refinance 11.2 261051937 55182.12 Cash Out Refinance 8.45 261051940 50115.38 Cash Out Refinance 8.3 261051993 67875.54 Purchase 8.5 261052002 130124.5 Purchase 8.45 261052051 124849.56 Cash Out Refinance 8.55 261052068 70215.12 Purchase 8.65 261052115 73358.68 Purchase 7 261052122 72684.67 Cash Out Refinance 9.95 261052155 53938.92 Cash Out Refinance 8.85 261052158 63962.37 Cash Out Refinance 11.9 261052189 49940.43 Cash Out Refinance 8.6 261052196 75910.4 Cash Out Refinance 8.65 261052261 69289.68 Cash Out Refinance 10.1 261052271 70261.15 Purchase 8.2 261052357 139640.4 Cash Out Refinance 6.4 261052359 59413.17 Cash Out Refinance 7.6 261052392 159754.53 Cash Out Refinance 7.35 261052397 124730.71 Purchase 8.25 261052408 74913.38 Cash Out Refinance 8.75 261052457 62635.27 Cash Out Refinance 9.29 261052461 227324.38 Cash Out Refinance 7.05 261052472 151799.45 Cash Out Refinance 8.1 261052475 82081.63 Cash Out Refinance 9.5 261052486 95865.14 Cash Out Refinance 7.79 261052494 80781.05 Cash Out Refinance 6.9 261052495 78495.73 Cash Out Refinance 6.9 261052501 78495.73 Cash Out Refinance 6.9 261052517 149392.37 Cash Out Refinance 7.85 261052530 84919.52 Cash Out Refinance 9.7 261052536 80375.02 Cash Out Refinance 7.29 261052553 101882.21 Cash Out Refinance 8.75 261052555 49940.43 Cash Out Refinance 8.6 261052559 89878.82 Rate/Term Refinance 8 261052560 159754.53 Cash Out Refinance 7.35 261052562 121478.62 Cash Out Refinance 9.45 261052563 55035.05 Cash Out Refinance 8.65 261052564 160740.36 Cash Out Refinance 7.1 261052586 92884.58 Cash Out Refinance 8.4 261052588 105825.72 Cash Out Refinance 7 261052597 163168.6 Rate/Term Refinance 7.75 261052601 66075.48 Cash Out Refinance 8.87 261052602 51672.18 Cash Out Refinance 7.45 261052603 53025.43 Cash Out Refinance 11.5 261052612 105467.6 Cash Out Refinance 8.35 261052645 249410.06 Cash Out Refinance 6.65 261052653 71387 Cash Out Refinance 7.2 261052654 119910.94 Cash Out Refinance 7.5 261052807 62899.43 Cash Out Refinance 7.15 261052837 89499.58 Cash Out Refinance 7.9 271021479 154826.46 Cash Out Refinance 8.9 271021821 83901.99 Cash Out Refinance 8.7 271021862 322500 Cash Out Refinance 5.7 271021879 173681.35 Cash Out Refinance 6.45 271021889 75980.64 Purchase 8.15 271021911 255577.01 Cash Out Refinance 6.975 271021965 224000 Cash Out Refinance 6 271021986 135701.1 Purchase 7.75 271022013 175790.35 Cash Out Refinance 8.6 271022017 103581.61 Cash Out Refinance 7.4 271022021 208723 Cash Out Refinance 6.85 271022024 122832.7 Cash Out Refinance 7.95 271022074 160745.04 Cash Out Refinance 7.19 271022077 76386.66 Cash Out Refinance 7.525 271022080 343558.16 Cash Out Refinance 8.44 271022093 81848.94 Cash Out Refinance 6.45 271022106 114805.26 Cash Out Refinance 6.85 271022126 327529.86 Cash Out Refinance 7.69 271022130 181934.36 Cash Out Refinance 6.75 271022168 224440.84 Cash Out Refinance 7.15 271022179 107808.54 Rate/Term Refinance 7.1 271022225 107316.18 Purchase 6.8 271022229 274485.78 Cash Out Refinance 6.34 271022238 211755.17 Cash Out Refinance 8.75 271022239 155832.47 Cash Out Refinance 9.1 271022260 116835.97 Cash Out Refinance 7.8 271022266 178264.5 Cash Out Refinance 8.1 271022312 172650.72 Cash Out Refinance 5.94 271022320 86118.99 Cash Out Refinance 7.4 271022323 159822.72 Cash Out Refinance 8.95 271022346 115800.26 Cash Out Refinance 10.15 271022360 257519.46 Cash Out Refinance 6.99 271022364 149798.03 Cash Out Refinance 8 271022366 151726.3 Cash Out Refinance 7.25 271022383 192226.46 Cash Out Refinance 6.15 271022384 349301.4 Cash Out Refinance 6 271022394 75925.73 Cash Out Refinance 9.55 271022398 239719.95 Cash Out Refinance 8.7 271022403 126494.59 Cash Out Refinance 5.95 271022408 462198.49 Cash Out Refinance 6.75 271022421 104262.61 Cash Out Refinance 5.94 271022447 189711.41 Cash Out Refinance 7.4 271022448 223764.28 Cash Out Refinance 7.25 271022456 308227.1 Cash Out Refinance 6.85 271022461 159734.33 Cash Out Refinance 6.95 271022475 51324.54 Cash Out Refinance 8 271022493 304543.6 Cash Out Refinance 7.475 271022508 171059.84 Cash Out Refinance 7.8 271022519 168711.02 Cash Out Refinance 6.8 271022521 287623.87 Cash Out Refinance 8.15 271022530 79887.84 Cash Out Refinance 7.8 271022540 298418.86 Cash Out Refinance 7.15 271022542 254546.6 Cash Out Refinance 6.6 271022565 307364.1 Cash Out Refinance 7.75 271022592 195500 Cash Out Refinance 6 271022635 283597.82 Cash Out Refinance 7.75 271022667 117868.99 Cash Out Refinance 8.94 271022680 155691.14 Cash Out Refinance 7.8 271022687 175222.63 Cash Out Refinance 7.2 281015040 58430.88 Cash Out Refinance 8.7 281015069 172900 Cash Out Refinance 8.05 281015216 63695.73 Cash Out Refinance 10.2 281015223 104858.63 Rate/Term Refinance 8 281015241 63921.38 Cash Out Refinance 8.45 281015392 86677.07 Rate/Term Refinance 7.75 281015396 188704.48 Cash Out Refinance 7.85 281015423 51917.32 Cash Out Refinance 7.65 281015458 184116.6 Cash Out Refinance 7.85 281015479 126577.61 Cash Out Refinance 7.95 281015480 150665.47 Cash Out Refinance 7.7 281015491 50331.99 Cash Out Refinance 7.99 281015493 344386.58 Cash Out Refinance 6.6 281015498 143733.83 Cash Out Refinance 6.4 281015516 149194.5 Cash Out Refinance 7.55 281015524 69095.2 Cash Out Refinance 7.95 281015527 64753.23 Cash Out Refinance 10.965 281015529 90119.59 Rate/Term Refinance 7.65 281015561 103941.99 Cash Out Refinance 8.9 281015594 122280.39 Cash Out Refinance 9.55 281015601 192318.91 Cash Out Refinance 7.6 281015619 115952.95 Cash Out Refinance 8.3 281015622 134909.24 Cash Out Refinance 7.99 281015642 82713.81 Cash Out Refinance 9.25 281015657 85453.3 Cash Out Refinance 9 281015663 204828 Cash Out Refinance 6.5 281015668 53097.92 Rate/Term Refinance 7.875 281015672 50267.57 Cash Out Refinance 10.05 281015719 85395.2 Rate/Term Refinance 10.55 281015789 102341.57 Cash Out Refinance 8.79 291000354 133863.97 Cash Out Refinance 11.5 291000383 149856.28 Cash Out Refinance 6.2 291000399 149950 Cash Out Refinance 5.25 291000557 118913.58 Cash Out Refinance 7.7 291000569 202628.4 Rate/Term Refinance 6.45 291000587 161688.2 Cash Out Refinance 6.19 291000606 88245.84 Cash Out Refinance 8.65 291000661 155095.26 Cash Out Refinance 6.75 291000676 247596.24 Cash Out Refinance 7.05 291000687 71290.46 Cash Out Refinance 7.35 291000703 87849.53 Cash Out Refinance 6.8 291000717 199690.12 Cash Out Refinance 7.3 291000745 129894.49 Cash Out Refinance 7.05 291000759 167876.82 Cash Out Refinance 8.15 291000770 215341.52 Cash Out Refinance 7.7 291000789 154847.17 Cash Out Refinance 6.05 291000816 124450 Cash Out Refinance 7.3 291000838 171672.55 Cash Out Refinance 6.85 291000840 217750 Cash Out Refinance 6.44 291000847 96790.39 Cash Out Refinance 8.85 291000850 104450.36 Cash Out Refinance 6.6 291000862 108747.33 Cash Out Refinance 7.8 301000751 59882.05 Rate/Term Refinance 8.15 301000980 98015.58 Purchase 7.99 301001190 79853.58 Purchase 8.5 301001220 212134.34 Rate/Term Refinance 8.8 301001254 121762.33 Cash Out Refinance 8.25 301001276 93449.11 Purchase 7.1 301001278 247355.83 Cash Out Refinance 6.75 301001286 130584.72 Purchase 7.4 301001359 106102.35 Purchase 7.95 301001384 152650.34 Cash Out Refinance 7.4 301001403 98994.89 Cash Out Refinance 7.9 301001458 71782.88 Purchase 8.3 301001490 192663.45 Cash Out Refinance 6.7 301001510 153506.69 Purchase 6.99 301001538 111788.61 Purchase 8.35 301001543 59916.73 Purchase 7.85 301001546 195250 Rate/Term Refinance 8.9 301001586 91881.07 Cash Out Refinance 8.2 301001642 112000 Purchase 6.6 301001671 171767.93 Cash Out Refinance 7.99 301001703 99840.37 Purchase 7.15 301001729 197705.2 Cash Out Refinance 7.5 301001737 87880.3 Purchase 7.95 301001780 131803.47 Cash Out Refinance 7.5 301001787 256153.93 Cash Out Refinance 7.99 301001866 91674.58 Cash Out Refinance 8.2 301001871 132292.66 Rate/Term Refinance 7.25 301001933 123897.35 Rate/Term Refinance 6.95 311026969 128958.65 Purchase 8.4 311027014 277045.02 Purchase 8.25 311027063 289608.74 Purchase 7.99 311027070 159788.89 Cash Out Refinance 8.1 311027097 220030.1 Purchase 7.75 311027136 232500 Cash Out Refinance 6.55 311027150 56908.78 Purchase 9.15 311027153 142294.1 Cash Out Refinance 7.65 311027187 190590.34 Purchase 8.99 311027193 121600 Cash Out Refinance 7.6 311027224 116810.88 Rate/Term Refinance 7.0 000000000 00000.99 Cash Out Refinance 7.95 311027307 55043.84 Cash Out Refinance 9.35 311027313 126980.34 Cash Out Refinance 6.75 311027318 219999.62 Cash Out Refinance 6.6 311027324 111749.43 Cash Out Refinance 7.3 311027326 113403.83 Rate/Term Refinance 6.75 311027361 327672.64 Cash Out Refinance 9.45 311027368 247101.02 Cash Out Refinance 7.1 311027370 239628.13 Cash Out Refinance 7.3 311027383 139803.72 Cash Out Refinance 7.8 311027384 167743 Cash Out Refinance 8.45 311027390 202192.41 Cash Out Refinance 7.4 311027400 142750.64 Rate/Term Refinance 6.7 311027402 322467.89 Cash Out Refinance 6.99 311027407 140859.28 Cash Out Refinance 9.45 311027408 99873.34 Cash Out Refinance 8.3 311027423 179898.56 Cash Out Refinance 8.85 311027428 114670.19 Cash Out Refinance 6.95 311027439 188234.02 Cash Out Refinance 6.15 311027441 232097.87 Cash Out Refinance 6.75 311027457 192167.87 Cash Out Refinance 6.99 311027458 323545.77 Cash Out Refinance 7.8 311027459 261000 Cash Out Refinance 7.85 311027460 263526.01 Cash Out Refinance 6.55 311027465 49942.25 Cash Out Refinance 8.75 311027479 207654.64 Cash Out Refinance 6.95 311027481 224506.31 Cash Out Refinance 5.5 311027496 152762.94 Cash Out Refinance 7.3 311027516 263521.39 Cash Out Refinance 6.5 311027523 149722.74 Cash Out Refinance 6.4 321025438 141638.43 Purchase 6.9 321025757 59882.05 Purchase 8.15 321025843 100800 Purchase 6.99 321025852 51268.57 Purchase 7.65 321025868 141520 Purchase 7.24 321025975 147600 Purchase 5.65 321026048 79819.19 Purchase 6.65 321026067 137920 Purchase 7.4 321026084 117287.76 Cash Out Refinance 6.54 321026098 252000 Cash Out Refinance 7.1 321026138 240822.54 Cash Out Refinance 7.25 321026173 170735.04 Cash Out Refinance 7.3 321026235 93266.45 Cash Out Refinance 6.95 321026268 143743.04 Purchase 6.24 321026279 148800 Purchase 6.74 321026295 160000 Rate/Term Refinance 7.2 321026334 150152.22 Purchase 6.99 321026337 75827.69 Purchase 8.5 321026390 112348.22 Cash Out Refinance 7.99 321026405 56161.09 Purchase 7.2 321026426 202016.07 Rate/Term Refinance 7.39 321026427 108000 Purchase 6.39 321026439 129852.94 Cash Out Refinance 8.85 321026445 99761.76 Purchase 7.19 321026460 93427 Purchase 6.4 321026478 175196.95 Cash Out Refinance 6.75 321026480 61959.73 Cash Out Refinance 11.45 321026515 217138.85 Cash Out Refinance 6.95 321026516 100594.19 Cash Out Refinance 6.5 321026518 115680 Purchase 7.6 321026533 110000 Purchase 6.4 321026557 314086.85 Cash Out Refinance 8.75 321026583 92650.4 Purchase 7.1 321026587 151600 Purchase 7.39 321026589 142000 Cash Out Refinance 7.2 321026591 256085.7 Rate/Term Refinance 7.09 321026622 67926.52 Purchase 9.1 321026625 125383.11 Purchase 6.75 321026694 103059.64 Purchase 7.95 321026699 235567.98 Cash Out Refinance 6.45 321026744 143696.13 Cash Out Refinance 6.225 321026746 83900.96 Cash Out Refinance 8.65 321026747 137759.37 Purchase 6.7 321026759 234000 Rate/Term Refinance 6.99 321026762 207677.08 Rate/Term Refinance 7.29 321026765 237841.07 Cash Out Refinance 7.44 321026771 92000 Cash Out Refinance 7.85 321026787 131755.55 Purchase 6.39 321026796 184976.38 Cash Out Refinance 7.54 321026811 135782.92 Cash Out Refinance 7.15 321026814 240046.81 Cash Out Refinance 6.3 321026818 149200 Purchase 5.64 321026820 260613.91 Rate/Term Refinance 9 321026821 273032.71 Cash Out Refinance 5.8 321026822 195405.69 Cash Out Refinance 7.45 321026830 70154.78 Rate/Term Refinance 8.2 321026831 68355.94 Cash Out Refinance 8.2 321026834 248250 Cash Out Refinance 7.6 321026871 137636.86 Cash Out Refinance 6.99 321026879 147718.41 Cash Out Refinance 6.25 321026887 82340.66 Purchase 7.65 321026904 82751.92 Cash Out Refinance 8.8 321026915 135788.86 Cash Out Refinance 7.29 321026919 131367.74 Cash Out Refinance 7.75 321026937 110243.66 Rate/Term Refinance 7.75 321026942 112381.67 Cash Out Refinance 9.2 321026945 69271.77 Cash Out Refinance 8.863 321026956 94180.99 Rate/Term Refinance 10.9 321026985 151411.84 Purchase 8.4 321027038 126228.07 Cash Out Refinance 7.95 321027050 142414.55 Rate/Term Refinance 8.55 321027052 216261.05 Cash Out Refinance 7.25 321027083 104253.35 Purchase 7.79 321027099 144249.9 Rate/Term Refinance 6.738 321027105 179305.79 Rate/Term Refinance 7.95 321027108 108000 Cash Out Refinance 7.45 321027163 129859.9 Cash Out Refinance 7.84 321027182 161349.69 Cash Out Refinance 6.35 331035464 340517.09 Rate/Term Refinance 7.75 331035727 173873.25 Cash Out Refinance 6.8 331035778 85829.98 Cash Out Refinance 6.05 331035906 198827.09 Cash Out Refinance 6.9 331036016 166059.07 Cash Out Refinance 8.35 331036290 169762.64 Cash Out Refinance 9.8 331036457 73767.6 Cash Out Refinance 6.75 331036464 104800.23 Purchase 6.25 331036471 140547.71 Purchase 6.56 331036507 119310.88 Purchase 8.25 331036622 331398.1 Cash Out Refinance 6.5 331036671 453794.93 Purchase 7.3 331036677 214554.09 Cash Out Refinance 6 331036678 53696.38 Cash Out Refinance 8.25 331036685 174753.07 Cash Out Refinance 9.75 331036698 104904.71 Cash Out Refinance 9.9 331036724 81733.71 Cash Out Refinance 7.99 331036736 278563.4 Purchase 7.25 331036738 223650 Cash Out Refinance 7.25 331036799 144374.49 Cash Out Refinance 6.05 331036830 137250 Cash Out Refinance 7.4 331036832 239642.67 Cash Out Refinance 7.5 331036838 299491.99 Cash Out Refinance 6.85 331036847 498756.28 Purchase 7.5 331036864 300590.6 Cash Out Refinance 7.95 331036936 269573.26 Cash Out Refinance 7.2 331036944 162502.8 Cash Out Refinance 7.4 331036959 103075.28 Cash Out Refinance 6.99 331036962 76886.5 Cash Out Refinance 7.55 331036976 152000 Rate/Term Refinance 7.35 331036980 315398.76 Cash Out Refinance 6.25 331037006 499209.76 Rate/Term Refinance 7.2 331037023 374529.79 Rate/Term Refinance 8.35 331037037 94818.73 Cash Out Refinance 7.25 331037088 104739.79 Purchase 6.99 331037106 86851.24 Cash Out Refinance 6.8 331037110 223589.96 Cash Out Refinance 6.45 331037127 181136.34 Cash Out Refinance 6.05 331037128 121400.21 Cash Out Refinance 6.99 331037134 149866.45 Cash Out Refinance 9.99 331037149 275892.14 Cash Out Refinance 8.19 331037160 232525.98 Cash Out Refinance 5.9 331037216 256517.58 Cash Out Refinance 6.32 331037237 204933.46 Cash Out Refinance 6.9 331037246 174711.72 Cash Out Refinance 6.99 331037255 71070.93 Purchase 6.5 331037266 227125.21 Cash Out Refinance 6.99 331037292 327299.7 Cash Out Refinance 7.9 331037316 55914.94 Cash Out Refinance 7.4 331037320 114856.62 Cash Out Refinance 8.4 331037350 134821.88 Cash Out Refinance 8.1 331037353 103914.58 Cash Out Refinance 6.99 331037367 144810.62 Cash Out Refinance 8.15 331037371 69592.26 Cash Out Refinance 7.99 331037395 139868.7 Cash Out Refinance 10.5 331037417 471668.02 Cash Out Refinance 6.65 331037422 279000 Cash Out Refinance 7.99 331037466 185896.81 Cash Out Refinance 7.95 331037485 143818.45 Cash Out Refinance 8.99 331037497 292204.97 Cash Out Refinance 9.4 331037501 70108.32 Cash Out Refinance 8.15 331037509 149397.47 Rate/Term Refinance 11.2 331037513 194767.23 Cash Out Refinance 8.59 331037528 161691.56 Purchase 7.99 331037532 79897.63 Cash Out Refinance 8.25 331037533 239868.63 Cash Out Refinance 8.99 331037535 319472.83 Cash Out Refinance 6.99 331037564 195664.18 Cash Out Refinance 6.79 331037582 274450.05 Cash Out Refinance 5.99 331037591 134688.53 Cash Out Refinance 8.15 331037594 212364.5 Cash Out Refinance 8.25 331037626 428598 Cash Out Refinance 7.4 331037629 522000 Cash Out Refinance 6.75 331037630 303833.25 Cash Out Refinance 8.98 331037631 267761.39 Cash Out Refinance 9.99 331037633 143733.31 Cash Out Refinance 6.39 331037655 303891.07 Cash Out Refinance 5.99 331037656 260570.03 Cash Out Refinance 6.99 331037663 295576.27 Cash Out Refinance 7.7 331037665 279508.62 Rate/Term Refinance 6.75 331037674 260717.63 Cash Out Refinance 6.8 331037676 217623.56 Cash Out Refinance 6.75 331037681 296384.71 Cash Out Refinance 5.99 331037684 163672.03 Rate/Term Refinance 5.99 331037693 179644.15 Cash Out Refinance 6.05 331037697 81886.76 Cash Out Refinance 7.875 331037707 402236.25 Cash Out Refinance 6.99 331037735 169299.26 Cash Out Refinance 8.59 331037740 250766.22 Cash Out Refinance 6.75 331037748 139720.03 Cash Out Refinance 5.99 331037750 241071.67 Cash Out Refinance 7.95 331037781 364643.54 Cash Out Refinance 6.1 331037810 49939.2 Cash Out Refinance 8.5 331037826 67876.71 Cash Out Refinance 6.5 331037829 314728.8 Cash Out Refinance 6.75 331037830 449003.89 Cash Out Refinance 5.99 331037833 249588.14 Cash Out Refinance 6.99 331037834 161276.84 Cash Out Refinance 5.99 331037839 115812.99 Cash Out Refinance 7.1 331037875 331825.27 Cash Out Refinance 6.75 331037890 156749.39 Cash Out Refinance 7.15 331037906 391542.59 Cash Out Refinance 8.7 331037911 249091.59 Cash Out Refinance 6.9 331037918 159712.72 Cash Out Refinance 6.55 331037927 181674.94 Cash Out Refinance 7.59 331037955 189882.51 Cash Out Refinance 8.4 331037958 275691.65 Cash Out Refinance 5.99 331037962 68947.59 Cash Out Refinance 8.5 331038052 151359.68 Cash Out Refinance 6.375 331038054 346448.52 Rate/Term Refinance 6.7 331038062 163636.36 Cash Out Refinance 5.99 331038073 298398.71 Cash Out Refinance 6 331038104 231087.57 Cash Out Refinance 6.59 331038135 467977.78 Cash Out Refinance 6.99 331038167 148530.23 Cash Out Refinance 6.5 331038210 89166.93 Cash Out Refinance 6.35 331038242 297740.9 Cash Out Refinance 6.7 331038294 403652.16 Cash Out Refinance 6.75 341022209 103790.09 Purchase 8.02 341022484 66927.27 Purchase 8.5 341022715 239611.91 Cash Out Refinance 9.1 341023099 83554.47 Rate/Term Refinance 8.75 341023510 113600 Purchase 7.99 341023530 54278.54 Rate/Term Refinance 8.95 341023588 112124.72 Purchase 8.5 341023729 61882.13 Purchase 8.35 341023857 114800 Purchase 7.7 341024128 64012.98 Purchase 8.75 341024131 72539.22 Purchase 8.4 341024170 52194.22 Cash Out Refinance 11.05 341024175 122927.32 Purchase 7.25 341024204 99811.57 Cash Out Refinance 6.3 341024207 67897.8 Purchase 9.45 341024293 52152.53 Purchase 8.55 341024294 52152.53 Purchase 8.55 341024338 73065.74 Purchase 8.49 341024352 132490.92 Purchase 7.59 341024380 90785.24 Cash Out Refinance 8.55 341024398 90760.04 Cash Out Refinance 7.85 341024407 140347.89 Purchase 8.6 341024409 76415.23 Purchase 8.95 341024425 231632.57 Cash Out Refinance 9.2 341024430 125133.81 Cash Out Refinance 8.55 341024440 93362.39 Cash Out Refinance 9.55 341024442 76552.86 Purchase 7.64 341024458 68339.23 Cash Out Refinance 10 341024463 95755.57 Purchase 8 341024465 135745.93 Cash Out Refinance 8.4 341024472 206261.51 Cash Out Refinance 8.75 341024474 61111.81 Rate/Term Refinance 9.65 341024514 86299.7 Purchase 8.75 341024567 134754.78 Cash Out Refinance 6.49 341024574 59379.17 Cash Out Refinance 7.99 341024578 92695.01 Cash Out Refinance 8.85 341024633 87411 Cash Out Refinance 10.15 341024636 115686.74 Purchase 6.55 341024659 63883.63 Purchase 8.55 341024668 111720.61 Purchase 6.59 341024686 120996.78 Purchase 6.9 341024688 127719.19 Purchase 7.24 341024713 85448.14 Purchase 7.35 341024715 134878.52 Purchase 7.2 341024730 150095.58 Purchase 7.95 341024761 116863.49 Cash Out Refinance 8.7 341024780 100864 Purchase 8.4 341024790 198548.18 Cash Out Refinance 8.3 341024802 151030.71 Purchase 8.9 341024817 134043.71 Purchase 7.2 341024843 137340.7 Purchase 6.3 341024848 161223.84 Cash Out Refinance 6.8 341024866 79800.94 Purchase 7.99 341024874 124289.11 Cash Out Refinance 8.2 341024878 110531.91 Cash Out Refinance 8.2 341024881 197730.69 Cash Out Refinance 7.95 341024882 130177.01 Purchase 6.8 341024896 83799.95 Purchase 7.7 341024899 181002.75 Purchase 6.99 341024908 122843.65 Cash Out Refinance 7.55 341024922 224717.89 Purchase 8.35 341024927 55925.75 Purchase 8.1 341024943 123856.8 Purchase 8.75 341024958 44893.22 Cash Out Refinance 7.4 341024974 99413.99 Purchase 8.325 341024985 73877.73 Cash Out Refinance 9.55 341024986 119926.33 Cash Out Refinance 8.25 341024996 53508.61 Purchase 10.65 341025002 148749.66 Purchase 6.89 341025009 101161.14 Purchase 7.24 341025011 171662.42 Cash Out Refinance 5.99 341025013 60731.23 Cash Out Refinance 8.85 341025049 113398.01 Purchase 6.6 341025057 219672.44 Cash Out Refinance 7.5 341025062 59831.63 Cash Out Refinance 9.54 341025064 114298.36 Rate/Term Refinance 10 341025066 226294.45 Cash Out Refinance 9.9 341025074 184765.66 Cash Out Refinance 8.3 341025076 164112.09 Cash Out Refinance 7.75 341025077 164901.07 Cash Out Refinance 8.55 341025079 59901.15 Cash Out Refinance 6.99 341025091 131776.48 Purchase 6.85 341025095 118653.77 Purchase 8.44 341025118 105410.4 Purchase 6.55 341025119 233456.14 Cash Out Refinance 7.575 341025121 63036.29 Cash Out Refinance 10.2 341025132 107804.21 Cash Out Refinance 6.5 341025138 89892.8 Cash Out Refinance 8.6 341025139 169412.09 Cash Out Refinance 8.95 341025144 89450.95 Purchase 6.94 341025152 50656.84 Cash Out Refinance 10.2 341025153 140514.22 Purchase 7.59 341025160 103397.79 Cash Out Refinance 9.5 341025162 180202.64 Cash Out Refinance 6.99 341025167 79890.1 Rate/Term Refinance 7.9 341025171 88394.58 Purchase 8.6 341025180 89847.61 Purchase 6.85 341025186 98568.56 Purchase 7.35 341025189 106231.84 Purchase 7.2 341025206 68301.97 Purchase 7.69 341025220 144452.51 Cash Out Refinance 6.4 341025231 215734.65 Cash Out Refinance 8.45 341025250 175354 Cash Out Refinance 7.34 341025253 111174.01 Cash Out Refinance 7.2 341025256 98768.46 Cash Out Refinance 7.75 341025273 67902.55 Cash Out Refinance 7.69 341025293 101469.97 Rate/Term Refinance 8.25 341025294 96469.83 Rate/Term Refinance 10.95 341025308 82701.52 Purchase 8.99 341025334 49978.81 Cash Out Refinance 10.2 341025336 153546.71 Cash Out Refinance 7.3 341025351 228447.23 Cash Out Refinance 7.325 341025376 183526.42 Rate/Term Refinance 8.95 341025384 155049.6 Cash Out Refinance 9.59 341025406 125332.09 Purchase 5.65 341025411 59929.27 Cash Out Refinance 8.65 341025415 52470.42 Cash Out Refinance 8.85 341025428 50344.65 Cash Out Refinance 9.05 341025431 136799.66 Rate/Term Refinance 7.59 341025443 149766.67 Cash Out Refinance 7.45 341025454 172721.1 Cash Out Refinance 7.1 341025455 284388.49 Cash Out Refinance 7.65 341025465 145785.67 Purchase 7.59 341025496 182261.36 Cash Out Refinance 8.2 341025498 104872.33 Cash Out Refinance 8.5 341025509 108719.98 Purchase 5.9 341025520 90948.98 Cash Out Refinance 8.875 341025564 126318.41 Cash Out Refinance 8.19 341025579 226647.51 Rate/Term Refinance 7.99 351025078 185108.41 Cash Out Refinance 6.65 351025492 97522.92 Cash Out Refinance 10.55 351025504 188233.14 Rate/Term Refinance 6.5 351025529 54298.77 Cash Out Refinance 7.7 351025802 145669.63 Purchase 7.45 351025811 136131.88 Purchase 8.15 351025866 223673.08 Cash Out Refinance 7.6 351026099 60700.66 Purchase 9.05 351026133 94320 Purchase 8.6 351026150 92733.59 Purchase 8.05 351026188 66264.07 Purchase 7.95 351026248 66315.03 Rate/Term Refinance 8.25 351026321 70960.03 Purchase 7.95 351026334 169264.69 Cash Out Refinance 6.05 351026369 103431.5 Purchase 7.75 351026384 108622.02 Purchase 8.15 351026429 84789.34 Purchase 6.99 351026448 65060.87 Cash Out Refinance 11.8 351026470 49963 Cash Out Refinance 10.85 351026475 108489.61 Purchase 7.8 351026480 146620.47 Purchase 7.3 351026527 138004.18 Cash Out Refinance 6.6 351026540 65591.55 Cash Out Refinance 9.99 351026542 139033.98 Rate/Term Refinance 5.99 351026557 109463.99 Purchase 8.4 351026570 97676.33 Purchase 8.65 351026587 127073.84 Purchase 7.15 351026599 54711.88 Cash Out Refinance 7.2 351026602 63912.05 Purchase 7.9 351026605 122119.89 Purchase 6.2 351026633 117440.05 Rate/Term Refinance 7.95 351026636 72701.79 Purchase 7.99 351026639 70305.02 Purchase 7.99 351026640 57477.26 Purchase 7.75 351026658 61806.91 Cash Out Refinance 7.45 351026678 90284.3 Purchase 8.25 351026706 55950.77 Cash Out Refinance 10.05 351026707 103792.03 Rate/Term Refinance 5.99 351026709 75897.46 Rate/Term Refinance 7.99 351026742 334501.21 Cash Out Refinance 7.5 351026744 119440.6 Cash Out Refinance 8.05 351026753 85889.94 Purchase 8.25 351026762 73918.01 Purchase 8.95 351026764 156865.94 Rate/Term Refinance 6.8 351026766 53536.09 Purchase 8.6 351026767 70287.62 Purchase 7.15 351026771 122800 Rate/Term Refinance 5.7 351026785 84692.57 Purchase 8.3 351026799 69959.66 Cash Out Refinance 11.99 351026800 74697.23 Purchase 7.9 351026802 72758.97 Cash Out Refinance 8.85 351026827 124623.93 Cash Out Refinance 6.55 351026828 61645.15 Purchase 7.45 351026851 119024.29 Purchase 7.55 351026861 109197.39 Purchase 9.6 351026868 124790 Purchase 6.89 351026886 88977.58 Purchase 7.9 351026890 77472.17 Cash Out Refinance 6.99 351026898 71818.82 Cash Out Refinance 9.54 351026899 84894.51 Rate/Term Refinance 8.4 351026903 99818.71 Cash Out Refinance 6.5 351026915 57908.41 Purchase 10.99 351026931 131531.23 Purchase 6.95 351026937 324438.8 Cash Out Refinance 6.75 351026940 155772.32 Cash Out Refinance 7.6 351026941 99886.88 Cash Out Refinance 8.85 351026946 66420.78 Cash Out Refinance 8.6 351026947 139733.64 Purchase 6.25 351026951 133666.51 Rate/Term Refinance 6.7 351026981 85358.74 Rate/Term Refinance 7.95 351026991 136137.86 Purchase 8.3 351027012 79936.14 Cash Out Refinance 10.5 351027016 84679.91 Cash Out Refinance 7.75 351027029 66233.37 Purchase 8.15 351027037 63924.52 Cash Out Refinance 8.7 351027041 243796.02 Cash Out Refinance 6.9 351027043 110243.66 Cash Out Refinance 7.75 351027060 97952.48 Purchase 7.45 351027061 100010.84 Cash Out Refinance 6.5 351027091 139748.65 Cash Out Refinance 6.55 351027093 126286.84 Rate/Term Refinance 6.55 351027103 116686.71 Cash Out Refinance 9.59 351027113 88000 Purchase 8.3 351027116 84022.08 Rate/Term Refinance 5.7 351027125 127752.93 Purchase 8.15 351027128 143046.02 Purchase 8.1 351027131 85059.91 Cash Out Refinance 7 351027138 94684.73 Purchase 8.5 351027142 134170.17 Cash Out Refinance 6.8 351027146 297510.04 Rate/Term Refinance 7 351027151 168115.45 Rate/Term Refinance 9 351027164 59927.04 Cash Out Refinance 8.5 351027165 77089.56 Purchase 7.7 351027204 96697.13 Purchase 9.15 351027207 51939.2 Cash Out Refinance 8.69 351027216 86730.72 Cash Out Refinance 10.5 351027226 51938.06 Cash Out Refinance 8.6 351027232 144326.11 Rate/Term Refinance 8.55 351027262 151902.08 Cash Out Refinance 8.2 351027265 135871.22 Cash Out Refinance 9.7 351027279 107840.65 Rate/Term Refinance 7.55 351027298 161355.77 Cash Out Refinance 7.425 351027328 117415.37 Purchase 9.99 351027331 259558.87 Rate/Term Refinance 6.84 351027336 63379.99 Cash Out Refinance 7.99 351027355 82793.75 Cash Out Refinance 9.25 351027361 106335.41 Cash Out Refinance 8.49 351027367 52540.72 Rate/Term Refinance 10.25 351027400 117525.01 Cash Out Refinance 8.25 351027405 73575.43 Cash Out Refinance 11.3 351027429 279492.39 Cash Out Refinance 6.5 351027452 97463.18 Purchase 7.8 351027455 149744.75 Cash Out Refinance 6.825 351027459 115772.9 Cash Out Refinance 8.04 351027461 130923.13 Purchase 7.99 351027490 119938.44 Purchase 9.3 351027529 97585.67 Purchase 8.2 351027573 68853.15 Cash Out Refinance 11.35 351027576 185097.85 Rate/Term Refinance 6.99 351027608 86371.77 Purchase 11.4 361022539 71877.51 Purchase 8.4 361022651 109256.29 Cash Out Refinance 7.3 361024402 156829.46 Cash Out Refinance 6.6 361024438 135000 Purchase 7.6 361024485 124720 Purchase 7.75 361024547 138786.35 Rate/Term Refinance 7.34 361024593 134786.22 Cash Out Refinance 7.19 361024615 104878.77 Cash Out Refinance 8.79 361024645 309072 Rate/Term Refinance 9.54 361024687 108800 Purchase 7.4 361024694 148202.12 Purchase 8.05 361024744 133690.7 Purchase 7.35 361024751 78598.19 Purchase 7.5 361024762 60705.52 Cash Out Refinance 10.9 361024785 119993.02 Purchase 6.35 361024793 54962.27 Cash Out Refinance 11.2 361024797 55146.87 Purchase 9.95 361024799 211097.6 Cash Out Refinance 6.25 361024821 104845.23 Cash Out Refinance 7.55 361024829 350536.9 Cash Out Refinance 8.1 361024907 134784.5 Cash Out Refinance 7.15 361024930 51955.65 Cash Out Refinance 10.19 361024936 49953.65 Cash Out Refinance 9.8 361024948 128000 Purchase 7.45 361024958 91910.1 Purchase 9.55 361025017 61925.38 Cash Out Refinance 8.55 361025027 107840.8 Cash Out Refinance 7.55 361025045 64877.98 Cash Out Refinance 7.85 361025055 71753.53 Purchase 8.55 361025071 69906.69 Cash Out Refinance 8.05 361025087 219280 Rate/Term Refinance 6.65 361025093 119017.14 Purchase 7.35 361025120 131764.16 Purchase 6.59 361025142 79146.8 Purchase 6.89 361025158 152704.66 Cash Out Refinance 6.175 361025161 59926.9 Cash Out Refinance 8.49 361025162 153661.54 Rate/Term Refinance 7.3 361025178 139548.07 Cash Out Refinance 7.65 361025181 80879.6 Cash Out Refinance 8 361025200 84691.97 Cash Out Refinance 7.9 361025222 116705.95 Purchase 7.8 361025229 121434.61 Cash Out Refinance 7.95 361025231 151761.33 Cash Out Refinance 7 361025234 142191.76 Cash Out Refinance 7.59 361025249 125786.21 Cash Out Refinance 6.84 361025260 141896.5 Cash Out Refinance 7.59 361025267 91826.1 Purchase 9.34 361025270 55974.15 Cash Out Refinance 9.8 361025278 94874.66 Cash Out Refinance 8.1 361025291 95908.13 Cash Out Refinance 9.65 361025307 94445.07 Cash Out Refinance 8.7 361025310 107851.56 Rate/Term Refinance 7.9 361025311 60131.19 Cash Out Refinance 8.8 361025312 259818.34 Cash Out Refinance 7.8 361025315 152858.25 Cash Out Refinance 8.3 361025321 292094.05 Cash Out Refinance 7.85 361025324 125235.51 Cash Out Refinance 8.15 361025333 175899.79 Cash Out Refinance 8.8 361025335 87215.58 Cash Out Refinance 9.6 361025338 99762.07 Purchase 7.2 361025352 180500 Cash Out Refinance 7.55 361025359 143930.65 Cash Out Refinance 9.6 361025378 71912.27 Rate/Term Refinance 8.49 361025394 119905.45 Cash Out Refinance 7.2 361025403 136184.22 Purchase 8.5 361025409 167867.64 Cash Out Refinance 7.2 361025417 89850.57 Cash Out Refinance 6.95 361025419 134191.35 Purchase 7.29 361025431 166043.66 Cash Out Refinance 8.4 361025432 350507.91 Cash Out Refinance 7.8 361025436 89548.98 Cash Out Refinance 8.8 361025479 99016.15 Rate/Term Refinance 6.4 361025569 98041.18 Cash Out Refinance 8.55 361025577 97515.14 Cash Out Refinance 6.7 371024968 88091.65 Rate/Term Refinance 8.45 371025110 125395.52 Purchase 7.05 371025149 276470.64 Rate/Term Refinance 7.5 371025300 107649.31 Purchase 6.95 371025358 89854.63 Cash Out Refinance 7.09 371025501 97600 Purchase 5.6 371025507 126990.31 Purchase 7.75 371025508 119782.45 Cash Out Refinance 6.5 371025519 119105.4 Purchase 8.15 371025575 105890.82 Cash Out Refinance 9.3 371025611 84400 Purchase 8.25 371025617 145504.27 Rate/Term Refinance 8.1 371025619 145600 Purchase 6.45 371025637 202500 Cash Out Refinance 5.85 371025732 98156.61 Purchase 7 371025749 209637.36 Cash Out Refinance 6.75 371025768 72650.27 Purchase 7 371025789 119079.8 Purchase 6.75 371025802 104371.63 Purchase 8.45 371025847 119849.54 Cash Out Refinance 8.35 371025853 50362.99 Purchase 10.99 371025879 217413.44 Purchase 8.65 371025896 99600 Purchase 6.8 371025908 131811.77 Purchase 9.7 371025916 188679.95 Purchase 6.85 371025962 79786.14 Purchase 7.65 371025973 75498 Purchase 7.99 371025998 97358.58 Purchase 7 371026002 98822.59 Purchase 7.99 371026005 98822.59 Purchase 7.99 371026019 122932.99 Purchase 7.4 371026020 96650.02 Purchase 7.3 371026032 123556.35 Purchase 7.25 371026033 80649.6 Cash Out Refinance 8.85 371026034 86260.71 Purchase 7.1 371026055 145784.77 Cash Out Refinance 7.55 371026090 115875.43 Cash Out Refinance 9.1 371026091 126164.09 Purchase 6.35 371026094 65512.67 Purchase 8 371026106 169600 Cash Out Refinance 6.6 371026126 94270.03 Purchase 7.89 371026172 135815.03 Cash Out Refinance 7.95 371026196 178254.25 Cash Out Refinance 7.89 371026218 59955.84 Purchase 10.875 371026243 95084.1 Purchase 9.05 371026280 59920.03 Purchase 8.05 371026307 184755.42 Cash Out Refinance 8.09 371026333 125778.13 Purchase 6.65 371026346 96775.99 Purchase 8.25 371026348 184954.3 Cash Out Refinance 7.15 371026355 154875.43 Purchase 7.1 371026361 200000 Cash Out Refinance 6.8 371026376 220610.86 Cash Out Refinance 6.65 371026426 105429.76 Purchase 7.1 371026438 171766.14 Cash Out Refinance 8.2 371026445 107871.36 Cash Out Refinance 8.6 371026474 107810.39 Cash Out Refinance 8.15 371026490 134693.68 Cash Out Refinance 7.39 371026501 133187.46 Cash Out Refinance 6.85 371026507 101348.88 Cash Out Refinance 7.5 371026512 149379.47 Cash Out Refinance 7.55 371026514 159364.72 Cash Out Refinance 7.55 371026515 146184.18 Cash Out Refinance 7.55 371026520 97373.26 Cash Out Refinance 10.1 371026532 225539.74 Cash Out Refinance 8.4 371026540 87891.43 Cash Out Refinance 8.45 371026546 144855.37 Cash Out Refinance 5.99 371026547 149245.13 Cash Out Refinance 6.85 371026573 143817.59 Cash Out Refinance 8.3 371026585 116921.5 Cash Out Refinance 8 371026610 105450.46 Purchase 7.75 371026629 143758.55 Cash Out Refinance 6.9 371026747 130400.2 Cash Out Refinance 7.35 371026803 139259.12 Purchase 6.75 371026834 124657.68 Purchase 6.95 381019989 307457.66 Cash Out Refinance 6.65 381020477 184250.69 Cash Out Refinance 5.95 381020625 364769.06 Cash Out Refinance 5.99 381020727 242324.47 Cash Out Refinance 6.4 381021003 80370.22 Cash Out Refinance 7.1 381021143 74487.28 Cash Out Refinance 7.65 381021161 169931.07 Cash Out Refinance 6.7 381021169 207800.73 Cash Out Refinance 5.59 381021238 147000.65 Cash Out Refinance 6.85 381021250 134230.48 Cash Out Refinance 6.5 381021261 156990.95 Cash Out Refinance 6.99 381021276 222904.08 Cash Out Refinance 7.3 381021319 150014.11 Purchase 6.813 381021321 127788.86 Purchase 6.99 381021415 124925.04 Purchase 7.6 381021477 199680.77 Cash Out Refinance 7.15 381021492 151200 Purchase 7.05 381021495 123808.97 Purchase 7.6 381021507 177869.03 Cash Out Refinance 6.7 381021574 207741.86 Cash Out Refinance 8.4 381021642 293000 Cash Out Refinance 7.25 381021661 234602.07 Cash Out Refinance 6.85 381021663 211644.52 Cash Out Refinance 6.9 381021675 159683.68 Cash Out Refinance 6.05 381021679 116811.38 Purchase 7.1 381021681 114100 Cash Out Refinance 6.9 381021683 149774.42 Cash Out Refinance 7.45 381021717 262446.03 Cash Out Refinance 6.75 381021725 157786.83 Cash Out Refinance 7.99 381021742 79863.2 Cash Out Refinance 6.8 381021750 426894.61 Cash Out Refinance 7.75 381021773 301493.61 Cash Out Refinance 6.9 381021793 142717.29 Cash Out Refinance 6.05 381021804 111788.95 Cash Out Refinance 6.3 381021832 215644.17 Cash Out Refinance 6.99 381021838 161720.26 Cash Out Refinance 6.75 381021848 199725.22 Cash Out Refinance 7.9 381021879 226000 Cash Out Refinance 6.8 381021884 233530.34 Cash Out Refinance 6.3 381021894 153777.49 Cash Out Refinance 7.65 381021902 202010.62 Cash Out Refinance 7.7 381021912 237311.01 Cash Out Refinance 7.15 381021919 193194.17 Cash Out Refinance 7.2 381021929 258053.61 Cash Out Refinance 6.75 381021935 224609.57 Cash Out Refinance 6.725 381021938 199445.98 Cash Out Refinance 7.39 381021964 169534.27 Cash Out Refinance 7.25 381021972 144650.53 Cash Out Refinance 6.7 381021976 255526.8 Cash Out Refinance 6.4 381021977 229126.37 Cash Out Refinance 7.05 381021979 207671.26 Cash Out Refinance 7.2 381021984 134798.59 Cash Out Refinance 7.49 381021989 109844.24 Cash Out Refinance 7.75 381021997 240000 Cash Out Refinance 7.25 381022000 202624.78 Cash Out Refinance 6.4 381022017 248197.85 Cash Out Refinance 8.5 381022018 114752.38 Cash Out Refinance 5.6 381022019 254579.92 Cash Out Refinance 6.99 381022021 125766.66 Cash Out Refinance 6.39 381022025 194843.29 Cash Out Refinance 7.1 381022030 135330.54 Cash Out Refinance 9.3 381022032 318600 Cash Out Refinance 6.55 381022034 149753.38 Cash Out Refinance 7 381022037 219648.93 Cash Out Refinance 7.6 381022038 107220.14 Cash Out Refinance 8.525 381022039 277647.85 Cash Out Refinance 8.3 381022049 168012.21 Cash Out Refinance 6.8 381022051 206841.71 Cash Out Refinance 7.35 381022060 169703.57 Cash Out Refinance 6.7 381022071 143746.44 Cash Out Refinance 6.65 381022085 100824.27 Cash Out Refinance 6.79 381022088 172819.93 Cash Out Refinance 9.25 381022092 269547.26 Cash Out Refinance 6.9 381022094 343637.43 Cash Out Refinance 9.19 381022097 204765.69 Cash Out Refinance 8.8 381022106 144749.61 Cash Out Refinance 6.75 381022108 239500 Cash Out Refinance 6.8 381022112 223620.7 Cash Out Refinance 6.85 381022123 221556.03 Cash Out Refinance 5.99 381022139 175779.33 Cash Out Refinance 8.35 381022140 277000 Cash Out Refinance 6.9 381022143 195783.19 Cash Out Refinance 9.75 381022154 119796.8 Cash Out Refinance 6.85 381022155 331900 Cash Out Refinance 7.7 381022159 237135.65 Cash Out Refinance 7.35 381022165 289470.34 Cash Out Refinance 6.6 381022167 279777.19 Cash Out Refinance 7.15 381022169 231603.28 Cash Out Refinance 6.8 381022174 219551.29 Cash Out Refinance 6.65 381022177 247379.54 Cash Out Refinance 9.55 381022178 191864.49 Cash Out Refinance 7.75 381022184 123805.95 Cash Out Refinance 7.25 381022185 174703.67 Cash Out Refinance 6.85 381022196 287671.56 Cash Out Refinance 6.95 381022207 49975.4 Cash Out Refinance 9.5 381022213 179897.51 Rate/Term Refinance 8.8 381022215 254576.59 Cash Out Refinance 6.95 381022216 131942.23 Rate/Term Refinance 10.05 381022227 411294.58 Cash Out Refinance 5.89 381022228 274016.66 Cash Out Refinance 6.65 381022229 322519.08 Cash Out Refinance 7.5 381022231 160883.66 Cash Out Refinance 6.25 381022239 214583.01 Cash Out Refinance 6.15 381022242 136254.92 Cash Out Refinance 6.55 381022247 227125.21 Cash Out Refinance 6.99 381022257 212318.83 Cash Out Refinance 6.8 381022258 172181.15 Cash Out Refinance 6.4 381022264 314600.98 Cash Out Refinance 8.3 381022267 171654.4 Cash Out Refinance 5.99 381022274 200000 Cash Out Refinance 6.5 381022280 319065.44 Cash Out Refinance 7.95 381022281 238135.93 Cash Out Refinance 7.375 381022289 185628.03 Cash Out Refinance 5.99 381022295 137507.49 Cash Out Refinance 7.99 381022300 313151.42 Cash Out Refinance 7.7 381022304 339405.97 Cash Out Refinance 6.69 381022307 183750 Cash Out Refinance 6.9 381022316 176746.81 Cash Out Refinance 7.7 381022317 255215.61 Cash Out Refinance 7.45 381022322 157206.06 Cash Out Refinance 6.35 381022325 131847.57 Cash Out Refinance 8.75 381022326 357264.96 Cash Out Refinance 8.1 381022327 259803.14 Cash Out Refinance 7.4 381022329 184695.23 Cash Out Refinance 6.99 381022333 207643.62 Cash Out Refinance 6.79 381022341 294512.08 Cash Out Refinance 8.25 381022342 131165.93 Cash Out Refinance 8.25 381022350 81536.97 Cash Out Refinance 7.3 381022357 174711.72 Cash Out Refinance 6.99 381022364 131867.33 Cash Out Refinance 5.95 381022370 250386.84 Rate/Term Refinance 6.99 381022403 183596.28 Cash Out Refinance 5.5 381022421 164855.14 Cash Out Refinance 6.65 381022443 54972.95 Purchase 9.5 391010480 56029.57 Cash Out Refinance 10.3 391011310 164473.7 Rate/Term Refinance 7.9 391011534 137393.18 Cash Out Refinance 9.45 391011837 82651.39 Cash Out Refinance 9.9 391011879 212981.29 Purchase 5.74 391011898 149585.51 Purchase 7.1 391011942 57916.19 Purchase 7.65 391011984 255890.09 Cash Out Refinance 7.2 391012004 82306.65 Cash Out Refinance 9 391012053 78752.66 Rate/Term Refinance 9.55 391012115 69209.45 Purchase 8 391012122 53092.21 Purchase 8 391012148 127715.27 Purchase 7.55 391012170 163429.35 Purchase 7.45 391012214 50935.98 Rate/Term Refinance 10.3 391012215 108720 Purchase 5.95 391012228 85258.05 Purchase 8.8 391012244 79903.72 Rate/Term Refinance 8.55 391012259 63508.11 Purchase 7.65 391012265 64936.45 Purchase 11.5 391012309 98186.06 Purchase 7.65 391012311 119540.65 Purchase 6.95 391012313 83829.36 Purchase 8.05 391012318 77073.07 Purchase 7 391012320 76611.43 Purchase 7.05 391012338 68258.58 Purchase 7.9 391012385 71108.89 Purchase 8.25 391012405 143708.21 Purchase 8 391012413 97854.09 Purchase 7.5 391012436 58441.61 Purchase 9.45 391012443 148555.35 Purchase 7 391012462 124917.42 Purchase 7.6 391012463 124917.42 Purchase 7.6 391012488 127905.26 Cash Out Refinance 10.85 391012495 59843.32 Purchase 8.25 391012527 75490.06 Purchase 7.9 391012529 107847.05 Purchase 7.75 391012537 60735.37 Purchase 9.15 391012544 99288 Purchase 7.3 391012558 238175.99 Cash Out Refinance 6.85 391012591 63872.8 Purchase 10.05 391012600 268603.39 Cash Out Refinance 9.85 391012610 83756.68 Purchase 8.2 391012616 64684.78 Purchase 6.6 391012629 113819.82 Rate/Term Refinance 7.2 391012630 95062.44 Purchase 7.65 391012657 313028.54 Cash Out Refinance 7.45 391012665 104270.79 Purchase 8.4 391012670 105431.44 Purchase 7.15 391012674 62460.15 Cash Out Refinance 7.15 391012678 71919.91 Cash Out Refinance 8.95 391012725 94870.79 Rate/Term Refinance 7.95 391012729 116848.74 Cash Out Refinance 8.2 391012735 60679.67 Cash Out Refinance 8.09 391012745 71917.7 Rate/Term Refinance 8.8 391012754 148852.3 Purchase 6 391012755 179827.84 Cash Out Refinance 9.75 391012760 61506.43 Purchase 7.4 391012766 116612.76 Cash Out Refinance 8.5 391012770 69937.79 Cash Out Refinance 10 391012771 59927.04 Purchase 8.5 391012791 159712.72 Cash Out Refinance 6.55 391012808 103817.74 Cash Out Refinance 7.05 391012818 75897.46 Cash Out Refinance 7.99 391012826 189309.13 Cash Out Refinance 7.35 391012830 55017.96 Cash Out Refinance 7.5 391012835 128838.24 Cash Out Refinance 8.35 391012839 68722.82 Cash Out Refinance 8.89 391012840 279611.39 Cash Out Refinance 7.85 391012842 63928.32 Cash Out Refinance 8.898 391012850 112209.68 Cash Out Refinance 6.85 391012873 279472.38 Rate/Term Refinance 6.3 391012875 155772.32 Cash Out Refinance 7.6 391012877 189283.69 Cash Out Refinance 7.99 391012893 117807.87 Cash Out Refinance 8.8 391012898 69103.95 Cash Out Refinance 7.85 391012900 59453.21 Cash Out Refinance 10.57 391012928 106359.48 Rate/Term Refinance 8.1 391012941 102940.79 Cash Out Refinance 6.45 391012967 51139.01 Rate/Term Refinance 8.6 391012969 152806.15 Cash Out Refinance 8.35 391012985 159677.59 Rate/Term Refinance 5.95 391012990 75408.2 Purchase 8.5 391012992 116102.92 Purchase 6.35 391013006 127363.07 Cash Out Refinance 9.1 391013009 267677.48 Cash Out Refinance 8.55 391013031 50664.46 Cash Out Refinance 9.8 391013048 49866.07 Cash Out Refinance 8.85 391013063 89950.33 Cash Out Refinance 8.95 391013066 113890.92 Cash Out Refinance 9.65 391013079 99856.96 Cash Out Refinance 7.7 391013106 119790.34 Purchase 6.69 391013152 147369.47 Cash Out Refinance 7.3 391013229 143908.18 Rate/Term Refinance 8.25 401000873 142800 Rate/Term Refinance 7.3 401001261 70943.61 Rate/Term Refinance 7.55 401001285 214566.75 Cash Out Refinance 5.95 401001337 100000 Cash Out Refinance 7.84 401001467 314494.5 Purchase 8.1 401001478 216483.73 Cash Out Refinance 8.45 401001498 263201.14 Cash Out Refinance 7.9 401001526 265954.99 Cash Out Refinance 8.95 401001551 163729.45 Cash Out Refinance 7 401001556 179752.69 Cash Out Refinance 7.9 401001557 167250 Cash Out Refinance 6.7 401001560 158177.48 Rate/Term Refinance 7.79 401001564 149819.1 Cash Out Refinance 8.54 401001591 301916.94 Cash Out Refinance 5.8 401001609 149689.85 Cash Out Refinance 6.6 401001647 107100 Cash Out Refinance 7.2 401001683 51944.15 Cash Out Refinance 9.1 401001689 247719.45 Cash Out Refinance 8.85 401001695 70143.11 Cash Out Refinance 10.43 401001708 129591.92 Rate/Term Refinance 10.3 401001746 75972.4 Cash Out Refinance 9.344 401001772 223608.55 Cash Out Refinance 6.7 401001776 54928.16 Cash Out Refinance 8.15 401001787 251569.08 Cash Out Refinance 6.8 401001792 58661.72 Cash Out Refinance 8.05 401001794 151300 Cash Out Refinance 8.25 401001801 208000 Cash Out Refinance 7.45 401001822 101104.18 Cash Out Refinance 9.7 401001844 107927.53 Cash Out Refinance 8 401001901 151300 Cash Out Refinance 6.15 401001908 132871.39 Cash Out Refinance 9.6 401001918 49930.6 Cash Out Refinance 7.85 401001919 207749.67 Cash Out Refinance 8.55 401001920 56929.25 Cash Out Refinance 8.4 401001922 107072.68 Cash Out Refinance 12.3 401001923 53521.77 Cash Out Refinance 7.6 401001928 189878.84 Cash Out Refinance 8.25 401001929 179000 Cash Out Refinance 6.95 401001940 229173.86 Cash Out Refinance 8.55 401001954 103859.96 Cash Out Refinance 8 401001961 269613.78 Cash Out Refinance 7.7 401001965 214625.09 Cash Out Refinance 6.7 401001967 252604.07 Cash Out Refinance 7.25 401001971 115845.4 Cash Out Refinance 8.05 401001987 134812.64 Cash Out Refinance 7.85 401001988 179822.22 Cash Out Refinance 9.5 401001990 127927.53 Cash Out Refinance 8 401001993 224599.83 Cash Out Refinance 6.6 401002001 298800 Cash Out Refinance 6.08 401002004 76916.71 Cash Out Refinance 9.065 401002023 99859.81 Cash Out Refinance 7.8 401002028 259524.04 Cash Out Refinance 6.45 401002029 114325 Cash Out Refinance 7.7 401002032 129376.21 Cash Out Refinance 6.75 401002040 167855.43 Cash Out Refinance 10.15 401002044 284764.08 Cash Out Refinance 6.95 401002082 86661.79 Cash Out Refinance 7.19 401002088 307447.01 Cash Out Refinance 6.55 401002100 55906.02 Cash Out Refinance 8.15 401002106 107250 Cash Out Refinance 6.44 401002107 301750 Cash Out Refinance 7.95 401002109 113848.05 Cash Out Refinance 8.05 401002139 335499.72 Cash Out Refinance 7.5 401002143 219900 Cash Out Refinance 6.45 401002152 147924.87 Cash Out Refinance 9.35 401002179 179952.09 Cash Out Refinance 6.7 401002180 167000 Rate/Term Refinance 6.35 401002188 250868.38 Cash Out Refinance 7.4 401002189 294764.84 Cash Out Refinance 7.55 401002190 102761.45 Cash Out Refinance 6.75 401002192 247498.7 Cash Out Refinance 8.5 401002220 175896.63 Cash Out Refinance 8.65 401002222 225845.25 Cash Out Refinance 7.9 401002224 162387.6 Cash Out Refinance 7.85 401002248 272000 Cash Out Refinance 6.4 401002294 286143.79 Cash Out Refinance 7.65 401002295 299284.22 Cash Out Refinance 5.05 401002360 118921.76 Cash Out Refinance 8.1 511034365 190810.13 Cash Out Refinance 6.99 511035043 123128.88 Cash Out Refinance 7.85 511035457 191865.85 Cash Out Refinance 7.8 511035483 149192.66 Rate/Term Refinance 7.85 511035558 89452.69 Rate/Term Refinance 7 511035560 142908.68 Purchase 5.9 511035576 66305.5 Purchase 7.725 511035586 211363.67 Purchase 6 511035607 238979.45 Purchase 8.7 511035611 132516.19 Purchase 5.64 511035650 159039.43 Cash Out Refinance 9.4 511035691 149280.68 Purchase 6.65 511035736 87863.3 Cash Out Refinance 7 511035770 99020.16 Purchase 6.5 511035859 150137.73 Purchase 6.7 511035911 146018.42 Purchase 6.19 511035955 127431.45 Purchase 7.09 511035960 151826.26 Purchase 8.8 511035961 143405.35 Purchase 7.5 511036003 153576.07 Purchase 6.5 511036033 143806.12 Rate/Term Refinance 8 511036079 248000 Cash Out Refinance 6.95 511036088 355730.08 Cash Out Refinance 7.6 511036104 153454.65 Cash Out Refinance 6.2 511036115 302931.22 Purchase 8.5 511036121 151697.3 Cash Out Refinance 6.95 511036129 146633.03 Purchase 6.8 511036200 49953.15 Cash Out Refinance 9.75 511036205 181031.27 Purchase 7.75 511036211 89857.75 Cash Out Refinance 7.2 511036239 104960.16 Cash Out Refinance 7.4 511036246 68372.82 Cash Out Refinance 10.5 511036279 186689.51 Cash Out Refinance 6.95 511036289 152717 Cash Out Refinance 6.4 511036290 55914.5 Purchase 7.4 511036294 102261.3 Rate/Term Refinance 8.6 511036300 207651.22 Cash Out Refinance 6.9 511036360 139490.7 Cash Out Refinance 6.4 511036413 129830.22 Cash Out Refinance 8.15 521023891 73412.7 Purchase 7.6 521023945 111668 Purchase 7.55 521024261 73405.96 Purchase 9.3 521024265 195810.46 Cash Out Refinance 9.6 521024331 92975.92 Purchase 8.05 521024386 79852.71 Purchase 8.5 521024403 95080.03 Purchase 8.325 521024663 130506.41 Purchase 9.05 521024758 136505.52 Purchase 7.7 521024852 99791.67 Cash Out Refinance 9.5 521024960 107877.83 Purchase 8.85 521025020 150723.67 Purchase 6.89 521025069 100935.6 Cash Out Refinance 8.25 521025149 142151 Purchase 7.95 521025205 79750.44 Cash Out Refinance 8.39 521025220 97567.38 Purchase 8.4 521025224 158945.88 Rate/Term Refinance 7.15 521025242 103873.59 Purchase 10.45 521025258 139680 Purchase 7.25 521025259 126422.51 Cash Out Refinance 7.8 521025282 73898.32 Purchase 7.9 521025289 58378.83 Purchase 8.6 521025345 108236.17 Purchase 7.425 521025356 152631.84 Purchase 7.14 521025385 69495.38 Cash Out Refinance 9.45 521025414 122832.7 Purchase 7.95 521025434 50303.81 Cash Out Refinance 9.85 521025440 79805.65 Purchase 7.1 521025453 52171.47 Purchase 9.45 521025466 52301.12 Purchase 8.35 521025585 59919.87 Purchase 8.04 521025638 51234.91 Purchase 10.25 521025643 107126.13 Purchase 8.75 521025675 111939.65 Rate/Term Refinance 7.7 521025677 77045.26 Purchase 9.59 521025681 66541.77 Purchase 7.55 521025750 83897.86 Purchase 8.5 521025751 103314.42 Purchase 8.6 521025767 74380.4 Cash 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Out Refinance 7.3 631007822 211742.23 Cash Out Refinance 8.5 631007826 233750 Cash Out Refinance 7.35 631007843 294459.73 Cash Out Refinance 6.45 631007854 310000 Cash Out Refinance 5.9 631007864 221000 Cash Out Refinance 6.2 631007878 139762.94 Cash Out Refinance 6.85 631007888 129900 Cash Out Refinance 6.55 631007890 230000 Cash Out Refinance 6.59 631007896 148189.03 Purchase 7.5 631007903 223357.35 Cash Out Refinance 9.05 631007906 316500 Cash Out Refinance 7.2 631007913 278536.76 Cash Out Refinance 6.95 631007914 159997.42 Cash Out Refinance 5.99 631007915 220000 Cash Out Refinance 6.3 631007928 166717.22 Cash Out Refinance 6.85 631007934 133000 Cash Out Refinance 6.8 631007936 169749.4 Cash Out Refinance 7.55 631007952 169860.38 Cash Out Refinance 6.99 631007961 225500 Cash Out Refinance 6.7 631007988 194746.54 Cash Out Refinance 8.225 631007994 210000 Cash Out Refinance 6.4 631008061 49985.54 Cash Out Refinance 11.95 641007356 81313.24 Purchase 9.45 641008371 74918.61 Cash Out 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Purchase 7.99 641009221 60015.27 Purchase 8.74 641009246 129410.86 Cash Out Refinance 7.6 641009297 94639.08 Cash Out Refinance 8.125 641009313 83093.54 Purchase 8.25 641009317 75141.88 Cash Out Refinance 10.65 641009331 133207.31 Purchase 6.7 641009335 53940.66 Cash Out Refinance 8.99 641009363 111849.2 Purchase 8 641009381 86403.51 Purchase 8 641009382 59907.04 Purchase 7.3 641009397 55545.58 Cash Out Refinance 9.75 641009408 90522.05 Purchase 8.6 641009410 70318.69 Purchase 8.75 641009435 66623.6 Purchase 9.8 641009437 91878.61 Purchase 8.1 641009467 134817.86 Purchase 7.99 641009473 54340.36 Cash Out Refinance 9 641009478 110424.8 Cash Out Refinance 6.6 641009504 99923.53 Cash Out Refinance 7.35 641009521 50365.44 Cash Out Refinance 11.2 641009524 94296.28 Cash Out Refinance 8.99 641009530 66013.24 Cash Out Refinance 7.95 641009550 114818.24 Cash Out Refinance 7.2 641009560 119372.45 Purchase 6.25 641009574 85854.38 Rate/Term Refinance 6.85 641009603 175779.33 Rate/Term Refinance 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Rate/Term Refinance 10.25 661006145 118196.17 Purchase 6 661006195 220000 Cash Out Refinance 6.35 661006578 253581.56 Cash Out Refinance 6.99 661006579 250000 Cash Out Refinance 6.25 661006628 180000 Cash Out Refinance 7.15 661006729 174294.27 Cash Out Refinance 8.65 661006861 108000 Purchase 5.9 661006890 280845.24 Cash Out Refinance 9.5 661006898 199743.06 Cash Out Refinance 6.85 661006915 103837.25 Cash Out Refinance 7.25 661006919 224684.56 Cash Out Refinance 7.8 661006939 274594.63 Cash Out Refinance 7.55 661007032 129738.04 Cash Out Refinance 5.95 661007033 174778.33 Cash Out Refinance 8.3 661007052 95841.84 Cash Out Refinance 6.99 661007078 114566.17 Cash Out Refinance 8.7 661007081 180000 Cash Out Refinance 6.65 661007084 139829.06 Rate/Term Refinance 8.48 661007101 299469.18 Cash Out Refinance 6.625 661007103 356400 Rate/Term Refinance 6.95 661007126 149600 Cash Out Refinance 6.95 661007127 187567.5 Cash Out Refinance 7.45 661007136 289940.88 Cash Out Refinance 6.19 661007140 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Cash Out Refinance 5.45 661007327 188163.2 Cash Out Refinance 6.575 661007333 161343.82 Cash Out Refinance 9.6 661007335 159793.14 Cash Out Refinance 8.2 661007338 143449.53 Cash Out Refinance 7 661007349 256000 Cash Out Refinance 5.85 661007366 287623.87 Cash Out Refinance 8.15 661007367 194747.9 Cash Out Refinance 8.2 661007370 243404.83 Cash Out Refinance 7.75 661007371 286025.19 Cash Out Refinance 8.14 661007384 171242.08 Cash Out Refinance 7.45 661007410 110264.29 Cash Out Refinance 5.65 661007412 129762.02 Cash Out Refinance 6.45 661007416 176000 Rate/Term Refinance 6.35 661007421 204500 Cash Out Refinance 6.25 661007429 200000 Cash Out Refinance 5.55 661007436 174165.18 Cash Out Refinance 8 661007437 167766.84 Cash Out Refinance 7.85 661007458 164683.04 Cash Out Refinance 6.2 661007459 394982.42 Cash Out Refinance 6.75 661007462 326721.51 Cash Out Refinance 7.59 661007469 339346.87 Cash Out Refinance 6.2 661007478 247504.05 Cash Out Refinance 5.99 661007480 232581.66 Cash Out 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Refinance 6.2 671004424 244500 Cash Out Refinance 5.99 671004427 239683.35 Rate/Term Refinance 8.1 671004431 199637.4 Cash Out Refinance 6.5 671004446 320000 Cash Out Refinance 6.84 671004453 323000 Cash Out Refinance 5.8 671004466 171946.7 Cash Out Refinance 6.65 671004477 113106.55 Cash Out Refinance 8.3 671004505 271330.44 Cash Out Refinance 7.95 671004523 259000 Cash Out Refinance 5.5 671004529 85358.03 Cash Out Refinance 6.95 671004533 239649.73 Cash Out Refinance 7.6 671004545 195651.5 Cash Out Refinance 6.6 671004546 354336.17 Cash Out Refinance 6.34 671004591 169878.11 Cash Out Refinance 7.69 671004642 85919.18 Cash Out Refinance 6.3 671004669 336622 Cash Out Refinance 6.8 681005341 102187.2 Purchase 7.875 681005524 150970.33 Purchase 7.4 681005543 259554.4 Cash Out Refinance 7.45 681005568 112213.43 Rate/Term Refinance 6.85 681005640 189728.23 Cash Out Refinance 7.7 681005661 87825.25 Purchase 8.1 681005667 143198.27 Purchase 6.99 681005716 142120.07 Purchase 8.15 681005833 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681006522 194110.56 Cash Out Refinance 7.5 681006524 172279.26 Cash Out Refinance 8.25 681006529 107926.34 Cash Out Refinance 11.225 681006530 51803.36 Purchase 9.5 681006531 328015.74 Cash Out Refinance 7.55 681006537 79472.95 Purchase 7.15 681006542 194855.28 Cash Out Refinance 7.5 681006557 152268.36 Cash Out Refinance 7.4 681006558 159749.62 Cash Out Refinance 7.25 681006573 59405.56 Cash Out Refinance 7.99 681006574 59905.92 Cash Out Refinance 7.24 681006582 179706.96 Cash Out Refinance 7.05 681006586 83556.95 Cash Out Refinance 9.065 681006587 63459.08 Cash Out Refinance 10.475 681006591 259578.13 Cash Out Refinance 7.1 681006600 152750.91 Cash Out Refinance 7.05 681006615 118212.86 Cash Out Refinance 7.2 681006618 72892.38 Cash Out Refinance 7.55 681006624 197581.67 Cash Out Refinance 5.95 681006626 141036.09 Purchase 8.725 681006631 181499.76 Cash Out Refinance 8.95 681006652 141942.2 Cash Out Refinance 6.5 681006659 150883.52 Rate/Term Refinance 5.75 681006674 156611.03 Cash 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Cash Out Refinance 5.4 701001053 249524.71 Cash Out Refinance 6.525 701001077 191674.87 Cash Out Refinance 6.85 701001080 211604.34 Cash Out Refinance 6.35 701001097 267667.4 Cash Out Refinance 8.4 711006618 99789.03 Cash Out Refinance 7.8 711006733 112393.48 Cash Out Refinance 9.7 711006821 124826.51 Cash Out Refinance 7.85 711006920 53169.41 Cash Out Refinance 12 711006947 143835.42 Cash Out Refinance 8.8 711007070 280398.34 Cash Out Refinance 7.7 711007071 222454.39 Cash Out Refinance 6 711007072 190001.47 Cash Out Refinance 5.75 711007092 129808.38 Cash Out Refinance 7.55 711007095 219537.69 Cash Out Refinance 7 711007104 51924.86 Cash Out Refinance 7.65 711007122 99825.62 Cash Out Refinance 6.7 711007140 291910.58 Cash Out Refinance 5.95 711007196 59728.8 Cash Out Refinance 10.1 711007208 258303.19 Cash Out Refinance 6.75 711007209 164661.13 Cash Out Refinance 5.85 711007214 54542.58 Cash Out Refinance 9.2 711007235 281729.12 Cash Out Refinance 6.925 711007236 101354.53 Cash Out Refinance 7.69 711007240 105755.96 Cash Out Refinance 7.95 711007241 108865.29 Cash Out Refinance 8.42 711007243 174766.76 Cash Out Refinance 8.05 711007246 119854.09 Cash Out Refinance 8.5 711007247 104800.23 Cash Out Refinance 6.25 711007256 194132.9 Cash Out Refinance 7.9 711007289 113873.69 Cash Out Refinance 8.95 711007303 112003.48 Cash Out Refinance 6.75 711007305 234821.72 Cash Out Refinance 7.4 711007307 162851.88 Cash Out Refinance 5.65 711007308 144260.08 Cash Out Refinance 6.95 711007319 99671.79 Cash Out Refinance 8.3 711007328 178713.71 Cash Out Refinance 7.14 711007366 344711.58 Cash Out Refinance 6.9 711007466 201596.81 Cash Out Refinance 6 721006708 69217.45 Rate/Term Refinance 8.6 721006785 74553.58 Cash Out Refinance 10.05 721006786 100551.51 Purchase 7.05 721006886 196712.49 Cash Out Refinance 7.6 721006940 142400 Purchase 7.7 721006944 63966.1 Cash Out Refinance 8.35 721007009 108617.2 Cash Out Refinance 6.89 721007050 323597.9 Cash Out Refinance 8.4 721007097 118625.84 Cash Out Refinance 9.3 721007103 275073.12 Cash Out Refinance 7.3 721007127 130313.34 Cash Out Refinance 7.7 721007128 121405.91 Cash Out Refinance 7.15 721007161 260800 Cash Out Refinance 6.125 721007165 177892.37 Cash Out Refinance 8.15 721007173 158213.25 Cash Out Refinance 8.65 721007184 255498.04 Cash Out Refinance 6.1 721007190 157263.13 Cash Out Refinance 7.45 721007195 293415.51 Cash Out Refinance 6.325 721007207 159739.52 Cash Out Refinance 7.05 721007235 163804.76 Cash Out Refinance 5.05 721007239 80903.52 Cash Out Refinance 8.6 721007240 71916.71 Cash Out Refinance 10.99 721007243 88237.86 Cash Out Refinance 8.29 721007252 336961.28 Cash Out Refinance 7.15 721007268 121422.52 Cash Out Refinance 7.6 721007279 146922.6 Cash Out Refinance 7.55 721007292 172193.28 Cash Out Refinance 6.6 721007298 49948.5 Cash Out Refinance 9.3 721007299 130725.18 Cash Out Refinance 8.04 721007301 300000 Cash Out Refinance 7.05 721007307 101880.99 Cash Out Refinance 8.7 721007308 55238.73 Cash Out Refinance 8.95 721007313 169691.79 Cash Out Refinance 6.5 721007315 108352.98 Cash Out Refinance 8 721007319 194385.26 Cash Out Refinance 7.95 721007320 155700.33 Cash Out Refinance 6.2 721007322 119821.32 Cash Out Refinance 7.5 721007325 182870.86 Cash Out Refinance 6.95 721007329 135813.13 Cash Out Refinance 7.9 721007334 109370.51 Cash Out Refinance 8.15 721007338 89504.78 Cash Out Refinance 9.15 721007350 92790.73 Cash Out Refinance 6.79 721007370 52565.23 Cash Out Refinance 8.85 721007378 262101.27 Cash Out Refinance 7.4 721007384 189278.95 Rate/Term Refinance 6.85 721007392 139789.47 Cash Out Refinance 7.45 721007403 172703.47 Cash Out Refinance 6.79 721007439 169000 Cash Out Refinance 6.15 731010082 192000 Cash Out Refinance 6.3 731010185 111773.04 Purchase 8 731010191 162274.47 Cash Out Refinance 7.85 731010237 99845.05 Cash Out Refinance 7.3 731010433 87426.02 Cash Out Refinance 7.75 731010447 314746.85 Cash Out Refinance 7.1 731010514 59923.22 Purchase 8.25 731010561 102830.65 Cash Out Refinance 7 731010562 206846.38 Cash Out Refinance 7.5 731010578 66431.51 Cash Out Refinance 9.3 731010588 90857.59 Cash Out Refinance 7.25 731010628 51938.25 Cash Out Refinance 12.1 731010634 87671.44 Cash Out Refinance 6.55 731010687 86602.44 Cash Out Refinance 8.875 731010700 66279.1 Cash Out Refinance 7.65 731010702 81583.76 Cash Out Refinance 9.4 731010752 174918.36 Cash Out Refinance 9.75 731010778 58885.93 Cash Out Refinance 9 731010779 133761.83 Cash Out Refinance 7.79 731010817 134759.96 Cash Out Refinance 6.6 731010850 223135.23 Cash Out Refinance 9.29 731010915 248964.32 Cash Out Refinance 8 731010932 209640.91 Cash Out Refinance 6.8 731010982 110540.05 Cash Out Refinance 7.65 731011066 118474.56 Cash Out Refinance 8.6 731011152 112831.76 Cash Out Refinance 7.5 741010432 51190.81 Cash Out Refinance 11.35 741010866 120863.08 Purchase 6.4 741010875 87354.02 Cash Out Refinance 8.95 741010979 89414.73 Purchase 7.9 741011161 90101.01 Purchase 9 741011189 78304.67 Purchase 8.5 741011216 78852.96 Cash Out Refinance 8.55 741011337 105862.96 Cash Out Refinance 8.2 741011364 116764.14 Cash Out Refinance 7.55 741011383 134047.83 Purchase 8 741011400 64519.96 Cash Out Refinance 8.45 741011483 49457.63 Cash Out Refinance 8.2 741011525 63919.75 Cash Out Refinance 8.35 741011565 55989.03 Cash Out Refinance 9.04 741011608 114656.92 Purchase 7.91 741011612 67924.66 Cash Out Refinance 8.95 741011631 84889.95 Cash Out Refinance 8.2 741011636 75134.59 Cash Out Refinance 10.1 741011654 67933.4 Cash Out Refinance 9.54 741011677 137595.79 Cash Out Refinance 8.9 741011681 215521.6 Rate/Term Refinance 5.45 741011682 53954.53 Rate/Term Refinance 10.25 741011691 127317.21 Cash Out Refinance 7.7 741011701 60289.76 Cash Out Refinance 9.45 741011727 125823.35 Cash Out Refinance 7.8 741011733 69896.81 Cash Out Refinance 7.55 741011754 80874.25 Cash Out Refinance 7.29 741011818 154707.32 Cash Out Refinance 6.3 741011839 147695.45 Cash Out Refinance 9.25 741011845 99863.99 Cash Out Refinance 7.95 741011878 73906.07 Cash Out Refinance 8.29 741011899 104815.12 Cash Out Refinance 6.65 741011906 49918.6 Cash Out Refinance 7.05 741011919 78085.88 Cash Out Refinance 7.6 741011947 119803.55 Cash Out Refinance 7.3 741012036 121183.24 Cash Out Refinance 9.15 761008530 50766.95 Purchase 10.74 761009045 103745.28 Purchase 7.05 761009329 135804 Cash Out Refinance 9.65 761009634 67442.41 Cash Out Refinance 10.19 761009843 94328.58 Cash Out Refinance 10.14 761009890 67750.74 Rate/Term Refinance 8.05 761010012 59976.87 Cash Out Refinance 10.64 761010075 157500 Cash Out Refinance 8.25 761010090 74049.18 Cash Out Refinance 11.2 761010162 118662.8 Cash Out Refinance 8.75 761010179 138546.31 Cash Out Refinance 8.95 761010189 66449.04 Purchase 10.69 761010285 70904.75 Cash Out Refinance 10 761010328 73942.18 Cash Out Refinance 10.6 761010335 219999.87 Rate/Term Refinance 8.1 761010405 114840.92 Cash Out Refinance 9.69 761010434 66310.6 Cash Out Refinance 8 761010470 73588.39 Cash Out Refinance 9.9 761010474 51240.75 Cash Out Refinance 8.75 761010478 212778.29 Cash Out Refinance 9.25 761010513 89909.23 Cash Out Refinance 9.4 761010545 49960.09 Cash Out Refinance 10.5 761010547 122297.78 Rate/Term Refinance 10.29 761010548 49930.77 Cash Out Refinance 8.65 761010552 71833.45 Purchase 8.55 761010557 155803.1 Cash Out Refinance 8.69 761010561 89474.14 Cash Out Refinance 7.79 761010585 101826.44 Cash Out Refinance 6.825 761010623 135824.16 Cash Out Refinance 8.2 761010718 99658.51 Rate/Term Refinance 9.85 761010743 106273.96 Cash Out Refinance 8.65 761010744 68047.76 Cash Out Refinance 9.33 761010754 99865.37 Cash Out Refinance 8 761010755 125897.24 Cash Out Refinance 10.4 761010759 78935.58 Cash Out Refinance 10.4 761010808 68329.55 Cash Out Refinance 9.3 761010813 175710.69 Rate/Term Refinance 7.95 761010827 166361.25 Cash Out Refinance 10.3 761010842 114582.53 Cash Out Refinance 7.6 761011013 50957.05 Cash Out Refinance 10.25 771005111 74793.83 Cash Out Refinance 8.8 771005130 127835.86 Cash Out Refinance 8.24 771005182 73850.03 Purchase 8 771005198 49957.88 Cash Out Refinance 10.25 771005270 49933.35 Cash Out Refinance 8.05 771005282 58902.06 Purchase 9.4 771005341 81899.26 Cash Out Refinance 8.45 771005365 87614.26 Cash Out Refinance 9.2 771005371 115156.9 Rate/Term Refinance 8.4 771005425 176489.53 Cash Out Refinance 8.6 771005428 97451.07 Cash Out Refinance 10.6 771005492 71676.55 Cash Out Refinance 8.4 771005495 51959.36 Cash Out Refinance 10.6 771005497 125304.13 Cash Out Refinance 10.7 771005515 73741.2 Cash Out Refinance 8.8 771005552 56385.1 Cash Out Refinance 8.3 771005570 162212.46 Cash Out Refinance 8.75 771005604 67413.63 Cash Out Refinance 8.25 771005623 63917.88 Cash Out Refinance 10.2 771005635 49960.51 Cash Out Refinance 10.55 771005637 49929.89 Cash Out Refinance 7.8 771005652 84880.83 Cash Out Refinance 7.8 771005667 97870.71 Cash Out Refinance 8.1 771005679 82314.13 Cash Out Refinance 9.25 771005690 49929.89 Cash Out Refinance 7.8 771005695 87912.18 Rate/Term Refinance 9.45 771005703 55918.28 Cash Out Refinance 7.6 771005705 66365.22 Cash Out Refinance 9.2 771005706 169723.23 Cash Out Refinance 7.05 771005728 54259.81 Cash Out Refinance 10.2 771005729 76693.41 Cash Out Refinance 7.85 771005734 49949.58 Cash Out Refinance 9.4 771005742 79890.86 Rate/Term Refinance 10.15 771005789 49730.33 Cash Out Refinance 8.24 771005805 91929.65 Cash Out Refinance 7.35 771005829 61551.36 Cash Out Refinance 10.55 781003064 139701.04 Purchase 7.25 781003158 74421.64 Cash Out Refinance 9.2 781003307 262097.71 Cash Out Refinance 7.85 781003325 62944.33 Purchase 10.025 781003359 119625.98 Purchase 8.4 781003374 67462.93 Cash Out Refinance 8.975 781003481 178903.61 Cash Out Refinance 9 781003496 226323.57 Rate/Term Refinance 6.95 781003538 182348.93 Cash Out Refinance 6.95 781003540 186066.41 Cash Out Refinance 8.35 781003545 71176.46 Cash Out Refinance 9.29 781003577 55177.11 Cash Out Refinance 8.1 781003599 110353.48 Cash Out Refinance 7.95 781003609 172298.31 Cash Out Refinance 8.69 781003677 149722.74 Cash Out Refinance 6.4 781003687 136259.65 Cash Out Refinance 6.65 781003719 163659.98 Cash Out Refinance 5.8 781003736 49911.48 Cash Out Refinance 8.25 781003847 75993.56 Cash Out Refinance 7.5 791002266 51432.29 Purchase 8.19 791002317 55499.73 Rate/Term Refinance 6.9 791002523 135724.42 Purchase 8 791002611 75796.01 Purchase 9.89 791002612 62316.91 Cash Out Refinance 8.3 791002647 108656.46 Purchase 8.1 791002660 54858.48 Cash Out Refinance 10.75 791002677 59779.45 Cash Out Refinance 8.65 791002749 74699.73 Cash Out Refinance 8.05 791002761 62929.92 Cash Out Refinance 9 791002786 161392.51 Cash Out Refinance 8.04 791002850 105814.75 Cash Out Refinance 9.25 791002884 135832.93 Cash Out Refinance 8.45 791002935 52429.74 Cash Out Refinance 8.3 791002938 75531.61 Cash Out Refinance 7.25 791002960 66075.93 Cash Out Refinance 8.9 791002966 160405.99 Cash Out Refinance 7.4 791002993 58428.87 Cash Out Refinance 8.5 791003015 195713.94 Rate/Term Refinance 7.6 791003020 142995.91 Cash Out Refinance 7.6 791003027 125713.91 Rate/Term Refinance 8.25 791003046 146202.89 Rate/Term Refinance 8 791003072 140447.1 Cash Out Refinance 9.04 791003076 65411.16 Cash Out Refinance 8.6 791003078 119631.13 Cash Out Refinance 8.75 791003085 63374.43 Cash Out Refinance 8.6 791003089 60333.07 Rate/Term Refinance 8.95 791003091 70439.59 Cash Out Refinance 7.25 791003138 101912.18 Cash Out Refinance 6.75 791003148 49941.65 Cash Out Refinance 8.7 791003196 99838.8 Cash Out Refinance 7.1 831032634 243625.73 Rate/Term Refinance 8.5 831038842 324225.3 Cash Out Refinance 6.875 831039342 127875.67 Cash Out Refinance 8.75 831039347 127555.98 Purchase 7.9 831039986 114493.81 Cash Out Refinance 8.95 831039988 214273.4 Cash Out Refinance 6.89 831040856 113155.92 Cash Out Refinance 7.3 831041316 119674.04 Rate/Term Refinance 7.99 831041330 179460.61 Cash Out Refinance 7.5 831041573 240000 Cash Out Refinance 6.5 831041574 149798 Purchase 6.95 831041575 287182.25 Cash Out Refinance 6.29 831041576 149033.85 Purchase 8.5 831041603 142430.97 Purchase 8.625 831041708 223676.11 Cash Out Refinance 11 831041711 133803.09 Purchase 8.99 831041793 179386.78 Cash Out Refinance 7.99 831041795 139858.11 Rate/Term Refinance 7.6 831041800 131681.13 Cash Out Refinance 8.6 831041802 314282.05 Cash Out Refinance 8.85 831041807 79434.78 Cash Out Refinance 12.25 831041812 222220.98 Cash Out Refinance 8.65 831041813 149663.94 Cash Out Refinance 7.5 831042151 205441.53 Cash Out Refinance 8 831042152 299085.36 Cash Out Refinance 7.99 831042155 147729.12 Cash Out Refinance 8.5 831042158 175855.11 Cash Out Refinance 7.5 831042161 183199.38 Cash Out Refinance 7.5 831042364 216462.21 Cash Out Refinance 6.99 831042365 90810.9 Cash Out Refinance 7.875 831042366 199185.2 Purchase 7.875 831042368 145297.42 Purchase 7.875 831042370 264618.17 Cash Out Refinance 7.75 831042372 107821.33 Cash Out Refinance 8.99 831042375 159574.15 Rate/Term Refinance 6.625 831042376 211957.31 Cash Out Refinance 6.875 831042535 282295.49 Cash Out Refinance 8.42 831042537 149711.07 Cash Out Refinance 8.25 831042540 145200 Purchase 8.3 831042542 329055.74 Cash Out Refinance 6.25 831042543 124849.51 Cash Out Refinance 6.4 831042545 142301.15 Rate/Term Refinance 10.75 831042549 319075.54 Cash Out Refinance 6.2 831042550 219060.65 Cash Out Refinance 5.3 831042554 248066.83 Cash Out Refinance 7.5 831042555 175674.04 Cash Out Refinance 8.45 831042556 162102.74 Cash Out Refinance 8.5 831042557 156219.72 Cash Out Refinance 8.65 831042559 319538.85 Cash Out Refinance 9.65 831042560 254158.83 Cash Out Refinance 5.5 831042718 279000 Cash Out Refinance 7.6 831042719 135656.94 Cash Out Refinance 6.9 831042721 195774.9 Rate/Term Refinance 8.8 831042724 250220.97 Purchase 7.8 831043120 91847.8 Cash Out Refinance 8.99 831043133 272296.45 Cash Out Refinance 8.25 831043187 219604.98 Cash Out Refinance 9.99 831043215 177609.1 Cash Out Refinance 7.6 831043302 204089.47 Cash Out Refinance 8.05 831043555 155277.92 Cash Out Refinance 8 831043557 298796.42 Cash Out Refinance 6 841003509 50958.85 Cash Out Refinance 10.45 841004581 64970.94 Cash Out Refinance 9.95 841004618 111529.74 Purchase 8.85 841004667 71103.83 Cash Out Refinance 9.99 841004791 139868.22 Cash Out Refinance 7.2 841004798 111921.78 Purchase 6.9 841005059 111920 Purchase 7.7 841005079 82390.3 Cash Out Refinance 10.05 841005180 140055.34 Cash Out Refinance 7.85 841005196 128583.54 Purchase 7.3 841005255 59879.35 Purchase 6.65 841005304 95920 Purchase 7.5 841005318 83904.27 Purchase 7.99 841005324 50220.78 Cash Out Refinance 10.05 841005363 95440.2 Purchase 9.9 841005380 69678.64 Purchase 8.75 841005425 107262.56 Purchase 8.25 841005438 214071.08 Cash Out Refinance 7.35 841005479 97501.08 Purchase 7.5 841005488 54077.4 Purchase 9.99 841005528 99458.95 Purchase 7.75 841005538 59923.06 Purchase 8.24 841005564 109678.33 Purchase 8.95 841005565 58402.01 Purchase 8.95 841005578 59823.34 Purchase 8.25 841005594 60724.54 Purchase 8.4 841005598 68178.95 Cash Out Refinance 9.25 841005605 105312.28 Purchase 8.15 841005620 82980.62 Purchase 6.9 841005675 198459.94 Cash Out Refinance 7.6 841005690 104930.25 Rate/Term Refinance 8.05 841005691 184275.21 Purchase 8.49 841005711 74203.78 Cash Out Refinance 8.95 841005714 109052.97 Cash Out Refinance 8 841005728 99872.02 Cash Out Refinance 8.25 841005742 143770.14 Cash Out Refinance 7.15 841005750 98892.57 Purchase 9.05 841005752 59937.22 Purchase 9.225 841005755 98400 Purchase 6.7 841005792 135332.69 Purchase 6.9 841005794 100000 Purchase 5.5 841005813 59450.43 Purchase 10.3 841005815 229342.86 Rate/Term Refinance 7.9 841005834 56067.27 Cash Out Refinance 11.95 841005855 99690.19 Rate/Term Refinance 8.55 841005881 131742.03 Purchase 7.99 841005893 116704.18 Rate/Term Refinance 8.4 841005896 152733.4 Cash Out Refinance 7.75 841005912 146132.79 Rate/Term Refinance 8.8 841005921 89479.12 Purchase 7.99 841005931 91699.14 Purchase 8.99 841005954 130906.49 Purchase 7 841005983 143429.41 Cash Out Refinance 9.5 841005988 107162.48 Cash Out Refinance 8.19 841006003 187738.08 Rate/Term Refinance 7.9 841006012 134132.53 Rate/Term Refinance 6.05 841006014 220640.2 Cash Out Refinance 7.05 841006015 270000 Cash Out Refinance 8.4 841006017 131844.56 Cash Out Refinance 8.675 841006021 151915.05 Cash Out Refinance 8.89 841006039 97852.64 Purchase 8.5 841006043 70433.11 Cash Out Refinance 9.69 841006049 95873.33 Cash Out Refinance 8.1 841006059 115023.26 Purchase 7.35 841006062 89904.34 Cash Out Refinance 9.15 841006063 123673.86 Cash Out Refinance 7.9 841006065 131132.13 Cash Out Refinance 9.95 841006066 55867.37 Cash Out Refinance 8.9 841006068 108908.54 Cash Out Refinance 7.25 841006071 223503.88 Cash Out Refinance 5.45 841006073 184500 Rate/Term Refinance 6.95 841006074 60700.45 Cash Out Refinance 10.4 841006088 228652.61 Cash Out Refinance 8.2 841006091 225589.63 Cash Out Refinance 7.9 841006094 123200 Purchase 7.15 841006097 178967.33 Rate/Term Refinance 6.39 841006098 167729.18 Cash Out Refinance 7.1 841006100 288496.17 Rate/Term Refinance 6.99 841006101 59468.17 Cash Out Refinance 9.1 841006108 67958.81 Cash Out Refinance 8.5 841006113 54104.88 Rate/Term Refinance 10.3 841006130 104326.22 Purchase 6.95 841006133 64937.81 Cash Out Refinance 9.65 841006135 113859.97 Cash Out Refinance 8.45 841006153 216504.23 Cash Out Refinance 8.99 841006155 122227.39 Purchase 7.4 841006165 135797.14 Rate/Term Refinance 7.5 841006172 99317.44 Cash Out Refinance 8.05 841006175 95067.89 Cash Out Refinance 7.85 841006189 116447.39 Cash Out Refinance 7.2 841006190 200168.98 Cash Out Refinance 7.8 841006195 144371.89 Cash Out Refinance 6.6 841006200 195377.61 Rate/Term Refinance 6.99 841006218 94225.51 Rate/Term Refinance 6.4 841006224 160452.74 Cash Out Refinance 8.5 841006225 112327.42 Cash Out Refinance 7.35 841006230 171852.09 Cash Out Refinance 8.8 841006234 129785.48 Purchase 7.65 841006235 174400 Cash Out Refinance 6.3 841006237 132189.4 Cash Out Refinance 6.9 841006241 159486.22 Cash Out Refinance 7.7 841006242 134309.52 Cash Out Refinance 8.5 841006253 183849.15 Cash Out Refinance 7 841006256 111105.83 Cash Out Refinance 10.5 841006262 130199.95 Rate/Term Refinance 7.35 841006265 135884.05 Cash Out Refinance 6.8 841006273 57571.67 Cash Out Refinance 9.5 841006274 62275.21 Rate/Term Refinance 5.99 841006283 139422.2 Cash Out Refinance 8.9 841006321 209782.82 Cash Out Refinance 5.8 841006334 52672.68 Cash Out Refinance 9.25 841006374 103922.82 Rate/Term Refinance 7.5 841006375 154691.84 Cash Out Refinance 7.8 841006419 85339.72 Cash Out Refinance 7.75 841006505 134922.33 Cash Out Refinance 8.75 851000607 185703.1 Cash Out Refinance 7.15 851000644 171740.92 Cash Out Refinance 9.44 851000710 143725.44 Purchase 8.3 851000911 146785.46 Rate/Term Refinance 7.6 851000924 76420.88 Purchase 9.3 851000945 139675.55 Cash Out Refinance 7.33 851000980 160809.38 Cash Out Refinance 8.65 851000991 267779.89 Cash Out Refinance 6.99 851001026 201998.28 Rate/Term Refinance 6.7 851001039 268442.25 Cash Out Refinance 5.8 851001083 149706.28 Cash Out Refinance 6.1 851001085 309382.67 Cash Out Refinance 6.95 851001109 227693.02 Purchase 8 851001122 155000 Cash Out Refinance 7.59 851001132 176694.36 Cash Out Refinance 6.75 851001138 271482.49 Cash Out Refinance 6.25 851001146 165117.57 Cash Out Refinance 6.05 851001159 87861.7 Cash Out Refinance 8.65 851001160 174706.56 Cash Out Refinance 6.9 851001165 100415.57 Cash Out Refinance 6.75 851001171 326712.56 Rate/Term Refinance 10.05 851001185 254596.19 Cash Out Refinance 7.19 851001187 325000 Cash Out Refinance 6.75 851001200 254518.56 Cash Out Refinance 6.29 851001210 249662.7 Cash Out Refinance 7.99 851001217 113285.03 Cash Out Refinance 9.375 851001222 184667.84 Rate/Term Refinance 6.55 851001229 168847.23 Cash Out Refinance 6.5 851001247 314609.06 Cash Out Refinance 8.4 851001250 156252.66 Cash Out Refinance 7.2 851001252 291652.18 Cash Out Refinance 7.95 851001261 260707.8 Cash Out Refinance 8.9 851001272 224063.12 Cash Out Refinance 10.3 851001280 190000 Cash Out Refinance 6.95 851001296 199759.31 Cash Out Refinance 8.55 871000575 188755.65 Cash Out Refinance 8.2 871000653 153645.98 Purchase 8.85 871000831 64902.24 Cash Out Refinance 7.45 871000938 381676.38 Rate/Term Refinance 5.6 871000962 257000 Cash Out Refinance 7.15 871000971 210665.31 Cash Out Refinance 6.7 871000973 242608.26 Cash Out Refinance 7.1 871000994 185968.01 Cash Out Refinance 8.4 871000996 561654.08 Cash Out Refinance 7.45 871001016 233571.65 Purchase 6.45 871001032 215825.7 Cash Out Refinance 10.45 871001046 236306.36 Cash Out Refinance 8.4 871001076 224703.14 Purchase 8.1 871001096 220159.07 Cash Out Refinance 7.4 871001108 219487.11 Cash Out Refinance 7.3 871001110 199193.34 Cash Out Refinance 7.34 871001130 149991 Cash Out Refinance 6.625 871001141 153837.68 Cash Out Refinance 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-------------------------------------------------------------------------- -------------------------------------------------------------------------- 5,565 ========================================================================== REMAINING LOAN SALE ACTUAL UNPAID PREPAYMENT PREPAYMENT PREPAYMENT NUMBER PRICE BALANCE PENALTY TERM TERM ----------------------------------------------------------------------------- 011073427 0 91689.52 1% of amt prepaid 24 21 011074105 0 156671.48 1% of amt prepaid 24 22 011074339 0 262295.23 Standard 24 22 011074404 0 129648.93 Standard 36 32 011074491 0 246118.06 Standard 24 21 011074590 0 162628.58 Standard 36 34 011074668 0 308000 Standard 12 10 011074711 0 103817.87 Standard 36 33 011074824 0 135917.61 2 mo int or 60 days int on UPB 24 21 011074864 388000 348986.27 Standard 24 22 011074883 0 184688.95 Standard 24 21 011074885 0 165000 Standard 24 21 011074902 0 95926.59 1% of amt prepaid 24 22 011075004 0 102000 Standard 36 34 011075070 0 388500 Standard 24 22 011075097 0 185157.13 Standard 36 34 011075140 0 99786.9 Standard 36 34 011075234 0 212692.88 Standard 24 22 011075237 0 194688.74 Standard 24 22 011075238 96000 91140.04 Standard 24 22 011075254 0 92876.03 Standard 36 34 011075271 0 180000 Standard 24 22 011075290 0 166632.25 Standard 36 34 011075300 0 303918.52 Standard 24 22 011075302 0 311994 Standard 24 22 011075324 0 159680.04 Standard 24 22 011075337 0 231871.95 Standard 24 22 011075340 0 75899.72 Standard 36 34 011075344 0 54977.91 Standard 36 34 011075376 0 249369.94 Standard 24 22 011075384 0 247804 Standard 24 22 011075396 0 250000 Standard 24 22 011075397 0 54928.54 Standard 36 34 011075413 0 404645.63 Standard 24 22 011075422 0 319264.77 Standard 36 34 011075451 0 137600 Standard 24 23 011075452 0 154869.78 Standard 36 34 011075453 0 75500 Standard 24 23 011075459 0 203834.43 Standard 24 22 011075462 0 217789.13 Standard 24 22 011075463 0 111924.69 Standard 24 22 011075467 0 180829.91 Standard 24 22 011075484 0 175797.29 Standard 24 22 011075505 0 188854.02 Standard 24 22 011075506 0 200000 Standard 24 22 011075518 0 199822.68 Standard 36 34 011075525 0 151042.62 Standard 36 34 011075526 0 203663.92 Standard 24 22 011075527 0 169924.63 Standard 24 22 011075530 0 246500 Standard 24 22 011075532 0 330540.91 1% of amt prepaid 36 34 011075533 0 218811.45 Standard 24 22 011075544 0 348500 Standard 24 22 011075548 0 347803.89 Standard 24 22 011075556 0 137842.26 Standard 36 34 011075563 0 219700.77 Standard 24 22 011075566 0 182727.53 Standard 24 22 011075573 0 263521.39 Standard 24 22 011075579 0 84730.42 None 0 0 011075592 0 271950 Standard 24 22 011075594 0 92971.24 Standard 24 22 011075598 0 139403.51 Standard 36 34 011075599 0 310986.83 Standard 24 22 011075600 0 254767.23 Standard 24 22 011075610 0 165600 Standard 24 22 011075634 0 250000 Standard 24 23 011075640 0 280000 Standard 24 22 011075644 0 297126.97 Standard 24 22 011075659 0 249000 Standard 36 35 011075661 0 228792.98 Standard 36 34 011075676 0 144879.46 Standard 36 35 011075695 0 246400 Standard 24 22 011075700 0 243750 Standard 24 23 011075739 0 280000 Standard 36 35 011075764 135000 108000 Standard 24 23 011075792 0 254853.02 Standard 24 22 011075815 0 270000 Standard 24 23 021062880 181900 145520 Standard 36 33 021063234 175000 139636.34 Standard 36 32 021063549 0 293767.9 Standard 24 22 021063619 0 349712.54 Standard 36 34 021063632 158500 123893.28 Standard 24 22 021063678 0 267326.81 Standard 24 21 021063779 0 261110.91 Standard 24 21 021064021 0 202894.76 Standard 24 22 021064029 0 319782.62 Standard 24 22 021064105 0 219812.43 Standard 24 22 021064208 0 340000 Standard 36 33 021064228 0 318238.41 Standard 24 22 021064237 430000 154546.29 Standard 36 33 021064311 0 299450.83 Standard 24 22 021064331 0 179701.12 Standard 24 22 021064450 200000 179656.8 Standard 24 21 021064476 318500 246132.99 Standard 24 21 021064478 239000 214496.24 Standard 24 21 021064484 0 127837.33 Standard 24 22 021064509 0 164758.71 Standard 24 22 021064559 0 165000 Standard 24 22 021064620 0 184832.75 Standard 24 22 021064660 0 129901.58 Standard 24 22 021064743 0 254771.7 Standard 24 22 021064746 380000 341808.87 None 0 0 021064786 0 327559.49 Standard 24 22 021064799 0 205900.75 Standard 36 34 021064838 0 159680.04 Standard 36 34 021064844 0 276000 Standard 24 22 021064863 0 279801.5 Standard 24 22 021064878 0 307997.12 Standard 24 22 021064921 0 250563.91 Standard 24 22 021064923 0 195844.03 Standard 36 34 021064948 0 124864.45 Standard 24 22 021064963 0 206500.07 Standard 24 22 021065010 0 132896.25 Standard 36 34 021065015 0 195000 Standard 24 22 021065018 0 210830.43 Standard 24 22 021065022 190000 151702.36 Standard 24 22 021065038 245000 195825.89 Standard 24 22 021065057 0 257391.96 Standard 36 34 021065079 0 163000 Standard 24 22 021065085 0 124496.85 Standard 24 22 021065092 0 230000 Standard 24 23 021065100 0 263000 Standard 24 22 021065112 0 265500 Standard 24 23 021065114 0 249804.98 Standard 36 34 021065117 0 355893.2 Standard 24 22 021065119 0 151550 Standard 24 23 021065125 0 229195.72 Standard 24 22 021065126 0 337300 Standard 24 23 021065133 0 254818.2 Standard 24 23 021065135 0 176209.17 Standard 24 22 021065143 0 125900.73 Standard 24 22 021065176 0 161280.33 Standard 24 22 021065180 0 306000 Standard 24 23 021065189 0 165000 Standard 24 23 021065230 0 112915.13 Standard 36 34 021065237 0 233750 Standard 24 23 021065242 0 244000 Standard 24 23 021065264 0 60000 Standard 36 35 021065267 0 309213.8 Standard 36 34 021065291 0 80000 None 0 0 021065331 0 84940.01 Standard 24 23 021065360 0 187000 Standard 24 23 021065361 0 204000 Standard 24 23 031033237 0 161887.95 Standard 24 22 031033530 140000 125823.35 Standard 24 21 031033691 0 141904.67 Standard 24 22 031033726 0 149363.1 Standard 24 22 031033960 0 157153.75 None 0 0 031034088 450000 314197.61 Standard 24 21 031034137 0 389993.69 Standard 36 34 031034156 0 188683.09 Standard 24 22 031034307 0 274137.37 Standard 24 22 031034395 0 264841.11 Standard 24 22 031034404 0 97500 Standard 24 22 031034520 0 155708.85 Standard 24 22 031034534 150000 142265.7 Standard 24 22 031034537 0 329726.82 Standard 36 34 031034548 0 79646.32 Standard 36 34 031034604 0 314758.38 Standard 24 22 031034619 0 242769.43 Standard 36 34 031034626 0 164835.74 Standard 36 34 031034638 0 270000 Standard 36 34 031034642 0 279785.88 Standard 24 22 031034657 0 267722.83 Standard 24 22 031034659 0 336000 Standard 24 22 031034662 0 129879.01 Standard 36 34 031034720 0 189867.25 Standard 24 22 031034722 0 250000 Standard 24 22 031034739 0 211409.32 Standard 24 23 031034741 0 49974.89 Standard 36 34 031034752 152350 121798.06 Standard 24 22 031034755 255000 229345.7 Standard 36 34 031034761 0 175000 Standard 24 22 031034762 0 254731.23 Standard 24 22 031034763 0 287718.74 Standard 24 22 031034779 0 132899.3 Standard 24 22 031034782 0 288000 Standard 24 22 031034804 0 225000 Standard 24 22 031034807 0 229500 Standard 24 22 031034809 0 297778.84 Standard 24 22 031034816 0 219866.45 Standard 24 22 031034822 0 109902.48 Standard 36 34 031034824 0 164681.69 Standard 36 34 031034827 0 329000 Standard 24 22 031034828 0 196900 Standard 12 10 031034840 0 202841.64 Standard 24 22 031034851 0 284750 Standard 24 22 031034854 0 172646.8 Standard 24 22 031034881 0 359401.24 None 0 0 031034888 0 175000 Standard 24 22 031034891 0 331725.16 Standard 24 22 031034895 0 165858.47 Standard 24 22 031034904 0 176847.61 Standard 24 22 031034915 0 238500 Standard 24 22 031034920 0 69896.76 Standard 24 22 031034921 0 299674.2 Standard 24 22 031034931 0 149885.29 Standard 36 34 031034970 0 154815.47 Standard 24 22 031034998 0 190130.37 Standard 24 22 031035003 0 206000 Standard 24 22 031035004 0 160997.66 Standard 24 22 031035005 0 195819.34 Standard 24 22 031035014 0 277600 Standard 24 23 031035037 0 303839.07 Standard 24 22 031035041 0 208621.1 Standard 36 34 031035053 0 282917.51 Standard 24 22 031035062 215000 150363.95 Standard 24 22 031035073 0 336787.3 Standard 24 22 031035078 0 170091.09 Standard 36 34 031035088 0 96107.78 Standard 24 22 031035091 0 143500 Standard 24 22 031035092 0 211500 Standard 24 22 031035095 0 194591.84 Standard 24 22 041065018 0 107938.5 None 0 0 041065099 0 220884.22 None 0 0 041065109 155650 124363.53 Standard 24 22 041065626 0 124000 None 0 0 041065658 0 81910.08 None 0 0 041065665 132500 105843.75 None 0 0 041066044 162500 130000 None 0 0 041066061 0 127915.84 None 0 0 041066136 0 239802.89 None 0 0 041066296 0 56670.3 None 0 0 041066306 78000 74031.3 None 0 0 041066349 140000 111856.67 None 0 0 041066495 134900 107835.82 None 0 0 041066507 185000 166179.29 None 0 0 041066635 135000 108000 None 0 0 041066647 0 253650 None 0 0 041066672 125000 99922.76 None 0 0 041066698 0 58345.86 2% of UPB 24 22 041066726 121500 97132.77 2% of UPB 36 33 041066735 116500 93079.91 Standard 24 21 041066748 69000 62044.23 Standard 24 21 041066837 105000 132388.34 None 0 0 041066866 132900 106175.38 None 0 0 041066897 0 109525.71 None 0 0 041066899 174900 157208.55 None 0 0 041066951 120000 113857.06 None 0 0 041066990 89900 82221.38 None 0 0 041066998 0 243664.74 None 0 0 041067013 76900 61456.17 None 0 0 041067026 134900 107867.47 2% of UPB 36 34 041067048 152000 121389.92 None 0 0 041067054 111900 100549.25 Standard 24 21 041067056 148000 118199.91 Standard 24 21 041067060 78900 63084.06 Standard 24 22 041067076 0 123398.18 None 0 0 041067122 150000 119913.58 2% of UPB 24 22 041067215 156000 140052.74 Standard 24 21 041067217 175000 139873.43 2% of UPB 24 22 041067228 0 166365.53 None 0 0 041067231 149900 119857.18 2% of UPB 24 22 041067273 53550 50851.27 None 0 0 041067275 92900 88166.91 Standard 24 22 041067291 76000 72165.6 None 0 0 041067292 173400 138616.01 None 0 0 041067329 0 197144.58 None 0 0 041067339 142000 113529.75 None 0 0 041067354 170000 153000 2% of UPB 24 22 041067366 0 89921.94 None 0 0 041067374 0 191780.54 None 0 0 041067376 54500 51727.09 None 0 0 041067384 170500 136152.72 2% of UPB 24 22 041067404 75000 59958.85 Standard 24 21 041067413 0 130435.13 None 0 0 041067423 156493 125102.94 None 0 0 041067428 0 87140.3 1% of amt prepaid 36 34 041067434 106500 95780.97 Standard 24 22 041067454 177500 141796.89 2% of XXX 00 00 000000000 0 000000 Xxxx 0 0 041067468 85000 67916.47 Standard 24 22 041067471 89700 71719.98 None 0 0 041067477 0 191699.54 None 0 0 041067483 128000 102337.96 2% of UPB 24 22 041067486 158950 126955 None 0 0 041067491 182718 146048.15 None 0 0 041067523 0 134871.9 Standard 24 22 041067526 0 89962.26 None 0 0 041067551 139900 125839.37 None 0 0 041067592 0 96828.57 None 0 0 041067601 0 123896.07 None 0 0 041067625 105000 83943.06 Standard 24 22 041067633 0 179888.46 None 0 0 041067693 0 160818.07 None 0 0 041067699 185000 147798.7 None 0 0 041067702 86900 69502.21 2% of UPB 36 34 041067706 0 80640.1 None 0 0 041067709 92500 73935.03 Standard 24 22 041067713 125000 112437.26 2% of UPB 24 22 041067735 0 213107.18 None 0 0 041067741 0 140250 None 0 0 041067746 167500 108508.15 2% of UPB 24 22 041067793 0 180082.8 None 0 0 041067797 0 165785.39 None 0 0 041067824 180000 143817.59 None 0 0 041067866 86900 69429.83 Standard 24 22 041067893 75000 60000 2% of XXX 00 00 000000000 0 00000 Xxxx 0 0 041067940 0 104466.8 None 0 0 041067947 0 250252.93 None 0 0 041067961 0 131915.83 None 0 0 041067962 0 131899.06 None 0 0 041067964 0 245779.11 None 0 0 041067980 0 107036.16 None 0 0 041067987 0 131924.04 None 0 0 041068000 0 150750 Standard 24 22 041068003 0 156655.04 None 0 0 041068009 0 254435.99 None 0 0 041068037 0 251765.47 None 0 0 041068085 172500 103452.22 2% of UPB 24 22 041068099 0 85949.49 2% of XXX 00 00 000000000 0 000000 Xxxx 0 0 041068113 0 118331.88 None 0 0 041068114 0 204591.85 None 0 0 041068136 0 41663.45 None 0 0 041068138 0 165000 2% of UPB 24 23 041068170 0 56186.37 None 0 0 041068186 0 264363.11 None 0 0 041068189 0 159872.68 None 0 0 041068193 0 93541.52 None 0 0 041068225 0 134782.38 None 0 0 041068231 0 229500 None 0 0 041068253 0 143969.73 None 0 0 041068254 0 239499.93 None 0 0 041068262 0 252000 None 0 0 041068278 0 247833.26 None 0 0 041068308 0 140710.22 None 0 0 041068326 0 51950.78 2% of UPB 24 22 041068327 0 99326.57 2% of UPB 24 22 041068336 139300 111350.44 Standard 24 22 041068350 0 281136.09 None 0 0 041068356 0 86939.83 None 0 0 041068382 162900 130222.31 Standard 24 22 041068395 0 124828.14 None 0 0 041068410 115000 92000 None 0 0 041068415 0 95327.77 Standard 24 23 041068422 0 346213.16 None 0 0 041068450 0 204845.2 None 0 0 041068467 0 60563.29 None 0 0 041068501 0 276000 None 0 0 041068527 0 81732.18 None 0 0 041068528 0 168000 Standard 24 23 041068550 0 165636.51 None 0 0 041068552 0 243600 None 0 0 041068559 0 93280.07 Standard 24 23 041068568 0 165000 Standard 24 23 041068653 0 185000 None 0 0 051056763 0 139915.5 None 0 0 051056823 0 111826.46 Standard 24 21 051056857 142000 113600 None 0 0 051056904 0 122400 None 0 0 051056917 79000 63053.38 None 0 0 051057021 157000 125430.88 None 0 0 051057031 0 49910.99 Standard 36 34 051057103 125000 99988.7 1% of UPB 24 22 051057191 108000 86343.77 None 0 0 051057206 150000 119903.56 None 0 0 051057212 0 124950 None 0 0 051057238 138000 110207.48 None 0 0 051057255 220000 197695.42 1% of UPB 24 22 051057260 97000 77544.12 None 0 0 051057313 0 292000 None 0 0 051057317 105900 84695 None 0 0 051057333 69000 58605.64 None 0 0 051057349 141000 112800 None 0 0 051057420 161595 129167.93 None 0 0 051057427 0 107941.01 3% / 2% / 1% 24 22 051057467 0 143833.7 None 0 0 051057481 185000 147878.45 1% of UPB 24 22 051057483 0 157519.76 None 0 0 051057490 119845 95787.63 None 0 0 051057495 181000 144800 1% of UPB 24 21 051057505 0 134329.59 None 0 0 051057532 131000 104707.99 None 0 0 051057547 0 74670.29 None 0 0 051057582 107000 85440.26 None 0 0 051057587 125000 100000 None 0 0 051057593 112400 89890.4 None 0 0 051057609 0 124753.78 None 0 0 051057617 93000 74400 1% of UPB 24 21 051057624 131000 104645.2 None 0 0 051057639 69700 66139.32 None 0 0 051057674 114250 91215.26 None 0 0 051057678 135000 128066.55 1% of UPB 24 21 051057686 0 107902.37 1% of UPB 24 22 051057711 172000 137489.77 None 0 0 051057728 139999 111965.63 None 0 0 051057737 158000 126400 None 0 0 051057739 0 250000 1% of UPB 24 22 051057742 0 158298.99 None 0 0 051057752 0 134903.75 1% of UPB 24 22 051057754 175671 140536 None 0 0 051057756 0 125400 None 0 0 051057779 155900 124464.12 None 0 0 051057788 124000 111485.06 None 0 0 051057792 123750 98858.39 None 0 0 051057806 0 127905.01 1% of UPB 24 22 051057826 0 107734.69 None 0 0 051057835 129000 103121.86 None 0 0 051057879 0 186870.65 None 0 0 051057906 0 113917.9 1% of UPB 24 22 051057908 0 113917.9 1% of UPB 24 22 051057955 130000 116931.27 None 0 0 051057969 103900 83048.44 None 0 0 051057978 139000 131965.62 1% of UPB 24 22 051057982 190900 152463.93 None 0 0 051058003 0 83950.15 1% of UPB 24 22 051058006 0 76436.25 Standard 36 34 051058015 0 49966.45 1% of UPB 24 22 051058016 0 121423.32 1% of UPB 24 22 051058023 0 100934.27 1% of UPB 36 34 051058046 141074 112768.3 None 0 0 051058075 0 71977.74 1% of UPB 36 34 051058078 169900 135788.53 None 0 0 051058093 0 216835.71 None 0 0 051058102 160000 151875.41 None 0 0 051058105 126135 100840.29 None 0 0 051058113 151000 120708.54 None 0 0 051058116 0 263683.69 None 0 0 051058120 153850 123080 Xxxx 0 0 000000000 0 00000 Xxxx 0 0 051058142 0 69261.75 Standard 36 34 051058146 0 144291.21 None 0 0 051058158 0 131902.04 1% of UPB 24 22 051058164 0 217376.89 1% of UPB 24 22 051058184 0 51247.98 None 0 0 051058197 0 102824.03 None 0 0 051058208 0 152367.38 None 0 0 051058227 0 123358.82 1% of UPB 24 22 051058237 0 49848.75 None 0 0 051058248 0 166398.6 None 0 0 051058261 0 170273.54 None 0 0 051058307 145000 115901.1 None 0 0 051058313 175000 66384.04 None 0 0 051058324 0 184658.05 None 0 0 051058336 0 115909.51 1% of UPB 24 22 051058340 0 107939.14 1% of UPB 24 22 051058349 0 92649.89 None 0 0 051058359 0 204152.87 1% of UPB 24 22 051058375 0 81553.05 1% of XXX 00 00 000000000 0 000000 Xxxx 0 0 051058385 0 146759.17 1% of XXX 00 00 000000000 0 000000 Xxxx 0 0 051058409 85000 80678.26 1% of UPB 36 34 051058430 0 123377.06 1% of UPB 24 22 051058446 139000 111112.39 1% of UPB 24 22 051058465 0 111917.77 None 0 0 051058466 0 88000 1% of UPB 12 11 051058503 0 113784.75 None 0 0 051058541 0 149308.56 1% of UPB 24 22 051058564 0 148399.34 1% of UPB 24 22 051058692 0 146884.82 1% of UPB 36 35 061056562 0 65515.92 Standard 24 21 061057412 0 117947.67 1% of amt prepaid 36 33 061057764 87900 70276.42 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061057793 75000 59955.02 Standard 24 22 061057953 120600 96416.57 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061058128 0 139356.04 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061058129 123000 98181.74 Standard 24 21 061058193 135000 107769.64 PIF - 1% of OPB ; Partial - 1% amt ppd 24 21 061058224 0 80713.51 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061058250 82000 65507.1 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061058311 76300 60941.84 PIF - 1% of OPB ; Partial - 1% amt ppd 24 21 061058361 158000 126229.46 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061058394 0 131042.16 PIF - 1% of OPB ; Partial - 1% amt ppd 24 21 061058461 78300 62564.61 PIF - 1% of OPB ; Partial - 1% amt ppd 36 33 061058465 0 168618.36 Standard 36 34 061058477 79900 63824.82 PIF - 1% of OPB ; Partial - 1% amt ppd 36 33 061058513 112000 89429.15 PIF - 1% of OPB ; Partial - 1% amt ppd 36 33 061058600 75000 59870.84 PIF - 1% of OPB ; Partial - 1% amt ppd 24 21 061058663 0 136612.04 Standard 24 22 061058693 0 145708.59 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061058702 0 217859.67 Standard 36 34 061058762 0 94000 1% of amt prepaid 36 35 061058767 122000 97412.23 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061058780 92000 68855.57 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061058792 76900 61451.13 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061058805 0 76103.62 None 0 0 061058841 0 102358.86 Standard 36 34 061058865 0 108716.27 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061058888 0 83196.99 2% of ppd amt 24 22 061058893 64900 58351.26 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 061058950 68500 65036.78 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061058959 148000 140513.95 Standard 24 22 061058993 91000 72748 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061058998 130000 103933.01 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061059003 0 101403.7 Standard 36 34 061059009 100000 80000 Standard 24 22 061059012 0 268000 PIF - 1% of OPB ; Partial - 1% amt ppd 24 23 061059023 87000 69481.38 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061059038 111000 88732.77 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061059040 0 212322.35 Standard 24 22 061059043 109900 87784.85 Standard 24 22 061059045 0 79167.84 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061059058 108000 102542.78 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061059069 0 57781.1 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061059073 107000 85523.55 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061059111 0 88476.42 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061059134 0 157771.13 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 061059149 112000 89465.84 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061059183 0 83929.08 Standard 24 22 061059192 0 79907.07 1% of amt prepaid 24 22 061059196 146540 117116.4 Standard 24 22 061059210 0 55948.53 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061059215 0 116912.29 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061059245 0 228669.63 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 061059259 58900 55884.12 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 061059260 0 168912.39 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 061059261 142000 113415.06 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061059292 0 143404.1 Standard 36 34 061059293 0 130051.46 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061059310 156000 132390.43 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 061059320 0 180382.53 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061059322 0 101916.39 Standard 36 34 061059328 0 61950.49 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061059329 0 194635.63 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061059330 88900 71069.81 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061059343 0 53561.05 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061059353 0 56931.41 Standard 36 34 061059355 0 109110.18 Standard 36 34 061059375 0 199640.66 Standard 36 34 061059394 0 216351.9 Standard 24 22 061059404 0 114186.49 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061059405 150000 142281.37 Standard 36 34 061059410 0 209899.93 Standard 36 35 061059413 0 130070.08 Standard 36 34 061059425 0 99911.99 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 061059434 80000 63882.62 Standard 24 22 061059471 0 215600 PIF - 1% of OPB ; Partial - 1% amt ppd 36 35 061059482 87000 69548.24 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 061059495 0 181000 PIF - 1% of OPB ; Partial - 1% amt ppd 24 23 061059498 0 105623.79 Standard 24 22 061059530 0 160939.06 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 061059546 0 75781.05 Standard 36 34 061059547 0 161706.31 Standard 36 34 061059574 0 135738.43 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061059622 0 104500 Standard 24 23 061059688 0 143378.85 PIF - 1% of OPB ; Partial - 1% amt ppd 24 23 071065453 0 171396.1 Standard 24 22 071065537 0 69000 Standard 36 35 071065540 169000 135199.96 Standard 24 21 071065951 100000 89878.58 Standard 24 21 071065968 120000 107770.76 Standard 36 33 071065988 94200 75297.73 Standard 24 21 071066147 150000 119969.57 Standard 24 21 071066165 135000 108000 Standard 24 22 071066258 109900 87920 Standard 24 21 071066269 137900 110228.45 Standard 24 22 071066287 70000 59449.06 Standard 24 22 071066292 116000 92657.63 Standard 24 21 071066301 0 219826.28 Standard 24 22 071066381 0 179679.94 Standard 36 34 071066450 0 164905.07 Standard 24 22 071066459 0 139849.65 Standard 24 22 071066460 0 151786.91 Standard 24 22 071066495 0 289114.39 Standard 24 22 071066498 0 244457.37 Standard 36 34 071066573 0 79933.77 Standard 24 22 071066583 0 317780.85 Standard 24 22 071066592 89900 71827.96 Standard 24 22 071066621 0 167278.61 Standard 24 22 071066624 0 163901.5 Standard 24 22 071066655 0 160200 Standard 24 23 071066661 190000 151859.9 Standard 24 22 071066676 0 151775.92 Standard 36 34 071066698 0 49947.96 Standard 24 22 071066709 139000 88853.08 Standard 36 34 071066711 0 144395.94 Standard 24 22 071066722 0 164846.14 Standard 36 34 071066723 84500 67524.32 Standard 36 34 071066729 0 228000 Standard 24 23 071066731 175000 166113.46 Standard 24 22 071066742 0 78750 Standard 24 23 071066754 120500 96329.17 Standard 24 22 071066775 60000 57000 Standard 24 23 071066781 0 140000 Standard 24 23 071066805 85000 76455.98 Standard 36 34 071066807 0 189828.54 Standard 36 34 071066815 0 113920.35 Standard 24 22 071066816 0 154782.7 Standard 36 34 071066837 0 120000 Standard 24 23 071066838 0 63750 Standard 24 22 071066840 0 122304.52 Standard 24 23 071066858 0 118794.52 Standard 24 22 071066864 118500 94728.22 Standard 24 22 071066871 0 195175.38 Standard 24 22 071066875 0 142403.41 Standard 36 35 071066880 0 83388.88 Standard 36 34 071066889 0 225000 Standard 36 35 071066892 0 329814.03 Standard 36 34 071066895 0 165776.88 None 0 0 071066901 0 216585.9 Standard 24 22 071066902 0 163854.6 Standard 24 22 071066917 329900 65956.43 Standard 12 10 071066919 0 202948.25 Standard 36 34 071066922 0 191722.58 Standard 24 22 071066964 0 127811.46 Standard 24 22 071066969 0 130401.43 Standard 24 22 071066970 0 130321.81 Standard 24 22 071066975 0 231689 Standard 24 23 071066978 235000 176123.07 Standard 24 22 071066999 0 106339.42 Standard 24 22 071067002 142000 134697.12 Standard 24 22 071067007 0 182665.69 Standard 36 34 071067009 0 252000 Standard 24 22 071067021 179000 143088.29 Standard 24 22 071067043 0 137388.95 Standard 36 35 071067064 0 167043.34 Standard 24 23 071067073 0 115839 Standard 24 22 071067080 0 90884.17 Standard 36 34 071067082 0 312000 Standard 36 35 071067101 0 92894.84 Standard 24 23 071067113 0 183835.27 Standard 24 22 071067122 0 231842.75 Standard 24 22 071067123 253000 99877.5 Standard 24 22 071067129 0 99929.42 Standard 24 23 071067136 0 103433.35 Standard 24 22 071067142 0 137600 Standard 24 23 071067148 126690 101303.7 Standard 36 35 071067149 0 163304.82 Standard 24 22 071067162 0 129500 Standard 36 35 081054757 0 133763.31 2% of ppd amt 24 21 081054939 162400 145854.89 2% of ppd amt 24 21 081055126 0 64307.87 2% of ppd amt 24 21 081055157 0 97938.14 None 0 0 081055175 169900 135523.13 2% of ppd amt 24 22 081055269 170000 135789.37 2% of ppd amt 24 22 081055281 87500 69909.5 2% of ppd amt 24 21 081055317 180000 144000 2% of ppd amt 24 21 081055370 0 122324.78 2% of ppd amt 24 21 081055389 180000 144000 2% of ppd amt 24 21 081055408 141000 112623.13 2% of ppd amt 24 21 081055465 0 169695.16 2% of ppd amt 24 21 081055475 143900 136629.55 2% of ppd amt 36 34 081055503 0 126258.09 2 mo int on 66% if less than 8% 24 22 081055504 0 226775.98 1% of amt ppd if loan greater than $150K 30 28 081055505 0 144721.62 2% of ppd amt 24 22 081055522 140000 131017.26 2% of ppd amt 24 22 081055620 68869 58402.41 2% of ppd amt 24 21 081055657 85000 67874.27 2% of ppd amt 36 33 081055665 172900 138133.38 2% of ppd amt 24 21 081055680 0 84376.69 2% of ppd amt 24 22 081055743 121000 96589.06 2% of ppd amt 24 21 081055768 0 292297.69 2% of ppd amt 24 22 081055783 0 131793.44 2% of ppd amt 36 33 081055814 379470 302968.91 2% of ppd amt 36 33 081055839 0 70512.66 2% of ppd amt 24 22 081055870 135000 107830.99 2% of ppd amt 24 22 081055875 68500 65015.94 2% of ppd amt 36 34 081055876 188000 150164.65 2% of ppd amt 24 22 081055905 74000 59151.38 2% of ppd amt 24 22 081055920 0 53219.21 2% of ppd amt 36 34 081055923 125400 100262.28 2% of ppd amt 36 34 081055925 163000 138467.78 None 0 0 081055930 192000 153495.6 2% of ppd amt 24 22 081055978 0 163310.56 2% of ppd amt 24 22 081055988 131777 105331.72 2% of ppd amt 24 22 081055990 134000 99930 2% of ppd amt 24 22 081055997 177000 150340.34 2% of ppd amt 24 22 081056006 0 134893.43 2% of ppd amt 24 22 081056012 0 131101.53 2% of ppd amt 24 22 081056013 0 97948.66 2% of ppd amt 24 23 081056015 174900 157043.78 2% of ppd amt 36 34 081056019 0 50618.88 2% of ppd amt 36 34 081056025 0 150210.8 2% of ppd amt 24 22 081056034 0 111829.87 2% of ppd amt 36 34 081056035 0 230000 2% of ppd amt 24 22 081056043 0 184875.87 2% of ppd amt 24 22 081056097 0 112024.43 2% of ppd amt 24 22 081056108 162500 129870.34 2% of ppd amt 36 34 081056123 0 325232.67 2% of ppd amt 24 22 081056144 0 85898.61 2% of ppd amt 24 22 081056152 0 113917.07 2% of ppd amt 24 22 081056170 0 123075.73 2% of ppd amt 24 22 081056180 0 199848.57 2% of ppd amt 24 22 081056181 0 167860.23 2% of ppd amt 24 22 081056189 0 122921.57 2% of ppd amt 36 34 081056198 0 73910.02 2% of ppd amt 24 22 081056212 0 107915.75 2% of ppd amt 24 22 081056222 0 332149.55 2% of ppd amt 24 22 081056233 0 324902.79 2% of ppd amt 24 22 081056255 0 214923.7 2% of ppd amt 24 22 081056263 0 230612.65 2% of ppd amt 24 22 081056278 0 211670.86 2% of ppd amt 24 22 081056288 0 262606.91 2% of ppd amt 24 22 081056306 0 324553.46 2% of ppd amt 24 22 081056309 0 179841.96 2% of ppd amt 24 22 081056313 0 181871.55 2 mo int on 66% if less than 8% 36 34 081056317 0 132895.21 2% of ppd amt 24 22 081056320 0 59457.58 2% of ppd amt 24 22 081056329 0 320000 2% of ppd amt 24 22 081056337 144900 115699.45 2% of ppd amt 24 22 081056384 0 104550 2% of ppd amt 24 23 081056424 133000 106175.41 2% of ppd amt 24 22 081056426 0 198258.56 2% of ppd amt 24 22 081056440 0 266991.46 2% of ppd amt 24 22 081056507 0 199857.41 2% of ppd amt 24 23 081056524 0 156536.79 2% of ppd amt 24 22 081056550 0 148800 2% of ppd amt 24 23 081056586 0 94345.12 2% of ppd amt 36 34 081056656 335000 67000 2% of UPB 24 23 101046782 0 72152.27 PIF - 1% of OPB ; Partial - 1% amt ppd 24 20 101046817 0 87252.81 Standard if less than 12% 36 34 101047064 183500 146574.79 Standard if less than 12% 24 21 101047211 179900 143725.83 Standard 36 33 101047241 0 88617.2 None 0 0 101047373 110000 87855.02 Standard if less than 12% 36 33 101047441 0 118488.59 Standard if less than 12% 24 22 101047449 0 134804.96 None 0 0 101047455 120100 95860.4 Standard if less than 12% 36 33 101047504 145700 116460.63 Standard if less than 12% 24 22 101047522 0 108906.73 Standard if less than 12% 36 34 101047530 0 54367.4 None 0 0 101047594 166400 132809.67 None 0 0 101047611 0 83937.16 None 0 0 101047736 82900 66193.55 Standard if less than 12% 24 21 101047737 165000 131673.5 None 0 0 101047807 0 176918.99 None 0 0 101047811 0 202479.48 1% of amt ppd if loan greater than $150K 24 21 101047819 0 224861.87 Standard if less than 12% 36 33 101047833 125000 99931.52 Standard if less than 12% 36 34 101047839 0 274723.61 None 0 0 101047842 0 67968.27 None 0 0 101047849 147000 117521.09 Standard if less than 12% 24 22 101047852 99000 79152.34 Standard if less than 12% 24 22 101047870 148000 124229.71 Standard if less than 12% 24 22 101047879 0 83108.58 None 0 0 101047896 96000 95841.17 None 0 0 101047910 117500 93890.32 Standard if less than 12% 36 34 101047922 0 331725.16 None 0 0 101047925 0 160535.09 Standard 36 34 101047956 85000 67958.81 Standard if less than 12% 24 22 101047958 97000 92113.38 Standard if less than 12% 24 21 101047960 0 89439.82 None 0 0 101047983 129900 123284.37 Standard if less than 12% 36 34 101047998 0 183356.86 None 0 0 101048001 116000 92673.78 Standard if less than 12% 24 22 101048012 152500 121832.39 Standard if less than 12% 24 21 101048013 0 126247.88 None 0 0 101048021 92500 73964.73 Standard if less than 12% 36 34 101048023 0 73500 3% / 2% / 1% 24 22 101048028 0 75265.23 Standard if less than 12% 24 22 101048029 115000 91933.75 None 0 0 101048033 0 59062.84 3% / 2% / 1% 24 22 101048056 103500 82694.04 None 0 0 101048075 90000 71907.86 Standard 24 22 101048082 0 51953.79 None 0 0 101048084 0 158220.91 None 0 0 101048143 0 99830.73 None 0 0 101048145 0 95151.16 None 0 0 101048190 0 92458.63 None 0 0 101048198 0 207817.38 None 0 0 101048203 108150 86470.73 Standard if less than 12% 24 22 101048207 0 113682.5 Standard if less than 12% 36 34 101048212 0 83105.87 None 0 0 101048213 0 102332.67 None 0 0 101048217 151000 120800 Standard if less than 12% 36 34 101048233 0 84680.88 None 0 0 101048234 148000 118307.46 None 0 0 101048237 128000 121552.2 Standard if less than 12% 36 34 101048247 102500 81949.29 Standard if less than 12% 24 22 101048252 0 161389.42 1% of amt prepaid 24 22 101048259 0 135908.75 None 0 0 101048263 110000 82454.84 Standard if less than 12% 36 34 101048265 0 195768.91 None 0 0 101048278 160000 127920.85 Standard if less than 12% 24 22 101048292 0 240125.22 Standard 24 22 101048294 0 53000 1% of XXX 00 00 000000000 0 000000 Xxxx 0 0 101048318 0 96813.72 3% / 2% / 1% 24 22 101048328 0 72717.74 None 0 0 101048332 0 145500.3 Standard if less than 12% 24 22 101048336 0 59933.79 None 0 0 101048342 0 96749.29 None 0 0 101048347 0 65981.07 None 0 0 101048364 0 71968.49 3% / 2% / 1% 24 22 101048377 0 74921.93 None 0 0 101048378 0 149401.82 None 0 0 101048389 0 319823.38 None 0 0 101048393 0 65569.39 None 0 0 101048412 133950 120468.19 Standard if less than 12% 24 22 101048425 0 116352.43 3% / 2% / 1% 24 22 101048427 0 66883.08 Standard 24 22 101048430 0 219847.83 None 0 0 101048445 0 71967.46 Standard 24 22 101048446 0 76751.03 None 0 0 101048450 0 75947.96 None 0 0 101048453 140650 119428.86 Standard if less than 12% 36 34 101048461 0 292404.97 Standard if less than 12% 36 34 101048466 0 57011.61 Standard if less than 12% 24 22 101048470 0 119896.68 None 0 0 101048473 0 241801.24 Standard if less than 12% 36 34 101048476 0 50378.4 3% / 2% / 1% 24 22 101048477 0 104938.32 None 0 0 101048481 0 87855.02 None 0 0 101048483 0 143073.67 None 0 0 101048485 0 169486.58 Standard if less than 12% 36 34 101048489 0 75455.66 None 0 0 101048500 0 175933.01 Standard 24 22 101048505 0 113956.14 Standard 24 22 101048508 0 153415.98 1% of amt ppd if loan greater than $150K 30 28 101048530 0 110334.35 None 0 0 101048535 0 79948.99 None 0 0 101048550 0 103947.2 None 0 0 101048560 0 51976.25 None 0 0 101048582 82620 82578.17 Standard if less than 12% 36 35 101048603 70500 66925.79 None 0 0 101048621 0 344000 None 0 0 101048623 77000 61573.89 Standard if less than 12% 24 22 101048688 128000 121559.35 Standard if less than 12% 36 34 111000017 0 209637.36 Standard 36 34 111000039 0 188701.29 Standard 36 34 111000082 0 72952 Standard 24 23 111000085 0 204238.96 Standard 24 22 111000090 0 264647.08 Standard 36 34 111000100 0 187839.33 Standard 24 22 121038558 0 142591.6 2 mo int or 60 days int on UPB 24 21 121039078 98500 78706.13 None 0 0 121039193 76000 60751.47 None 0 0 121039209 0 224825 None 0 0 121039284 98600 78752.84 None 0 0 121039323 107000 96807.37 None 0 0 121039418 102000 81386.6 None 0 0 121039432 111000 88771.74 None 0 0 121039548 0 99932.76 2 mo int or 60 days int on UPB 24 22 121039647 92400 78429.24 None 0 0 121039666 0 175795.58 2 mo int or 60 days int on UPB 24 22 121039669 0 111876.94 None 0 0 121039712 172500 135803.5 None 0 0 121039745 102600 81959 None 0 0 121039756 122955 98231.3 None 0 0 121039796 0 144897.33 None 0 0 121039797 84500 67519.49 Standard 24 21 121039852 82000 65500.37 None 0 0 121039886 95000 75918.21 None 0 0 121039935 73000 65668.36 None 0 0 121039986 142000 109860.66 None 0 0 121040005 0 160200 None 0 0 121040007 180900 144720 2 mo int or 60 days int on UPB 24 21 121040060 185000 147691.62 None 0 0 121040077 181000 140507.3 2 mo int or 60 days int on UPB 24 22 121040089 100000 79911.02 None 0 0 121040094 0 85412.45 None 0 0 121040098 187900 131317.97 2 mo int or 60 days int on UPB 24 22 121040119 120000 95857.05 None 0 0 121040129 147400 117820.45 None 0 0 121040138 125000 99858.39 2 mo int or 60 days int on UPB 24 21 121040158 0 148526.31 2 mo int or 60 days int on UPB 24 22 121040171 79500 54436.07 None 0 0 121040192 88000 70281.67 None 0 0 121040203 0 246242.49 None 0 0 121040230 67200 53736.72 None 0 0 121040235 89200 80203.35 None 0 0 121040248 0 342000 None 0 0 121040299 0 131878.1 None 0 0 121040332 0 126192.18 None 0 0 121040355 0 168500 2 mo int or 60 days int on UPB 24 22 121040360 92000 73507.52 None 0 0 121040364 0 116165.86 2 mo int or 60 days int on UPB 36 35 121040372 78000 52938.42 None 0 0 121040377 137500 130545.7 None 0 0 121040416 0 136729.85 2 mo int or 60 days int on UPB 24 22 121040425 0 236000 2 mo int or 60 days int on UPB 36 34 121040452 119500 95255.55 None 0 0 121040458 132500 105921.96 2 mo int or 60 days int on XXX 00 00 000000000 0 000000 Xxxx 0 0 121040479 0 103932.31 None 0 0 121040489 0 140396.77 None 0 0 121040496 0 128168.31 None 0 0 121040503 0 137595.22 None 0 0 121040511 0 111923.31 None 0 0 121040521 0 207744.15 None 0 0 121040529 0 174189.88 None 0 0 121040534 0 123907.79 None 0 0 121040546 0 303589.84 2 mo int or 60 days int on UPB 24 22 121040560 148500 118628.35 None 0 0 121040569 0 100017.78 None 0 0 121040582 152000 121511.99 None 0 0 121040603 0 134898.8 None 0 0 121040607 0 207855.84 2 mo int or 60 days int on UPB 24 22 121040618 0 130067.85 None 0 0 121040637 0 126202.56 Standard 24 22 121040640 0 252000 2 mo int or 60 days int on UPB 24 22 121040643 0 83447.13 None 0 0 121040649 0 71500 2 mo int or 60 days int on UPB 24 23 121040650 0 217820.95 None 0 0 121040656 0 199883.74 2 mo int or 60 days int on UPB 24 22 121040679 0 49906.32 None 0 0 121040682 0 79928.03 2 mo int or 60 days int on UPB 36 35 121040689 0 49950 Standard 24 22 121040704 0 126884.97 None 0 0 121040714 0 199629 None 0 0 121040724 0 119000 None 0 0 121040730 0 184778.09 None 0 0 121040732 0 72866.99 None 0 0 121040744 161940 129351.27 2% of UPB 24 22 121040773 0 129873.75 None 0 0 121040783 0 184000 2 mo int or 60 days int on UPB 24 22 121040790 0 82338.85 None 0 0 121040791 0 150872.52 2 mo int or 60 days int on UPB 24 23 121040811 0 147895.54 None 0 0 121040812 0 134357.53 2 mo int or 60 days int on UPB 36 34 121040818 0 129749.78 2 mo int or 60 days int on UPB 24 22 121040834 0 151880.24 None 0 0 121040841 0 220674.27 2 mo int or 60 days int on UPB 24 22 121040855 0 184351.73 2 mo int or 60 days int on UPB 24 23 121040861 161000 128698.32 None 0 0 121040869 0 49915.01 None 0 0 121040878 0 356250 2 mo int or 60 days int on UPB 24 23 121040890 0 135838.81 2 mo int or 60 days int on UPB 36 35 121040893 0 169478.84 Xxxx 0 0 000000000 0 00000 Xxxx 0 0 121041112 186000 148800 None 0 0 131030876 0 72101.58 Standard 24 22 131031301 0 71211.88 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 131031373 0 101838.45 Standard 36 33 131031552 103000 82122.46 PIF - 1% of OPB ; Partial - 1% amt ppd 24 21 131031694 79400 75866.39 PIF - 1% of OPB ; Partial - 1% amt ppd 24 21 131031838 0 69865.15 Standard 24 21 131031899 0 59389.96 Standard 36 33 131031967 120000 107758.05 PIF - 1% of OPB ; Partial - 1% amt ppd 24 21 131032021 116000 92631.61 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 131032097 0 66224.84 Standard 24 21 131032116 0 56598.33 PIF - 1% of OPB ; Partial - 1% amt ppd 24 33 131032164 75000 71166.86 Standard 24 21 131032192 0 239069.07 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 131032227 79400 63433.99 PIF - 1% of OPB ; Partial - 1% amt ppd 24 21 131032380 158475 126780 Standard 24 21 131032404 0 49987.06 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 131032412 70000 74612.84 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 131032457 0 137750 Standard 24 22 131032462 0 107810.44 PIF - 1% of OPB ; Partial - 1% amt ppd 24 21 131032473 147900 118126.43 PIF - 1% of OPB ; Partial - 1% amt ppd 36 33 131032486 73500 58717.57 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 131032529 84500 67600 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 131032531 155000 123768.59 PIF - 1% of OPB ; Partial - 1% amt ppd 24 21 131032565 79900 63853.48 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 131032571 131900 105344.79 1% of amt prepaid 24 22 131032588 0 213591.05 1% of amt prepaid 24 22 131032594 72000 68333.86 Standard 24 21 131032599 0 67153.99 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 131032606 122000 97424.77 Standard 24 22 131032616 118000 94276.71 Standard 36 33 131032637 93000 88228 PIF - 1% of OPB ; Partial - 1% amt ppd 24 21 131032658 93700 74908.68 Standard 24 22 131032659 122450 97827.84 2% of ppd amt 24 21 131032682 188500 150542.13 PIF - 1% of OPB ; Partial - 1% amt ppd 3633 131032704 111000 88678.98 Standard 24 22 131032713 82680 66046.49 Standard 24 22 131032718 82000 65566.69 PIF - 1% of OPB ; Partial - 1% amt ppd 12 10 131032719 0 168017.26 PIF - 1% of OPB ; Partial - 1% amt ppd 24 23 131032737 0 92725.55 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 131032752 0 102533.9 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 131032782 109900 87857.32 Standard 24 22 131032796 0 149600 PIF - 1% of OPB ; Partial - 1% amt ppd 24 23 131032800 81900 65476.04 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 131032817 0 53984.89 Standard 24 22 131032833 0 166127.24 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 131032834 83000 66324.11 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 131032861 274900 260746.31 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 131032862 114900 91865.45 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 131032878 0 94003.74 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 131032901 0 220161.73 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 131032902 152500 144747.8 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 131032923 149500 119416.52 Standard 24 22 131032925 0 76885.09 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 131032937 107800 102345.37 Standard 24 22 131032953 0 115133.72 PIF - 1% of OPB ; Partial - 1% amt ppd 24 23 131032954 153367 142286.59 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 131032969 56000 50371.6 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 131032970 0 132653.44 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 131032975 103600 82734.06 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 131032998 0 55976 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 131033004 0 137739.96 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 131033013 0 83601.32 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 131033014 0 89893.9 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 131033018 0 75311.1 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 131033021 0 67420.42 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 131033022 0 61075.46 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 131033023 0 66463.09 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 131033032 166000 148704.87 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 131033050 96000 76748.47 Standard 24 22 131033053 141000 112725.84 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 131033073 0 131031.18 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 131033087 0 50000 PIF - 1% of OPB ; Partial - 1% amt ppd 24 23 131033114 0 152902.44 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 131033115 120000 95907.14 Standard 24 22 131033147 112275 89741.14 Standard 24 22 131033150 112000 89536.12 Standard 24 22 131033159 0 103339.62 Standard 24 22 131033160 0 150073.96 Standard 24 22 131033164 0 152769.91 Standard 24 22 131033182 0 80067.37 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 131033194 0 154587.32 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 131033206 0 139882.96 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 131033213 0 127996.81 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 131033251 0 312000 PIF - 1% of OPB ; Partial - 1% amt ppd 24 23 131033259 0 187771.43 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 131033279 0 99845.43 Standard 24 23 131033284 0 155667.17 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 131033296 0 53170.33 Standard 36 35 131033304 0 242250 PIF - 1% of OPB ; Partial - 1% amt ppd 24 23 131033305 0 132000 PIF - 1% of OPB ; Partial - 1% amt ppd 24 23 131033327 0 240803 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 131033372 0 121500 PIF - 1% of OPB ; Partial - 1% amt ppd 24 23 131033398 0 82432.38 PIF - 1% of OPB ; Partial - 1% amt ppd 24 23 131033420 0 106328.47 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 131033458 0 61733.1 PIF - 1% of OPB ; Partial - 1% amt ppd 24 23 131033461 0 140874.99 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 141045827 69900 49977.51 Standard 12 10 141045942 0 87900.25 Standard 24 22 141046098 161700 153407.75 Standard 12 10 141046128 0 106909.64 None 0 0 141046257 0 49965.41 Standard 12 10 141046366 0 239863.34 None 0 0 141046446 90000 85460.95 Standard 12 10 141046449 0 152250.69 None 0 0 141046465 0 279750 Standard 12 11 141046488 0 124797.34 None 0 0 141046619 126500 101029.97 None 0 0 141046702 116000 92660.43 None 0 0 141046721 139900 111847.16 None 0 0 141046732 81900 77639.21 None 0 0 141046739 122850 98196.55 None 0 0 141046760 114000 108190.2 Standard 12 10 141046773 0 324486.34 Standard 12 10 141046813 0 157295.45 Standard 24 23 141046814 100700 90516.37 None 0 0 141046847 89000 71147.16 None 0 0 141046859 166000 148321.29 None 0 0 141046882 228000 204894.47 Standard 24 21 141046891 0 267150 None 0 0 141046900 184900 147790.13 None 0 0 141046956 0 82444.53 None 0 0 141046987 0 217346.61 None 0 0 141047023 119150 95320 None 0 0 141047035 0 99906.32 None 0 0 141047057 61700 58586.47 Standard 12 10 141047078 163500 130682.9 Standard 24 22 141047094 0 196910.01 None 0 0 141047112 105000 94447.84 2% of UPB 12 10 141047121 175900 149268.69 None 0 0 141047142 159900 143813.44 Standard 24 22 141047174 165000 131889.65 Standard 24 22 141047197 0 119835.12 Standard 24 22 141047204 0 59948.34 None 0 0 141047206 145000 136909 Standard 36 34 141047207 182000 144516.08 Standard 24 22 141047212 0 192000 Standard 36 35 141047245 0 236967.39 None 0 0 141047262 160000 143851.69 Standard 24 22 141047263 0 129850.89 Standard 24 22 141047264 152000 121420.75 None 0 0 141047300 0 117401.97 Standard 12 10 141047302 85000 67908.44 None 0 0 141047333 174600 156894.1 3 mo int 36 33 141047335 0 314739.24 Standard 12 10 141047402 74000 62861.1 None 0 0 141047403 0 69258.01 None 0 0 141047424 0 123898.16 None 0 0 141047451 0 296701.49 Standard 36 34 141047459 0 214828.92 None 0 0 141047497 0 109924.68 Standard 24 22 141047502 0 79865.86 Standard 12 10 141047525 0 164363.91 None 0 0 141047528 0 76703.15 Standard 12 10 141047553 0 110000 None 0 0 141047557 0 163847.36 Standard 24 22 141047575 0 65965.42 None 0 0 141047594 0 50327.17 Standard 24 22 141047595 0 209808.3 Standard 36 34 141047605 0 174883.77 None 0 0 141047621 0 140250 Standard 24 23 141047649 0 279700.45 Standard 12 10 141047650 132000 118711.83 None 0 0 141047658 0 259807.04 Standard 12 10 141047676 0 169819.12 Standard 24 22 141047682 0 111230.39 None 0 0 141047692 0 368000 Standard 12 11 141047717 0 324000 Standard 12 10 141047719 113500 90414.34 None 0 0 141047731 0 179350 None 0 0 141047745 0 219797.84 Standard 24 23 141047748 0 175339.8 Standard 24 22 141047750 113000 90248.43 Standard 24 22 141047752 0 292255.47 None 0 0 141047761 0 294560.77 Standard 12 10 141047794 0 212371.27 Standard 24 22 141047802 0 119906.39 None 0 0 141047807 0 206882.13 Standard 24 22 141047810 0 66509.42 None 0 0 141047815 0 314377.25 Standard 12 10 141047816 138000 110196.6 None 0 0 141047819 0 174855.13 None 0 0 141047826 79000 63129.98 Standard 12 10 141047838 152000 121517.58 None 0 0 141047844 0 213612.03 None 0 0 141047845 132000 125293.09 None 0 0 141047859 0 358917.86 Standard 12 10 141047860 0 176695.75 Standard 36 34 141047874 0 170852.78 None 0 0 141047882 162000 129399.19 Standard 24 22 141047892 0 98660.07 None 0 0 141047897 0 152897.13 None 0 0 141047921 0 199872.47 None 0 0 141047922 0 49977.17 None 0 0 141047929 0 174861.43 Standard 12 10 141047932 0 115504.07 Standard 12 10 141047941 0 199468.41 Standard 24 22 141047944 0 119580.5 None 0 0 141047957 0 165372.21 Standard 24 22 141047960 0 142377.31 None 0 0 141047962 0 104436.04 None 0 0 141047964 0 279770.81 Standard 12 10 141047965 0 323071.79 Standard 12 10 141047986 0 289762.29 Standard 12 10 141047987 0 55224.76 Standard 12 10 141047995 0 254825.84 Standard 12 11 141047996 0 318861.07 Standard 12 10 141048002 0 299715.35 Standard 12 10 141048004 0 143897.13 None 0 0 141048016 0 299728.8 Standard 12 10 141048023 0 218000 None 0 0 141048031 0 223593.12 None 0 0 141048033 0 192614.04 None 0 0 141048035 0 224844.38 None 0 0 141048038 0 185250 Standard 12 11 141048040 0 59815.59 Standard 12 11 141048042 0 177480.59 None 0 0 141048061 0 201826.08 Standard 24 22 141048072 0 120894.54 Standard 36 34 141048097 0 305709.66 Standard 12 10 141048100 0 263237.83 Standard 12 10 141048109 0 157500 Standard 12 11 141048132 75000 59959.66 Standard 24 22 141048179 0 229809.6 Standard 12 10 141048246 0 290000 Standard 12 11 141048323 0 97491.45 Standard 12 11 141048324 0 110207.72 Standard 12 11 151028158 97520 77958.1 Standard 24 22 151028255 145000 130408.63 Standard 36 34 151028295 0 157406.34 Standard 24 22 151028550 0 64896.25 Standard 24 22 151028598 169900 135920 Standard 24 21 151028635 0 148590.34 Standard 36 33 151028642 83000 66354.53 Standard 36 34 151028659 123000 98212.77 Standard 36 33 151028672 75000 59877.18 Standard 36 33 151028699 132500 105827.43 Standard 24 22 151028709 0 100667.25 Standard 24 22 151028711 89900 71883.97 Standard 36 34 151028766 0 143919.27 Standard 36 34 151028767 132500 125732.62 Standard 24 22 151028771 0 197880.05 Standard 36 34 151028797 0 161343.67 Standard 36 34 151028805 75000 71159.37 Standard 24 21 151028806 0 280267.8 Standard 36 34 151028811 90000 71953.99 Standard 24 22 151028832 0 224000 Standard 36 35 151028840 0 199725.22 Standard 24 22 151028847 0 59916.73 Standard 24 22 151028864 78200 62526.88 Standard 24 22 151028871 0 324418.46 Standard 36 34 151028883 180000 143770.14 Standard 24 22 151028899 0 250000 None 0 0 151028922 0 185265.14 None 0 0 151028935 0 119836.78 Standard 36 34 151028946 0 131818.64 Standard 24 22 151028953 159000 127070.93 Standard 24 22 151028963 0 199911.33 None 0 0 151028968 160000 127767.94 Standard 24 22 151028999 0 128546.27 Standard 36 35 151029001 0 95939.41 Standard 24 22 151029005 150000 119844.36 Standard 24 22 151029013 0 279751.76 Standard 24 22 151029022 0 87697.93 None 0 0 151029033 0 79965.17 Standard 36 34 151029039 0 81732.35 Standard 24 23 151029042 0 92631.74 Standard 24 22 151029046 165000 139978.14 Standard 24 22 151029049 115000 91948.15 Standard 36 34 151029052 0 199879.13 Standard 24 22 151029055 0 199646.12 Standard 36 34 151029069 220000 132257.45 Standard 24 22 151029077 0 161190.67 Standard 24 22 151029079 0 201227.37 Standard 36 34 151029134 0 207000 Standard 24 23 151029196 0 188704.24 Standard 36 34 161040128 150000 50901.08 2% of UPB 12 9 161040458 0 471642.28 None 0 0 161040582 0 83944.77 Standard 24 22 161041076 0 79826.12 Standard 24 22 161041197 0 199789.64 None 0 0 161041248 0 174667.03 None 0 0 161041323 0 155700.33 None 0 0 161041362 206000 135110.33 None 0 0 161041479 0 230400 None 0 0 161041531 0 276500 None 0 0 161041562 176900 141275.61 None 0 0 161041588 0 346474.1 None 0 0 161041634 0 226400 2% of UPB 12 10 161041679 0 214827.21 None 0 0 161041680 0 84937.54 None 0 0 161041712 0 193203 None 0 0 161041810 0 195771.29 None 0 0 161041813 0 179663.87 None 0 0 161041818 0 231793.91 None 0 0 161041833 0 223000 None 0 0 161041874 278500 250491.79 3 mo int 24 22 161041878 177500 141918.82 3 mo int 24 22 161041907 0 204967.69 None 0 0 161041917 0 99921.06 Standard 36 34 161041918 0 341743.63 None 0 0 161041943 168000 134161.02 None 0 0 161041960 0 202833.28 None 0 0 161041985 0 265777.62 None 0 0 161041989 0 259593.12 None 0 0 161041993 0 464139.33 None 0 0 161041995 160000 128000 None 0 0 161042000 300000 284845.94 3 mo int 24 22 161042002 0 229850.31 None 0 0 161042019 0 130390.91 None 0 0 161042035 0 357299.38 None 0 0 161042049 0 214499.8 None 0 0 161042078 0 159876.42 None 0 0 161042085 0 292000 None 0 0 161042135 0 247796.32 None 0 0 161042165 0 253800 None 0 0 161042166 0 552585.23 3 mo int 24 22 161042188 0 220647.23 None 0 0 161042196 0 109906.21 None 0 0 161042199 0 269815.27 Standard 24 22 161042201 0 186000 None 0 0 161042205 0 343750 None 0 0 161042208 0 179673.68 None 0 0 161042212 0 164857.24 None 0 0 161042213 0 220813.42 2% of UPB 12 10 161042218 0 165530.4 2% of UPB 12 10 161042222 0 150319.54 2% of UPB 12 10 161042230 0 123895.31 None 0 0 161042247 0 114498.22 Standard 24 22 161042253 0 117882.53 Standard 24 22 161042269 0 144877.58 None 0 0 161042277 0 204598.57 None 0 0 161042278 0 170733.4 Standard 24 22 161042281 0 227750.44 None 0 0 161042294 0 167875.32 None 0 0 161042301 0 260824.51 None 0 0 161042302 0 193339.82 None 0 0 161042310 0 226835.99 None 0 0 161042315 0 53461.47 None 0 0 161042323 0 128394.24 Standard 24 22 161042327 0 202610.04 None 0 0 161042348 0 239878.16 None 0 0 161042350 0 111646.34 Standard 36 34 161042351 0 296731.51 Standard 36 34 161042352 0 245698.24 None 0 0 161042355 0 242819.66 None 0 0 161042356 0 270978.46 None 0 0 161042372 0 138069.77 None 0 0 161042376 0 199843.98 None 0 0 161042378 0 184821.06 None 0 0 161042385 0 289493.33 None 0 0 161042387 0 129765.52 None 0 0 161042390 0 279535.09 None 0 0 161042393 0 299715.35 None 0 0 161042395 0 212660.96 3 mo int 24 22 161042401 0 89813.39 None 0 0 161042404 0 173855.68 2% of XXX 00 00 000000000 0 000000 Xxxx 0 0 161042410 0 256321.23 None 0 0 161042424 0 81117.6 None 0 0 161042434 0 151896.97 None 0 0 161042459 0 203815.25 None 0 0 161042462 0 442650.97 None 0 0 161042464 0 179704.06 None 0 0 161042484 0 133412.23 None 0 0 161042488 0 145000 None 0 0 161042489 0 130390.91 Standard 24 22 161042491 0 157898.22 None 0 0 161042493 0 197819.26 None 0 0 161042497 0 233505.57 None 0 0 161042506 0 332755.33 None 0 0 161042511 0 154890.6 None 0 0 161042513 0 199840.86 None 0 0 161042524 0 208941.53 None 0 0 161042582 0 316687.43 None 0 0 161042588 0 301705.07 None 0 0 161042615 0 99913.05 None 0 0 161042624 0 202296.23 None 0 0 161042641 0 220769.42 None 0 0 161042655 0 122867.5 2% of UPB 12 10 161042688 0 368676.03 None 0 0 161042781 0 245000 3 mo int 24 23 171024698 0 89878.82 Standard 24 21 171025182 0 161534.02 Standard 36 33 171025358 250000 74831.13 Standard 36 33 171025420 168000 134287.64 Standard 24 22 171025428 191000 152358.58 Standard 24 21 171025508 0 106379.31 Standard 36 33 171025511 0 148289.71 Standard 24 21 171025563 284500 241485.96 Standard 24 21 171025566 0 127183.78 Standard 24 21 171025611 175000 139900.19 Standard 24 22 171025638 150000 120000 Standard 24 21 171025672 0 163377.44 Standard 24 22 171025689 187500 149997.31 Standard 24 21 171025690 142000 113378.48 Standard 24 21 171025761 0 123923.95 Standard 24 22 171025800 170000 136000 Standard 24 22 171025845 180250 144200 Standard 24 21 171025852 185000 148000 Standard 36 33 171025881 225000 157500 Standard 12 10 171025884 85000 67906 Standard 24 21 171025894 129500 103600 Standard 24 22 171025901 228000 127847.54 Standard 24 21 171025916 0 337305.83 Standard 24 22 171025923 135000 108000 Standard 24 22 171025934 0 211879.07 Standard 24 22 171025982 129000 122360.11 Standard 24 22 171026008 0 143912.58 Standard 24 22 171026009 66500 50979.96 Standard 24 22 171026042 215819 55858.92 Standard 24 22 171026045 0 172000 Standard 36 34 171026050 0 187880.12 Standard 24 22 171026055 0 134764.58 Standard 24 22 171026067 95500 76342.82 Standard 24 22 171026070 180000 133600 Standard 24 22 171026090 135000 128062.83 Standard 24 22 171026094 0 128162.18 Standard 24 22 171026099 0 135775.95 Standard 24 22 171026110 297500 237744.04 Standard 24 22 171026126 170000 152900.43 Standard 24 22 171026127 0 114136.51 Standard 24 22 171026128 0 96752.38 Standard 24 22 171026132 135000 121319.09 Standard 24 22 171026147 0 174128 Standard 24 22 171026148 142000 113525.31 Standard 24 22 171026154 160000 127793.65 Standard 24 22 171026174 111000 88731.41 Standard 24 22 171026195 0 135751.03 Standard 24 22 171026219 0 237695.44 Standard 36 34 171026225 0 206550 Standard 24 22 171026251 0 275814.81 Standard 24 22 171026253 0 279833.84 Standard 24 22 171026261 0 253500 Standard 24 22 171026269 114500 119951.8 Standard 36 34 171026288 0 147999.38 Standard 24 22 171026327 0 183480.8 Standard 24 22 171026330 0 161032.45 Standard 24 22 171026337 286335 136187.17 Standard 24 22 171026373 0 139849.62 Standard 24 22 171026388 0 136401.7 Standard 24 22 171026400 0 265831.49 Standard 24 22 171026406 0 167889.54 Standard 24 22 171026411 0 96150.79 Standard 24 22 171026416 0 197890.72 Standard 24 22 171026430 0 177500.18 Standard 24 22 171026454 95000 90171.54 Standard 24 22 171026480 0 249612.63 Standard 24 22 171026533 0 270538.79 Standard 24 22 171026645 0 229500 Standard 24 23 171026654 175000 139879.46 Standard 24 23 191023716 67940 54282.78 Standard 24 21 191023857 0 119754.36 Standard 24 20 191024176 104000 88132.3 Standard 24 21 191024290 0 69808.31 Standard 36 32 191024466 0 154626.7 Standard 24 21 191024551 0 149829.45 Standard 36 33 191024583 0 248520.12 Standard 24 21 191024687 0 267559.11 Standard 24 22 191024701 0 63676.73 Standard 36 34 191024713 83500 66698.53 Standard 24 21 191024736 170000 136000 Standard 24 21 191024738 0 148702.09 Standard 24 22 191024748 86500 69144.94 Standard 24 22 191024838 192500 153945.79 Standard 24 21 191024887 84975 67933.56 Standard 24 22 191024901 0 220647.26 Standard 24 22 191024908 116000 92744.01 Standard 24 22 191024938 162500 130000 Standard 24 21 191024996 267500 253871.35 None 0 0 191025025 0 163653.35 Standard 24 22 191025047 0 264593.43 Standard 24 22 191025054 0 194400 Standard 24 22 191025058 0 117909.83 Standard 24 22 191025066 0 178332.26 Standard 24 22 191025080 0 156862 Standard 24 22 191025121 0 101897.76 Standard 36 34 191025149 0 242223.75 Standard 24 22 191025153 0 216580.46 Standard 24 22 191025166 302000 60372.56 None 0 0 191025176 0 319473.87 Standard 24 22 191025209 0 291760.18 Standard 24 22 191025227 0 239889.21 Standard 24 22 191025241 159900 143693.57 Standard 24 22 191025250 0 242091.05 None 0 0 191025278 0 131919.21 1% of amt prepaid 24 22 191025287 0 153806.56 Standard 24 23 191025289 0 350000 Standard 24 22 191025290 0 161485.71 Standard 24 22 191025305 0 195881.13 None 0 0 191025317 92500 87818.39 Standard 24 22 191025323 0 211360.95 Standard 24 22 191025324 0 59949.89 2% of UPB 36 34 191025337 0 151900 Standard 24 23 191025358 0 152874.34 Standard 24 22 191025363 324000 64736.8 None 0 0 191025369 0 162762.11 Standard 24 22 191025371 0 167871.73 Standard 24 22 191025372 124000 99123.37 Standard 24 22 191025384 0 176877.58 Standard 24 23 191025398 0 133600 Standard 24 22 191025457 0 163880.46 Standard 24 22 191025464 0 145473.41 Standard 24 22 211028133 55000 52187.76 None 0 0 211028342 122750 98058.12 None 0 0 211028362 80500 64299.22 None 0 0 211028436 0 83056.22 Standard 24 21 211028533 250000 224495.93 1% of UPB 24 21 211028550 0 58154.74 None 0 0 211028556 0 204167.53 None 0 0 211028662 141176 112544.74 Standard 24 21 211028679 79900 63793.06 1% of UPB 36 32 211028724 289000 112538.81 Standard 24 21 211028810 160000 127819.49 Standard 24 22 211028871 171000 136800 Standard 24 21 211028949 110900 88608.76 None 0 0 211028975 116000 92650.07 None 0 0 211029036 0 80833.97 None 0 0 211029170 0 60952.88 Standard 24 22 211029214 0 199882.53 None 0 0 211029247 0 71191.27 None 0 0 211029256 148950 141387.65 2% of ppd amt 24 22 211029280 55300 52471.78 None 0 0 211029329 0 219835.08 None 0 0 211029370 135000 107811.32 None 0 0 211029390 120000 95852.73 None 0 0 211029472 0 82354.89 Standard 24 22 211029475 135000 128125.97 Standard 24 21 211029511 159900 127663.41 None 0 0 211029543 115000 91949.22 None 0 0 211029550 0 87612.41 None 0 0 211029566 0 128855.59 2% of ppd amt 24 22 211029583 180000 143699.24 None 0 0 211029589 97000 87188.33 2% of ppd amt 24 21 211029602 146970 117260.46 2% of ppd amt 24 21 211029603 140610 112322.83 None 0 0 211029636 63500 69659.9 1% of UPB 36 34 211029638 123900 98964.89 Standard 24 21 211029686 174300 139236.5 None 0 0 211029705 0 355761.13 Standard 12 10 211029711 150000 74854.05 None 0 0 211029724 119900 79948.99 1% of UPB 36 34 211029726 0 146893.07 None 0 0 211029733 0 240149.01 Standard 24 22 211029742 114000 91033.07 1% of UPB 24 21 211029806 146000 116704.07 None 0 0 211029819 79950 63877.32 2% of ppd amt 24 22 211029820 0 96734.92 Standard 24 22 211029887 181000 144706.72 None 0 0 211029898 78300 62566.15 Standard 24 21 211029923 188250 150347.48 None 0 0 211029947 124000 99060.93 2% of ppd amt 24 21 211029949 144900 151916.11 1% of UPB 24 22 211029972 159900 127772.26 Standard 24 21 211029977 119000 95006.7 2% of ppd amt 24 21 211029980 0 271848.3 None 0 0 211029990 75000 59957.65 1% of UPB 36 34 211029998 0 120739.32 None 0 0 211030000 0 51947.54 None 0 0 211030004 126670 101336 Standard 24 21 211030015 0 90999.92 None 0 0 211030028 69900 55894.73 1% of UPB 36 34 211030051 120000 107876.55 Standard 24 21 211030082 0 91876.27 None 0 0 211030087 97000 77474.89 None 0 0 211030090 186500 107782.22 2% of ppd amt 24 21 211030121 0 227280.57 None 0 0 211030131 95550 90653.23 1% of UPB 24 21 211030141 125000 112430.43 3 mo int 24 22 211030156 134995 107841.51 3% / 2% / 1% 24 21 211030161 0 80889.83 None 0 0 211030193 61000 57914.17 Standard 24 22 211030205 70000 54922.89 Standard 24 22 211030210 130000 103934.35 None 0 0 211030251 114400 108135.51 None 0 0 211030286 0 79097.61 None 0 0 211030287 76000 60719.79 None 0 0 211030303 133000 126277.3 None 0 0 211030322 0 296792.48 Standard 12 10 211030333 0 159906.89 2% of ppd amt 24 22 211030336 0 107946.2 1% of UPB 24 22 211030347 0 148172.64 3% / 2% / 1% 24 22 211030352 76300 60965.79 Standard 24 22 211030359 135100 107995.68 2 mo int on 66% if less than 8% 24 22 211030360 0 239810.91 2% of ppd amt 24 22 211030367 0 144693.61 1% of UPB 24 22 211030392 0 83928.5 Standard 36 34 211030400 0 224418.11 None 0 0 211030429 0 136416.53 None 0 0 211030433 114000 91132.32 1% of UPB 24 22 211030456 0 208878.5 1% of amt ppd if loan greater than $150K 24 22 211030496 0 153452.93 1% of UPB 24 22 211030497 0 69952.55 2% of ppd amt 24 22 211030503 0 224550.05 2 mo int on 66% if less than 8% 24 22 211030521 154000 122750.9 Standard 24 22 211030532 0 164843.77 Standard 24 22 211030553 0 128350 1% of UPB 24 22 211030557 204690 163649.44 1% of UPB 24 22 211030589 0 211621.46 None 0 0 211030592 89000 71130.41 Standard 24 22 211030611 0 264765.05 Standard 24 22 211030650 90000 71934.91 2% of ppd amt 24 22 211030683 0 81563.82 1% of UPB 24 22 211030688 0 96935.96 None 0 0 211030714 0 149743.5 Standard 24 22 211030776 0 284299.95 None 0 0 211030782 0 162258.06 2% of ppd amt 12 10 211030796 0 307711.43 1% of amt ppd if loan greater than $150K 24 22 211030819 0 123411.95 1% of UPB 36 34 211030856 0 90868.06 1% of UPB 24 22 211030871 0 216000 Standard 24 23 211030913 0 59931.2 2% of ppd amt 24 22 211030976 0 223552.91 2 mo int on 66% if less than 8% 24 22 211030987 0 49848.04 Standard 36 34 211031007 0 303833.92 None 0 0 211031034 0 50400 Standard 36 35 211031045 0 50975.95 Standard 24 22 211031164 0 146102.11 None 0 0 211031187 0 104720 None 0 0 211031193 0 165855.67 1% of amt ppd if loan greater than $150K 24 22 211031211 0 98933.57 Standard 24 22 211031441 0 79546.39 Standard 36 34 211031523 0 292307.69 1% of amt ppd if loan greater than $150K 24 22 231062976 176900 114895.12 Standard 12 10 231063004 0 88000 None 0 0 231063316 70000 55824.09 Standard 36 34 231063424 270000 242416.94 None 0 0 231063554 260000 179430.78 3 mo int 24 21 231063758 0 274648.82 None 0 0 231063885 182000 172763.78 3 mo int 24 22 231064222 129900 103826.96 Standard 24 22 231064374 112000 100669.42 None 0 0 231064526 0 280000 None 0 0 231064600 0 59952.82 None 0 0 231064604 100000 79868.47 None 0 0 231064636 0 58894.07 Standard 36 34 231064965 160000 127887.61 None 0 0 231064977 137000 109521.07 None 0 0 231065021 165000 140250 None 0 0 231065156 69500 62507.6 Standard 24 22 231065215 0 249808.82 None 0 0 231065232 94900 49917.8 None 0 0 231065245 120196 114111.71 None 0 0 231065314 0 111916.04 Standard 36 34 231065403 122500 110132.83 None 0 0 231065488 129900 103768.34 Standard 36 33 231065494 119900 95697.49 Standard 36 33 231065518 0 314703.99 Standard 12 10 231065567 0 161116.52 Standard 24 22 231065615 0 227662 None 0 0 231065617 0 265638.21 Standard 24 21 231065636 0 199908.66 None 0 0 231065642 0 194849.39 None 0 0 231065657 176500 158728.53 None 0 0 231065704 0 94191.72 Standard 24 22 231065709 0 125911.07 Standard 36 34 231065718 77500 61855.48 None 0 0 231065740 0 113475.18 Standard 24 22 231065797 0 200000 None 0 0 231065870 184900 147920 Standard 24 22 231065900 84800 67763.26 None 0 0 231065901 0 250348.04 None 0 0 231065902 0 184892.46 2% of UPB 12 11 231065942 167500 133850.28 None 0 0 231065950 156000 124541.24 Standard 24 22 231065968 189900 151920 None 0 0 231066095 0 115000 None 0 0 231066101 0 125000 None 0 0 231066110 0 78311.3 None 0 0 231066123 105000 99615.43 Standard 36 34 231066137 148000 133089.74 Standard 24 22 231066156 0 184664.28 None 0 0 231066166 0 119901.44 None 0 0 231066172 0 111909.99 None 0 0 231066175 173000 138274.89 Standard 24 22 231066226 75000 67334.28 Standard 24 21 231066238 63900 57478.53 Standard 24 22 231066247 132500 105835.75 Standard 36 33 231066292 0 101261.45 None 0 0 231066306 0 49939.2 None 0 0 231066307 185000 147870.06 Standard 24 22 231066352 0 177862.51 None 0 0 231066373 189900 151761.87 None 0 0 231066385 0 334400 None 0 0 231066394 75000 59956.36 Standard 24 22 231066421 150000 119536.59 Standard 24 21 231066455 0 154851.5 Standard 24 22 231066471 125000 99830.66 Standard 36 34 231066547 0 176151.71 2% of UPB 12 10 231066557 129900 103749.14 Standard 24 22 231066562 0 170882.91 Standard 24 22 231066595 0 337450.33 Standard 12 10 231066620 132900 119527.27 Standard 24 22 231066622 76600 64437.03 Standard 24 21 231066655 100000 69796.41 Standard 12 10 231066661 0 308534.28 None 0 0 231066686 0 190924.1 Standard 24 22 231066692 0 113627.82 Standard 24 22 231066711 0 320000 None 0 0 231066751 0 260929.16 None 0 0 231066757 108500 86741.76 Standard 24 23 231066777 0 169843.31 Standard 24 22 231066795 0 265000 None 0 0 231066825 85500 81141.52 Standard 24 22 231066826 0 50721.99 None 0 0 231066848 179900 143692.08 Standard 24 21 231066854 0 217000 Standard 24 23 231066861 178000 142139.32 Standard 24 22 231066866 94500 80269.89 None 0 0 231066885 0 72965.21 None 0 0 231066900 0 223328.56 Standard 24 22 231066924 0 109352.27 None 0 0 231066930 0 119353.97 None 0 0 231066950 58000 52137.53 None 0 0 231066984 144500 137013.81 2% of UPB 12 10 231066991 0 255600 Standard 36 35 231067012 142700 113981.36 Standard 24 22 231067062 175000 139774.32 Standard 24 22 231067067 0 446240.45 None 0 0 231067116 0 153177.78 None 0 0 231067170 0 265306.87 None 0 0 231067185 0 143515.48 None 0 0 231067198 85000 76457.34 Standard 24 22 231067204 0 229553.94 None 0 0 231067235 0 194823.72 None 0 0 231067255 0 263840.89 None 0 0 231067260 0 237650 Standard 36 34 231067277 0 182556.05 Standard 36 34 231067278 0 112645.01 Standard 24 22 231067285 0 102600 None 0 0 231067297 85000 67928.33 Standard 24 22 231067328 0 335710.14 Standard 36 34 231067344 0 134879.13 None 0 0 231067351 89900 71777.82 Standard 24 22 231067358 185000 147930.95 None 0 0 231067366 0 189872.25 None 0 0 231067370 0 112332.49 Standard 24 22 231067374 162000 153793.55 Standard 24 22 231067393 191000 129538.79 3 mo int 24 22 231067394 0 222533.07 2% of ppd amt 24 22 231067408 273000 259179.48 Standard 36 34 231067411 147500 117902.32 2% of UPB 12 10 231067418 0 175000 Standard 24 23 231067450 0 140000.63 Standard 24 22 231067472 0 71119.57 None 0 0 231067491 0 170765.05 Standard 36 34 231067494 0 216614.16 1% of UPB 24 22 231067508 0 107939.01 Standard 24 22 231067510 83900 66819.41 Standard 36 34 231067531 0 119874.39 None 0 0 231067579 0 159715.52 None 0 0 231067607 0 222762.93 None 0 0 231067633 0 129026.05 None 0 0 231067666 0 210000 None 0 0 231067679 68900 65410.63 Standard 24 22 231067682 0 163800 None 0 0 231067693 0 175848.47 Standard 12 11 231067779 0 255000 None 0 0 231067810 69000 55200 Standard 24 23 231067824 0 150992.26 Standard 36 34 231067829 0 90923.77 Standard 24 22 231067834 0 305644.37 Standard 12 10 231067870 0 215000 None 0 0 231067892 0 170000 None 0 0 231067901 0 441648.28 None 0 0 231067909 0 130000 Standard 36 34 231067949 63000 50400 Standard 36 35 231067950 0 314259.49 2% of UPB 12 10 231067972 0 238333.36 None 0 0 231068018 0 123468.4 None 0 0 231068024 0 220974 2% of UPB 12 11 231068030 0 202386.29 None 0 0 231068040 0 250048.89 None 0 0 231068074 0 216000 Standard 36 35 231068092 0 324758.8 None 0 0 231068104 0 322734.72 None 0 0 231068158 0 176866.26 2% of UPB 12 11 231068239 0 245513.97 None 0 0 231068248 0 171895.59 None 0 0 231068285 0 147872.57 Standard 24 22 231068297 132000 64977.82 Standard 36 34 231068329 0 220309.79 Standard 24 22 231068351 0 199842.42 None 0 0 231068375 0 325000 Standard 36 35 231068550 60000 53968.93 Standard 36 35 231068710 0 79324.5 None 0 0 231068736 0 237821.59 2% of UPB 12 11 251036117 0 49918.75 Standard 24 23 251036205 0 165189.98 3% / 2% / 1% 36 34 251036485 0 135906.87 Standard 24 22 251036553 0 49970.64 2 mo int or 60 days int on UPB 24 22 251036736 0 195181.09 Standard 36 34 251036780 0 49889.9 Standard 24 22 251036805 0 122368.99 Standard 24 22 251036861 0 148069.89 Standard 24 22 251036870 0 188407.02 Standard 24 22 251036922 0 86026.45 Standard 24 22 251036929 0 199301.4 Standard 24 22 261051767 0 54882.84 None 0 0 261051929 0 61909.73 Standard 36 34 261051937 0 55182.12 Standard 24 22 261051940 0 50115.38 Standard 36 34 261051993 85000 67917.32 Standard 24 21 261052002 159000 130205.53 None 0 0 261052051 0 124925.05 Standard 24 22 261052068 74000 70215.12 Standard 24 22 261052115 92000 73420.06 Standard 24 21 261052122 0 72684.67 None 0 0 261052155 0 53969.57 3% / 2% / 1% 24 22 261052158 0 63981.28 Standard 24 22 261052189 0 49910.33 Standard 36 34 261052196 0 75910.4 Standard 24 22 261052261 0 69319.97 Standard 24 22 261052271 88000 70307.14 PIF - 1% of OPB ; Partial - 1% amt ppd 24 21 261052357 0 139770.67 None 0 0 261052359 0 59413.17 3% / 2% / 1% 24 22 261052392 0 159877.64 Standard 24 22 261052397 156115 124730.71 Standard 24 22 261052408 0 74913.38 None 0 0 261052457 0 62700 Standard 24 22 261052461 0 227324.38 Standard 24 22 261052472 0 151900.06 Standard 36 34 261052475 0 82291.64 None 0 0 261052486 0 95932.79 Standard 24 22 261052494 0 81041.27 None 0 0 261052495 0 78748.59 None 0 0 261052501 0 78748.59 None 0 0 261052517 0 149392.37 Standard 24 22 261052530 0 84919.52 Standard 24 22 261052536 0 80437.7 Standard 24 22 261052553 0 101882.21 Standard 36 34 261052555 0 49970.32 Standard 24 22 261052559 0 89878.82 3% / 2% / 1% 24 22 261052560 0 159754.53 Standard 24 22 261052562 0 121600 None 0 0 261052563 0 55067.64 Standard 24 22 261052564 0 160740.36 Standard 24 22 261052586 0 92942.49 3% / 2% / 1% 36 34 261052588 0 105825.72 None 0 0 261052597 0 163284.67 Standard 24 22 261052601 0 66112.88 Standard 24 22 261052602 0 51711.21 3% / 2% / 1% 24 22 261052603 0 53138.25 3% / 2% / 1% 36 34 261052612 0 105534.03 1% of amt prepaid 24 22 261052645 0 249630.64 Standard 24 22 261052653 0 71443.67 Standard 24 22 261052654 0 119910.94 Standard 24 23 261052807 0 62949.86 Standard 24 22 261052837 0 89499.58 Standard 24 23 271021479 0 154826.46 None 0 0 271021821 0 83951.17 None 0 0 271021862 0 322500 Standard 36 34 271021879 0 173841.03 None 0 0 271021889 95100 75980.64 Standard 24 22 271021911 0 255577.01 Standard 12 10 271021965 0 224000 2% of ppd amt 24 22 271021986 169900 135797.82 Standard 24 22 271022013 0 175895.55 3% / 2% / 1% 24 22 271022017 0 103581.61 Standard 36 34 271022021 0 208723 None 0 0 271022024 0 122832.7 Standard 24 22 271022074 0 160745.04 Standard 24 22 271022077 0 76386.66 Standard 24 22 271022080 0 343770.76 None 0 0 271022093 0 81773.28 1% of amt prepaid 24 22 271022106 0 114902.91 Standard 24 22 271022126 0 327529.86 Standard 24 22 271022130 0 182092.16 None 0 0 271022168 0 224440.84 2% of ppd amt 24 22 271022179 0 107808.54 None 0 0 271022225 215000 107408.35 Standard 12 10 271022229 0 274743.57 Standard 12 10 271022238 0 211878.03 Standard 24 22 271022239 0 155916.55 None 0 0 271022260 0 116835.97 Standard 24 22 271022266 0 178382.65 Standard 24 22 271022312 0 172650.72 2% of ppd amt 24 22 271022320 0 86184.7 Standard 24 22 271022323 0 159911.69 None 0 0 271022346 0 115850.34 None 0 0 271022360 0 257746.13 None 0 0 271022364 0 149899.35 2 mo int or 60 days int on UPB 24 22 271022366 0 151845.81 Standard 24 22 271022383 0 192413.71 2 mo int on 66% if less than 8% 24 22 271022384 0 349651.57 Standard 12 10 271022394 0 75963.01 None 0 0 271022398 0 239860.48 2% of ppd amt 24 22 271022403 0 126622.61 Standard 24 22 271022408 0 462599.38 Standard 12 10 271022421 0 104368.49 Standard 24 22 271022447 0 189856.15 Standard 24 22 271022448 0 223764.28 None 0 0 271022456 0 308489.25 Standard 24 22 271022461 0 159734.33 Standard 24 22 271022475 0 51412.56 Standard 36 34 271022493 0 304772.51 Standard 24 22 271022508 0 171180.31 None 0 0 271022519 0 168855.92 Standard 24 22 271022521 0 287812.57 2 mo int or 60 days int on UPB 24 22 271022530 0 79887.84 Standard 36 34 271022540 0 298658.53 None 0 0 271022542 0 254773.92 2% of ppd amt 24 22 271022565 0 307582.75 Standard 24 22 271022592 0 195500 Standard 24 22 271022635 0 283799.56 Standard 12 10 271022667 0 117868.99 2% of XXX 00 00 000000000 0 000000 Xxxx 0 0 271022687 0 175361.73 Standard 24 22 281015040 0 58430.88 None 0 0 281015069 0 172900 None 0 0 281015216 0 63722.98 None 0 0 281015223 0 104858.63 Standard 36 34 281015241 0 63960.83 Standard 24 22 281015392 0 86738.73 Standard 24 22 281015396 0 188836.28 None 0 0 281015423 0 51917.32 None 0 0 281015458 0 184116.6 None 0 0 281015479 0 126664.09 Standard 24 22 281015480 0 150933.59 None 0 0 281015491 0 50366.11 Standard 24 22 281015493 0 344694.13 Standard 12 10 281015498 0 143733.83 Standard 24 22 281015516 0 149194.5 Standard 36 34 281015524 0 69298.27 None 0 0 281015527 0 64753.23 None 0 0 281015529 0 90119.59 Standard 24 22 281015561 0 103941.99 None 0 0 281015594 0 122280.39 1% of amt prepaid 24 22 281015601 0 192459.9 Standard 24 22 281015619 0 116026.73 None 0 0 281015622 0 135000 None 0 0 281015642 0 82757.07 Standard 36 34 281015657 0 85453.3 Standard 24 23 281015663 0 204828 None 0 0 281015668 0 53097.92 None 0 0 281015672 0 50334.06 Standard 24 22 281015719 0 85395.2 Standard 12 11 281015789 0 102341.57 Standard 24 23 291000354 0 133907.19 None 0 0 291000383 0 149856.28 Standard 24 23 291000399 0 149950 Standard 24 23 291000557 0 118913.58 Standard 36 35 291000569 0 202814.7 Standard 36 34 291000587 0 161844.5 Standard 24 22 291000606 0 88298.11 None 0 0 291000661 0 155095.26 Standard 24 22 291000676 0 247798.71 Standard 24 22 291000687 0 71290.46 Standard 36 34 291000703 0 87849.53 Standard 36 34 291000717 0 199845.53 Standard 24 22 291000745 0 130000 Standard 24 23 291000759 0 167876.82 Standard 24 23 291000770 0 215496.25 Standard 36 34 291000789 0 155000 Standard 24 23 291000816 0 124450 Standard 24 22 291000838 0 171672.55 Standard 24 22 291000840 0 217750 Standard 24 23 291000847 0 96845.4 Standard 12 10 291000850 0 104355.53 Standard 24 23 291000862 0 108823.91 Standard 24 22 301000751 0 59882.05 Standard 24 21 301000980 122685 98082.01 Standard 24 22 301001190 100000 79902.73 Standard 24 21 301001220 0 212134.34 Standard 36 33 301001254 0 121762.33 Standard 24 21 301001276 117000 93449.11 Standard 24 22 301001278 0 247571.76 Standard 24 21 301001286 137500 130584.72 Standard 24 21 301001359 132900 106175.38 Standard 24 21 301001384 0 152767.61 Standard 24 21 301001403 0 99063.71 Standard 24 21 301001458 89900 71782.88 Standard 36 33 301001490 0 192832.19 Standard 24 22 301001510 192200 153633.71 Standard 24 22 301001538 140000 111859.56 Standard 24 21 301001543 75000 59958.5 Standard 24 22 301001546 0 195250 Standard 12 10 301001586 0 91881.07 Standard 36 34 301001642 140000 112000 Standard 24 22 301001671 0 171884.35 Standard 24 22 301001703 125000 99840.37 Standard 24 22 301001729 0 197853.06 Standard 24 22 301001737 110000 87940.35 Standard 24 22 301001780 0 131803.47 Standard 24 22 301001787 0 256327.54 Standard 24 22 301001866 0 91734.17 Standard 24 22 301001871 0 132396.64 Standard 36 34 301001933 0 124000 Standard 24 23 311026969 152000 128958.65 None 0 0 311027014 292000 277223.12 None 0 0 311027063 375000 289608.74 None 0 0 311027070 0 159894.8 None 0 0 311027097 245000 220187.74 None 0 0 311027136 0 232500 None 0 0 311027150 60000 56939.42 None 0 0 311027153 0 142397.38 None 0 0 311027187 212000 190695.56 None 0 0 311027193 0 121600 None 0 0 311027224 0 116810.88 None 0 0 311027304 0 99932.22 Standard 36 34 311027307 0 55072.03 Standard 24 22 311027313 0 127090.48 None 0 0 311027318 0 219999.62 None 0 0 311027324 0 111661.4 None 0 0 311027326 0 113403.83 None 0 0 311027361 0 327836.96 None 0 0 311027368 0 247301.1 None 0 0 311027370 0 239814.63 None 0 0 311027383 0 139902.18 None 0 0 311027384 0 167846.91 None 0 0 311027390 0 202346.68 None 0 0 311027400 0 142875.67 None 0 0 311027402 0 322734.72 None 0 0 311027407 0 140929.92 None 0 0 311027408 0 99936.89 None 0 0 311027423 0 179898.56 None 0 0 311027428 0 114766.74 None 0 0 311027439 0 188234.02 None 0 0 311027441 0 232097.87 None 0 0 311027457 0 192326.98 Standard 24 22 311027458 0 324000 None 0 0 311027459 0 261000 None 0 0 311027460 0 263763.65 None 0 0 311027465 0 49971.23 None 0 0 311027479 0 207827.82 None 0 0 311027481 0 224753.72 None 0 0 311027496 0 152762.94 None 0 0 311027516 0 263761.34 None 0 0 311027523 0 149861.74 None 0 0 321025438 177500 141638.43 Standard 24 21 321025757 75000 59882.05 Standard 36 33 321025843 126000 100800 Standard 24 21 321025852 54045 51305.78 Standard 24 22 321025868 176900 141520 Standard 24 21 321025975 184500 147600 Standard 24 21 321026048 99950 79889.79 Standard 24 22 321026067 172400 137920 Standard 24 21 321026084 0 117287.76 Standard 36 34 321026098 0 252000 Standard 24 22 321026138 0 240822.54 Standard 36 34 321026173 0 170867.92 2% of ppd amt 24 22 321026235 0 93344.75 Standard 24 21 321026268 179678.8 143743.04 Standard 24 22 321026279 186000 148800 Standard 24 21 321026295 0 160000 Standard 24 22 321026334 188000 150276.47 Standard 24 22 321026337 94900 75874.01 Standard 24 22 321026390 0 112424.36 Standard 36 34 321026405 62500 56205.68 Standard 24 22 321026426 0 202170.51 Standard 24 22 321026427 135000 108000 Standard 24 22 321026439 0 129926.74 Standard 24 22 321026445 124900 99841.12 Standard 36 34 321026460 117000 93427 Standard 24 22 321026478 0 175348.9 Standard 24 22 321026480 0 61979.96 Standard 36 34 321026515 0 217138.85 Standard 24 22 321026516 0 100685.93 Standard 36 34 321026518 144600 115680 Standard 24 22 321026533 137500 110000 Standard 24 22 321026557 0 314269.08 Standard 24 22 321026583 116000 92725.42 Standard 24 22 321026587 189500 151600 None 0 0 321026589 0 142000 Standard 24 22 321026591 0 256293.46 Standard 24 22 321026622 85000 67926.52 Standard 24 22 321026625 157000 125491.86 Standard 24 22 321026694 129000 103130.05 Standard 36 34 321026699 0 235567.98 Standard 24 22 321026744 0 143834.28 Standard 36 34 321026746 0 83900.96 Standard 24 22 321026747 172500 137759.37 Standard 24 22 321026759 0 234000 Standard 24 23 321026762 0 207677.08 Standard 24 22 321026765 0 238021.09 Standard 24 22 321026771 0 92000 Standard 24 22 321026787 165000 131878.1 Standard 24 22 321026796 0 184976.38 Standard 36 34 321026811 0 135891.78 Standard 24 22 321026814 0 240046.81 Standard 24 22 321026818 186500 149200 Standard 24 22 321026820 0 260757.49 Standard 24 22 321026821 0 273032.71 Standard 36 34 321026822 0 195553.3 Standard 24 22 321026830 0 70200 Standard 36 35 321026831 0 68400 Standard 36 35 321026834 0 248250 None 0 0 321026871 0 137750 Standard 24 23 321026879 0 147859.57 Standard 24 22 321026887 103000 82400 Standard 24 23 321026904 0 82802.6 Standard 24 22 321026915 0 135894.75 Standard 24 22 321026919 0 131461.23 Standard 24 22 321026937 0 110322.08 Standard 24 22 321026942 0 112441.06 Standard 36 34 321026945 0 69271.77 Standard 36 34 321026956 0 94250 Standard 24 22 321026985 189500 151506.25 Standard 36 34 321027038 0 126314.32 Standard 24 22 321027050 0 142500 Standard 24 23 321027052 0 216431.04 Standard 24 22 321027083 130500 104253.35 Standard 24 22 321027099 0 144375.3 Standard 36 34 321027105 0 179428.3 Standard 24 22 321027108 0 108000 Standard 24 23 321027163 0 129859.9 Standard 24 23 321027182 0 161500 Standard 24 23 331035464 0 340759.32 Standard 12 10 331035727 0 174438.22 None 0 0 331035778 0 85829.98 Standard 24 22 331035906 0 198827.09 None 0 0 331036016 0 166059.07 None 0 0 331036290 0 169921.52 None 0 0 331036457 0 73767.6 None 0 0 331036464 275000 104900.37 Standard 12 10 331036471 176000 140674.2 None 0 0 331036507 132653 119387 Standard 12 11 331036622 0 331699.86 Standard 12 10 331036671 505000 454148.12 Standard 12 10 331036677 0 214336.63 None 0 0 331036678 0 53661.36 None 0 0 331036685 0 174836.05 None 0 0 331036698 0 104952.55 None 0 0 331036724 0 81789.51 Standard 36 33 331036736 310000 278782.36 None 0 0 331036738 0 223650 None 0 0 331036799 0 144374.49 None 0 0 331036830 0 137250 Standard 36 34 331036832 0 239821.89 Standard 36 34 331036838 0 299746.72 None 0 0 331036847 565000 498756.28 Standard 12 10 331036864 0 301000 Standard 12 10 331036936 0 269573.26 Standard 12 10 331036944 0 162502.8 None 0 0 331036959 0 103160 Standard 24 23 331036962 0 76943.43 None 0 0 331036976 0 152000 None 0 0 331036980 0 315700.16 Standard 12 10 331037006 0 499606.06 Standard 12 10 331037023 0 374765.71 Standard 12 10 331037037 0 94893.49 None 0 0 331037088 205000 104827.03 Standard 36 33 331037106 0 86851.24 Standard 12 10 331037110 0 223795.53 Standard 12 10 331037127 0 181136.34 None 0 0 331037128 0 121400.21 Standard 24 23 331037134 0 150000 None 0 0 331037149 0 276071.68 Standard 12 10 331037160 0 232763.57 None 0 0 331037216 0 256759.42 Standard 12 10 331037237 0 204933.46 Standard 12 10 331037246 0 174711.72 Standard 12 10 331037255 89000 71135.64 Standard 36 34 331037266 0 227313.15 None 0 0 331037292 0 327525.59 Standard 12 10 331037316 0 55957.6 Standard 24 22 331037320 0 114856.62 None 0 0 331037350 0 134821.88 None 0 0 331037353 0 103914.58 None 0 0 331037367 0 144810.62 Standard 24 22 331037371 0 69796.08 None 0 0 331037395 0 139925 None 0 0 331037417 0 472085.16 Standard 12 10 331037422 0 279000 Standard 12 10 331037466 0 186023.82 None 0 0 331037485 0 143898.03 None 0 0 331037497 0 292353.06 None 0 0 331037501 0 70108.32 Standard 36 34 331037509 0 149500 None 0 0 331037513 0 194884.03 None 0 0 331037528 179900 161691.56 Standard 24 22 331037532 0 79897.63 Standard 12 10 331037533 0 240000 Standard 12 11 331037535 0 319737.18 Standard 12 10 331037564 0 195832.56 None 0 0 331037582 0 274725.71 Standard 36 34 331037591 0 134688.53 Standard 36 34 331037594 0 212364.5 None 0 0 331037626 0 428925 Standard 12 10 331037629 0 522000 Standard 12 10 331037630 0 304000 Standard 12 11 331037631 0 267881.19 Standard 12 10 331037633 0 143733.31 None 0 0 331037655 0 303891.07 Standard 12 10 331037656 0 260570.03 Standard 12 10 331037663 0 295576.27 Standard 12 10 331037665 0 279508.62 None 0 0 331037674 0 260942.11 None 0 0 331037676 0 217812.31 Standard 12 10 331037681 0 296682.53 Standard 12 10 331037684 0 163836.42 Standard 12 10 331037693 0 179644.15 Standard 12 10 331037697 0 81886.76 Standard 36 34 331037707 0 402569.09 Standard 12 10 331037735 0 169400 Standard 24 23 331037740 0 250983.72 Standard 12 10 331037748 0 139720.03 Standard 36 34 331037750 0 241236.38 None 0 0 331037781 0 365000 Standard 12 11 331037810 0 49939.2 None 0 0 331037826 0 67876.71 Standard 12 10 331037829 0 314728.8 Standard 12 11 331037830 0 449003.89 Standard 12 10 331037833 0 249794.67 None 0 0 331037834 0 161438.82 None 0 0 331037839 0 115906.77 Standard 24 22 331037875 0 332113.72 Standard 12 10 331037890 0 156749.39 Standard 12 10 331037906 0 391542.59 Standard 12 10 331037911 0 249300 None 0 0 331037918 0 159856.75 Standard 12 10 331037927 0 181674.94 Standard 12 11 331037955 0 190000 None 0 0 331037958 0 275691.65 Standard 12 11 331037962 0 68947.59 None 0 0 331038052 0 151359.68 Standard 24 23 331038054 0 346448.52 Standard 24 23 331038062 0 163636.36 None 0 0 331038073 0 298398.71 Standard 12 10 331038104 0 231087.57 2% of ppd amt 36 34 331038135 0 468365.01 Standard 12 10 331038167 0 148530.23 None 0 0 331038210 0 89166.93 Standard 12 11 331038242 0 297740.9 Standard 12 11 331038294 0 404000 Standard 12 11 341022209 130000 103860.53 None 0 0 341022484 74500 66968.47 None 0 0 341022715 0 239871.61 None 0 0 341023099 0 83603.33 None 0 0 341023510 142000 113600 None 0 0 341023530 0 54339.72 None 0 0 341023588 140500 112124.72 None 0 0 341023729 70500 61921.41 None 0 0 341023857 143500 114800 None 0 0 341024128 67500 64050.42 None 0 0 341024131 85500 72584.8 None 0 0 341024170 0 52212.99 None 0 0 341024175 153900 123023.95 None 0 0 341024204 0 99811.57 None 0 0 341024207 85000 67932.13 None 0 0 341024293 55000 52184.33 None 0 0 341024294 55000 52184.33 None 0 0 341024338 91500 73110.81 None 0 0 341024352 166000 132490.92 None 0 0 341024380 0 90840.55 None 0 0 341024398 0 90823.77 None 0 0 341024407 148000 140432.53 None 0 0 341024409 85000 76457.77 None 0 0 341024425 0 231755.98 2% of ppd amt 36 33 341024430 0 125210.35 None 0 0 341024440 0 93408.62 None 0 0 341024442 95900 76608.93 None 0 0 341024458 0 68369.74 None 0 0 341024463 101000 95820.81 None 0 0 341024465 0 135831.21 None 0 0 341024472 0 206140.96 None 0 0 341024474 0 61111.81 None 0 0 341024514 123500 86350.16 None 0 0 341024567 0 134877.72 None 0 0 341024574 0 59419.71 None 0 0 341024578 0 92747.7 None 0 0 341024633 0 87448.92 None 0 0 341024636 145000 115791.73 None 0 0 341024659 80000 63922.55 None 0 0 341024668 139900 111720.61 None 0 0 341024686 151500 121098.68 None 0 0 341024688 159900 127819.78 None 0 0 341024713 107000 85448.14 None 0 0 341024715 169000 134986.32 None 0 0 341024730 167000 150095.58 None 0 0 341024761 0 116931.99 None 0 0 341024780 126080 100864 None 0 0 341024790 0 198674.52 1% of amt ppd if loan greater than $150K 24 22 341024802 168000 151115.67 1% of amt ppd if loan greater than $150K 24 22 341024817 168000 134151.09 None 0 0 341024843 172000 137470.69 None 0 0 341024848 0 161362.31 1% of amt ppd if loan greater than $150K 24 22 341024866 100000 79800.94 None 0 0 341024874 0 124369.83 None 0 0 341024878 0 110603.7 None 0 0 341024881 0 197865.79 1% of amt ppd if loan greater than $150K 30 28 341024882 163000 130288.82 None 0 0 341024896 104900 83799.95 None 0 0 341024899 201500 181002.75 1% of amt ppd if loan greater than $150K 24 22 341024908 0 122934.61 None 0 0 341024922 250000 224859.43 1% of amt ppd if loan greater than $150K 24 22 341024927 70000 55925.75 None 0 0 341024943 155000 124000 None 0 0 341024958 0 44893.22 None 0 0 341024974 124500 99413.99 None 0 0 341024985 0 73914.01 None 0 0 341024986 0 120003.43 None 0 0 341024996 63000 53529.4 None 0 0 341025002 186250 148875.19 None 0 0 341025009 126650 101240.81 None 0 0 341025011 0 171834.84 None 0 0 341025013 0 60731.23 None 0 0 341025049 142000 113499.28 None 0 0 341025057 0 219672.44 None 0 0 341025062 0 59916.15 2% of ppd amt 36 34 341025064 0 114349.39 None 0 0 341025066 0 226294.45 2% of ppd amt 24 22 341025074 0 184883.23 1% of amt ppd if loan greater than $150K 24 22 341025076 0 164112.09 1% of amt ppd if loan greater than $150K 24 22 341025077 0 164901.07 1% of amt ppd if loan greater than $150K 24 23 341025079 0 59950.72 None 0 0 341025091 165000 131888.56 None 0 0 341025095 121000 118727.14 None 0 0 341025118 132000 105505.46 None 0 0 341025119 0 233456.14 None 0 0 341025121 0 63036.29 None 0 0 341025132 0 107804.21 None 0 0 341025138 0 89946.59 None 0 0 341025139 0 169506.39 1% of amt ppd if loan greater than $150K 24 22 341025144 112000 89525.69 None 0 0 341025152 0 50656.84 None 0 0 341025153 175900 140617.43 None 0 0 341025160 0 103449.1 None 0 0 341025162 0 180351.75 1% of amt ppd if loan greater than $150K 24 22 341025167 0 79945.23 None 0 0 341025171 118000 88394.58 None 0 0 341025180 112500 89847.61 None 0 0 341025186 123400 98644.51 None 0 0 341025189 133000 106316.17 None 0 0 341025206 85500 68351.14 None 0 0 341025220 0 144586.61 None 0 0 341025231 0 215867.79 1% of amt ppd if loan greater than $150K 24 22 341025250 0 175354 1% of amt ppd if loan greater than $150K 24 23 341025253 0 111262.27 None 0 0 341025256 0 98839.37 None 0 0 341025273 0 67951.43 None 0 0 341025293 0 101535.21 None 0 0 341025294 0 96685.89 None 0 0 341025308 87150 82747.18 Xxxx 0 0 000000000 0 00000 Xxxx 0 0 341025336 0 153666.22 None 0 0 341025351 0 228624.15 1% of amt ppd if loan greater than $150K 30 28 341025376 0 183628.59 1% of amt ppd if loan greater than $150K 24 22 341025384 0 155125.1 None 0 0 341025406 157000 125466.36 None 0 0 341025411 0 59964.76 None 0 0 341025415 0 52500 None 0 0 341025428 0 50372.1 None 0 0 341025431 0 136900.15 None 0 0 341025443 0 149879.86 None 0 0 341025454 0 172860.96 None 0 0 341025455 0 284594.9 None 0 0 341025465 182365 145892 None 0 0 341025496 0 182261.36 1% of amt ppd if loan greater than $150K 30 28 341025498 0 104872.33 None 0 0 341025509 136177 108719.98 Xxxx 0 0 000000000 0 00000 Xxxx 0 0 341025564 0 126318.41 None 0 0 341025579 0 226800 1% of amt ppd if loan greater than $150K 24 23 351025078 0 185273.18 None 0 0 351025492 0 97561.63 None 0 0 351025504 0 188860.76 None 0 0 351025529 0 54337.95 None 0 0 351025802 182500 145669.63 Standard if less than 12% 24 21 351025811 170500 136131.88 Standard if less than 12% 24 21 351025866 0 223673.08 None 0 0 351026099 76000 60700.66 None 0 0 351026133 117900 94320 Standard if less than 12% 36 33 351026150 116150 92733.59 Standard if less than 12% 36 33 351026188 83000 66264.07 Standard if less than 12% 24 21 351026248 0 66315.03 Standard if less than 12% 24 22 351026321 89000 70960.03 Standard if less than 12% 24 21 351026334 0 169432.77 None 0 0 351026369 130000 103431.5 Standard if less than 12% 24 21 351026384 120984 108694.18 Standard if less than 12% 24 21 351026429 160000 84789.34 Standard if less than 12% 24 21 351026448 0 65041.02 None 0 0 351026470 0 49981.58 None 0 0 351026475 128000 108411.57 Standard if less than 12% 36 32 351026480 183560 146734.58 Standard if less than 12% 36 34 351026527 0 138127.43 None 0 0 351026540 0 65620.9 None 0 0 351026542 0 139518.19 None 0 0 351026557 137000 109463.99 None 0 0 351026570 103000 97676.33 Standard if less than 12% 24 21 351026587 159096 127175.72 Standard if less than 12% 24 22 351026599 0 54666.82 None 0 0 351026602 80000 63956.17 Standard if less than 12% 24 22 351026605 153000 122001.18 Standard if less than 12% 24 22 351026633 0 117520.29 None 0 0 351026636 91000 72751.06 Standard if less than 12% 24 22 351026639 88000 70352.67 Standard if less than 12% 24 22 351026640 64000 57518.44 Standard if less than 12% 24 21 351026658 0 61806.91 None 0 0 351026678 113000 90342.35 Standard if less than 12% 24 22 351026706 0 55950.77 None 0 0 351026707 0 103792.03 None 0 0 351026709 0 75948.9 Standard if less than 12% 36 34 351026742 0 334751.38 None 0 0 351026744 0 119520.57 None 0 0 351026753 107500 85945.16 Standard if less than 12% 24 22 351026762 92500 73918.01 Standard if less than 12% 24 22 351026764 0 156865.94 Standard if less than 12% 24 23 351026766 67000 53568.13 3% / 2% / 1% 24 22 351026767 88000 70343.98 Standard if less than 12% 24 22 351026771 0 122800 Standard if less than 12% 24 22 351026785 106000 84692.57 Standard if less than 12% 24 22 351026799 0 69959.66 None 0 0 351026800 93500 74748.78 Standard if less than 12% 24 22 351026802 0 72800 Standard if less than 12% 36 35 351026827 0 124737.27 None 0 0 351026828 77173 61691.72 Standard if less than 12% 24 22 351026851 141000 119024.29 Standard if less than 12% 24 22 351026861 115000 109197.39 Standard if less than 12% 36 35 351026868 225000 124895.3 None 0 0 351026886 111375 89038.99 Standard if less than 12% 24 22 351026890 0 77472.17 None 0 0 351026898 0 72000 None 0 0 351026899 0 84894.51 Standard if less than 12% 24 22 351026903 0 99909.6 None 0 0 351026915 61000 57929.3 Standard if less than 12% 24 22 351026931 155000 131640.93 Standard if less than 12% 24 22 351026937 0 324720.19 None 0 0 351026940 0 155886.52 None 0 0 351026941 0 99943.65 None 0 0 351026946 0 66460.53 None 0 0 351026947 175000 139867.17 Standard if less than 12% 24 22 351026951 0 133900 Standard if less than 12% 24 22 351026981 0 85417.06 None 0 0 351026991 172900 136137.86 Standard if less than 12% 36 34 351027012 0 79968.21 None 0 0 351027016 0 84679.91 None 0 0 351027029 82900 66276.83 Standard if less than 12% 24 22 351027037 0 63962 None 0 0 351027041 0 244000 None 0 0 351027043 0 110243.66 None 0 0 351027060 109000 98026.47 Standard if less than 12% 24 22 351027061 0 99917.97 None 0 0 351027091 0 139748.65 None 0 0 351027093 0 126400 None 0 0 351027103 0 116686.71 None 0 0 351027113 110000 88000 Standard if less than 12% 24 22 351027116 0 84022.08 Standard if less than 12% 24 22 351027125 159900 127836.75 Standard if less than 12% 24 22 351027128 168510 143140.83 Standard if less than 12% 24 22 351027131 0 85059.91 None 0 0 351027138 118500 94684.73 Standard if less than 12% 24 22 351027142 0 134285.41 None 0 0 351027146 0 297755.73 Standard if less than 12% 24 22 351027151 0 168208.07 Standard if less than 12% 36 34 351027164 0 59927.04 None 0 0 351027165 96500 77089.56 Standard if less than 12% 24 22 351027204 121000 96697.13 Standard if less than 12% 36 34 351027207 0 51908.47 None 0 0 351027216 0 86765.51 None 0 0 351027226 0 51938.06 None 0 0 351027232 0 144326.11 3% / 2% / 1% 36 34 351027262 0 152000 None 0 0 351027265 0 135935.87 None 0 0 351027279 0 107920.5 None 0 0 351027298 0 161478.26 None 0 0 351027328 146900 117415.37 Standard if less than 12% 36 34 351027331 0 259780.06 None 0 0 351027336 0 63565.61 None 0 0 351027355 0 82837.04 None 0 0 351027361 0 106400 None 0 0 351027367 0 52540.72 Standard if less than 12% 36 34 351027400 0 117600 None 0 0 351027405 0 73575.43 None 0 0 351027429 0 279746.88 None 0 0 351027452 122000 97531.81 Standard if less than 12% 36 34 351027455 0 149872.74 None 0 0 351027459 0 115850 None 0 0 351027461 138000 131011.86 Standard if less than 12% 36 34 351027490 120000 120000 Standard if less than 12% 36 35 351027529 122140 97649.05 Standard if less than 12% 36 34 351027573 0 69000 Standard if less than 12% 36 35 351027576 0 185250 Standard if less than 12% 36 35 351027608 96000 86371.77 Standard if less than 12% 36 35 361022539 90000 71877.51 1% of amt prepaid 24 22 361022651 0 109256.29 1% of amt prepaid 36 32 361024402 0 156970.41 1% of amt prepaid 24 21 361024438 150000 135000 1% of amt prepaid 24 21 361024485 155900 124720 1% of amt prepaid 24 21 361024547 0 138786.35 1% of amt prepaid 36 34 361024593 0 134893.43 1% of amt prepaid 24 22 361024615 0 104939.13 1% of amt prepaid 24 22 361024645 0 309375 1% of amt prepaid 36 34 361024687 136000 108800 1% of amt prepaid 24 22 361024694 165000 148202.12 1% of amt prepaid 24 21 361024744 167500 133794.43 1% of amt prepaid 24 21 361024751 98400 78657 1% of amt prepaid 24 22 361024762 0 60705.52 1% of amt prepaid 24 22 361024785 150000 119993.02 1% of amt prepaid 24 21 361024793 0 54943.14 1% of amt prepaid 36 34 361024797 65000 55146.87 1% of amt prepaid 24 21 361024799 0 211097.6 1% of amt prepaid 24 22 361024821 0 104922.86 1% of amt prepaid 24 22 361024829 0 350769.23 1% of amt prepaid 24 22 361024907 0 134892.57 1% of amt prepaid 24 22 361024930 0 51977.92 1% of amt prepaid 24 22 361024936 0 49976.92 1% of amt prepaid 24 22 361024948 160000 128000 1% of amt prepaid 24 22 361024958 115000 91955.23 1% of amt prepaid 36 34 361025017 0 61925.38 1% of amt prepaid 24 22 361025027 0 107920.65 1% of amt prepaid 24 22 361025045 0 64923.44 1% of amt prepaid 24 22 361025055 89800 71796.92 1% of amt prepaid 24 22 361025071 0 70000 1% of amt prepaid 24 22 361025087 0 219280 1% of amt prepaid 24 22 361025093 149000 119108.85 1% of amt prepaid 24 22 361025120 165000 131764.16 1% of amt prepaid 24 22 361025142 99100 79146.8 1% of amt prepaid 24 22 361025158 0 152704.66 Standard 36 34 361025161 0 59926.9 1% of amt prepaid 24 22 361025162 0 153781.13 1% of amt prepaid 24 22 361025178 0 139649.36 1% of amt prepaid 36 34 361025181 0 80879.6 1% of amt prepaid 24 22 361025200 0 84691.97 1% of amt prepaid 24 23 361025222 129875 116705.95 1% of amt prepaid 24 22 361025229 0 121434.61 1% of amt prepaid 24 22 361025231 0 151887.25 1% of amt prepaid 24 22 361025234 0 142296.21 1% of amt prepaid 24 22 361025249 0 125786.21 1% of amt prepaid 36 34 361025260 0 142000 1% of amt prepaid 24 23 361025267 114900 91873.23 1% of amt prepaid 24 22 361025270 0 56000 1% of amt prepaid 36 35 361025278 0 94937.54 1% of amt prepaid 24 22 361025291 0 95954.25 1% of amt prepaid 24 22 361025307 0 94500 1% of amt prepaid 24 23 361025310 0 107926 1% of amt prepaid 24 22 361025311 0 60131.19 1% of amt prepaid 36 34 361025312 0 259818.34 1% of amt prepaid 24 23 361025315 0 152858.25 1% of amt prepaid 24 23 361025321 0 292297.69 1% of amt prepaid 24 22 361025324 0 125317.68 1% of amt prepaid 24 22 361025333 0 175899.79 1% of amt prepaid 24 23 361025335 0 87257.96 1% of amt prepaid 24 22 361025338 124900 99841.27 1% of amt prepaid 24 22 361025352 0 180500 1% of amt prepaid 24 23 361025359 0 144000 1% of amt prepaid 36 35 361025378 0 71912.27 1% of amt prepaid 24 22 361025394 0 119905.45 1% of amt prepaid 24 23 361025403 151500 136267.4 1% of amt prepaid 24 22 361025409 0 167867.64 1% of amt prepaid 24 23 361025417 0 89925.5 1% of amt prepaid 24 22 361025419 168000 134295.99 1% of amt prepaid 24 22 361025431 0 166147.19 1% of amt prepaid 24 22 361025432 0 350754.75 1% of amt prepaid 24 22 361025436 0 89548.98 1% of amt prepaid 24 23 361025479 0 99108.07 1% of amt prepaid 24 22 361025569 0 98100 1% of amt prepaid 24 23 361025577 0 97515.14 1% of amt prepaid 24 23 371024968 0 88091.65 Standard 24 22 371025110 159000 125395.52 Standard 24 22 371025149 0 276678.22 Standard 24 22 371025300 105000 107740.21 Standard 24 21 371025358 0 89854.63 Standard 24 22 371025501 122000 97600 Standard 24 21 371025507 158850 127080 Standard 24 23 371025508 0 120000 Standard 24 22 371025519 199200 119184.13 Standard 24 21 371025575 0 105945.62 Standard 24 22 371025611 105500 84400 Standard 24 21 371025617 0 145600 Standard 36 35 371025619 182000 145600 Standard 24 21 371025637 0 202500 Standard 24 22 371025732 123000 98238.21 Standard 24 21 371025749 0 209819.19 Standard 36 34 371025768 93000 72650.27 Standard 24 22 371025789 148900 119079.8 Standard 24 21 371025802 110000 104371.63 Standard 24 22 371025847 0 119925.03 Standard 24 22 371025853 41440.04 50362.99 Standard 24 22 371025879 242051 217413.44 None 0 0 371025896 124500 99600 Standard 24 22 371025908 165000 131875.02 Standard 36 33 371025916 210000 188840.43 Standard 24 22 371025962 99950 79786.14 Standard 24 21 371025973 94500 75549.17 Standard 24 22 371025998 122000 97439.52 Standard 24 21 371026002 110000 98889.89 Standard 24 22 371026005 110000 98889.89 Standard 24 22 371026019 153900 123026.78 Standard 24 22 371026020 121000 96725.24 Standard 24 22 371026032 165000 123750 Standard 24 22 371026033 0 80649.6 Standard 24 22 371026034 108000 86330.56 Standard 24 22 371026055 0 145892.72 Standard 24 22 371026090 0 115875.43 Standard 36 34 371026091 158000 126282.36 Standard 24 22 371026094 82001 65556.98 Standard 24 22 371026106 0 169600 Standard 24 22 371026126 118000 94335.23 Standard 24 22 371026172 0 135721.62 Standard 36 34 371026196 0 178377.53 Standard 24 22 371026218 299900 59978.02 Standard 24 22 371026243 119000 95084.1 Standard 24 22 371026280 92500 59920.03 Standard 36 34 371026307 0 184878.12 Standard 36 34 371026333 157500 125778.13 Standard 24 22 371026346 93000 96775.99 Standard 36 34 371026348 0 185102.59 Standard 24 22 371026355 190500 154875.43 Standard 24 23 371026361 0 200000 Standard 24 22 371026376 0 220805.97 Standard 24 22 371026426 132000 105515.13 Standard 24 22 371026438 0 171766.14 Standard 36 34 371026445 0 107935.91 Standard 24 22 371026474 0 107881.48 Standard 36 34 371026490 0 134796.66 Standard 24 22 371026501 0 133300 Standard 24 23 371026507 0 101424.68 Standard 24 22 371026512 0 149379.47 Standard 24 22 371026514 0 159364.72 Standard 24 22 371026515 0 146292.43 Standard 24 22 371026520 0 97373.26 Standard 36 35 371026532 0 225539.74 Standard 36 34 371026540 0 87945.68 Standard 24 22 371026546 0 145000 Standard 36 35 371026547 0 149372.07 Standard 36 34 371026573 0 143909.11 Standard 24 22 371026585 0 117000 Standard 24 23 371026610 132000 105525.47 Standard 24 22 371026629 0 143879.62 Standard 24 22 371026747 0 130500 Standard 36 35 371026803 155000 139259.12 Standard 24 22 371026834 146900 124657.68 Standard 24 22 381019989 0 307457.66 2% of UPB 12 10 381020477 0 184439.41 Standard 24 20 381020625 0 365135.44 None 0 0 381020727 0 242550.85 Standard 24 21 381021003 0 80304.75 Standard 24 22 381021143 0 74487.28 Standard 24 21 381021161 0 169931.07 None 0 0 381021169 0 208025.89 Standard 36 34 381021238 0 147125.68 2% of UPB 12 10 381021250 0 134230.48 Standard 36 34 381021261 0 157120.85 2% of UPB 12 10 381021276 0 223077.56 2% of UPB 12 10 381021319 188000 150143.47 None 0 0 381021321 161000 127788.86 None 0 0 381021415 156500 125017.27 None 0 0 381021477 0 199840.86 None 0 0 381021492 189000 151200 None 0 0 381021495 155000 123899.8 2% of UPB 12 10 381021507 0 177869.03 None 0 0 381021574 0 207871.38 2% of XXX 00 00 000000000 0 000000 Xxxx 0 0 381021661 0 235000 2% of UPB 12 10 381021663 0 211822.77 2% of UPB 12 10 381021675 0 159842.24 Standard 24 22 381021679 130000 116811.38 2% of UPB 12 10 381021681 0 114100 Standard 24 22 381021683 0 149774.42 3 mo int 24 22 381021717 0 262446.03 None 0 0 381021725 0 157786.83 Standard 36 34 381021742 0 79863.2 2% of UPB 12 10 381021750 0 427198.28 None 0 0 381021773 0 301747.53 None 0 0 381021793 0 142717.29 Standard 36 34 381021804 0 111894.75 None 0 0 381021832 0 215822.6 2% of UPB 12 10 381021838 0 161860.52 2% of UPB 12 10 381021848 0 199725.22 2% of UPB 12 10 381021879 0 226000 2% of UPB 12 10 381021884 0 233750 Standard 36 35 381021894 0 154000 Standard 36 34 381021902 0 202010.62 Standard 24 22 381021912 0 237500 2% of UPB 12 11 381021919 0 193194.17 2% of UPB 12 10 381021929 0 258277.43 None 0 0 381021935 0 224805.33 2% of UPB 12 10 381021938 0 199445.98 2% of UPB 12 10 381021964 0 169534.27 2% of UPB 12 10 381021972 0 144650.53 2% of UPB 12 10 381021976 0 255764.03 2% of UPB 12 10 381021977 0 229313.73 2% of UPB 12 10 381021979 0 207671.26 2% of UPB 12 10 381021984 0 134798.59 3 mo int 36 34 381021989 0 109922.37 None 0 0 381021997 0 240000 2% of UPB 12 10 381022000 0 202812.89 2% of UPB 12 10 381022017 0 248349.46 2% of UPB 12 10 381022018 0 114876.48 2% of UPB 12 10 381022019 0 254790.57 2% of UPB 12 10 381022021 0 125883.64 None 0 0 381022025 0 194843.29 2% of UPB 12 11 381022030 0 135330.54 2% of UPB 12 11 381022032 0 318600 2% of UPB 12 10 381022034 0 149877.05 Standard 36 34 381022037 0 219648.93 None 0 0 381022038 0 107220.14 Standard 36 34 381022039 0 277824.53 None 0 0 381022049 0 168012.21 Standard 24 22 381022051 0 207000 2% of UPB 12 11 381022060 0 169852.2 2% of UPB 12 10 381022071 0 143746.44 Standard 36 34 381022085 0 100737 2% of UPB 12 10 381022088 0 172910.31 2% of UPB 12 10 381022092 0 269547.26 2% of UPB 12 10 381022094 0 343637.43 None 0 0 381022097 0 204883.27 None 0 0 381022106 0 144875.16 None 0 0 381022108 0 239500 Standard 24 22 381022112 0 223810.89 None 0 0 381022123 0 221778.57 None 0 0 381022139 0 175779.33 2% of XXX 00 00 000000000 0 000000 Xxxx 0 0 381022143 0 195783.19 None 0 0 381022154 0 119898.69 None 0 0 381022155 0 331900 None 0 0 381022159 0 237318.38 Standard 24 22 381022165 0 289728.94 None 0 0 381022167 0 280000 2% of UPB 12 11 381022169 0 231802.2 2% of UPB 12 10 381022174 0 219745.85 2% of XXX 00 00 000000000 0 000000 Xxxx 0 0 381022178 0 191864.49 Standard 36 35 381022184 0 123903.27 None 0 0 381022185 0 174703.67 2% of UPB 12 10 381022196 0 287911.47 2% of XXX 00 00 000000000 0 00000 Xxxx 0 0 381022213 0 179897.51 Standard 24 23 381022215 0 254788.91 None 0 0 381022216 0 132000 2% of UPB 12 11 381022227 0 411294.58 None 0 0 381022228 0 274016.66 None 0 0 381022229 0 322760.29 2% of UPB 12 10 381022231 0 160883.66 Standard 36 34 381022239 0 214792.04 None 0 0 381022242 0 136377.79 None 0 0 381022247 0 227313.15 None 0 0 381022257 0 212500 None 0 0 381022258 0 172341 2% of UPB 12 10 381022264 0 314801.18 None 0 0 381022267 0 171654.4 2% of UPB 12 10 381022274 0 200000 2% of UPB 12 11 381022280 0 319283.44 2% of UPB 12 10 381022281 0 238318.52 2% of UPB 12 10 381022289 0 185628.03 2% of UPB 12 10 381022295 0 137507.49 1% of amt prepaid 24 23 381022300 0 313376.43 None 0 0 381022304 0 339405.97 None 0 0 381022307 0 183750 2% of UPB 12 10 381022316 0 176873.81 2% of UPB 12 10 381022317 0 255408.4 2% of UPB 12 10 381022322 0 157353.42 None 0 0 381022325 0 132000 None 0 0 381022326 0 357500 3 mo int 24 23 381022327 0 259803.14 None 0 0 381022329 0 185000 None 0 0 381022333 0 207643.62 2% of UPB 12 10 381022341 0 294700 1% of amt prepaid 24 23 381022342 0 131165.93 Standard 24 23 381022350 0 81536.97 Standard 24 23 381022357 0 174856.28 2% of UPB 12 10 381022364 0 132000 Standard 24 23 381022370 0 250386.84 Standard 24 22 381022403 0 183798.6 None 0 0 381022421 0 164855.14 2% of UPB 12 11 381022443 275000 55000 2% of UPB 12 11 391010480 0 56053.25 3% / 2% / 1% 36 33 391011310 0 164587.22 3% / 2% / 1% 24 22 391011534 0 137531.6 3% / 2% / 1% 24 21 391011837 0 82651.39 Standard 36 33 391011879 224900 212981.29 Standard 24 21 391011898 187500 149707.79 3% / 2% / 1% 24 21 391011942 73000 57958.23 Standard 24 22 391011984 0 255890.09 3% / 2% / 1% 24 21 391012004 0 82306.65 3% / 2% / 1% 36 34 391012053 0 78752.66 3% / 2% / 1% 24 22 391012115 73000 69256.61 Standard 24 21 391012122 56000 53128.38 Standard 24 21 391012148 159999 127810.51 Standard 36 33 391012170 182000 163429.35 3% / 2% / 1% 24 21 391012214 0 50957.5 3% / 2% / 1% 36 33 391012215 135900 108720 3% / 2% / 1% 24 21 391012228 89900 85307.39 Standard 24 21 391012244 0 79952.03 Standard 24 22 391012259 79500 63554.2 Standard 24 22 391012265 104500 64957.63 3% / 2% / 1% 24 21 391012309 123000 98257.83 Standard 24 21 391012311 149800 119540.65 Standard 36 33 391012313 105000 83829.36 Standard 36 33 391012318 96500 77073.07 None 0 0 391012320 96000 76674.5 Standard 24 21 391012338 85500 68306.03 None 0 0 391012385 89000 71108.89 Standard 24 22 391012405 180000 143806.12 Standard 24 21 391012413 122500 97854.09 Standard 24 22 391012436 65000 58470.92 Standard 24 22 391012443 186000 148678.03 Standard 36 34 391012462 139000 125009 Standard 24 22 391012463 139000 125009 Standard 24 22 391012488 0 127952.84 Standard 24 22 391012495 74900 59881.79 Standard 24 22 391012527 94500 75490.06 Standard 24 22 391012529 135000 107923.77 3% / 2% / 1% 24 22 391012537 64000 60735.37 Standard 24 22 391012544 124400 99365.8 Standard 24 21 391012558 0 238378.57 Standard 24 22 391012591 68010 63901.02 3% / 2% / 1% 36 34 391012600 0 268727.2 Standard 24 22 391012610 104900 83756.68 Standard 24 21 391012616 81000 64684.78 3% / 2% / 1% 24 22 391012629 0 113910.18 Standard 24 22 391012630 119000 95131.44 Standard 24 22 391012657 0 313265 Standard 24 22 391012665 109900 104335.84 Standard 24 22 391012670 132000 105515.97 3% / 2% / 1% 24 22 391012674 0 62510.22 3% / 2% / 1% 36 34 391012678 0 71919.91 Standard 24 22 391012725 0 94935.61 Standard 24 22 391012729 0 116924.63 Standard 24 22 391012735 0 60679.67 Standard 36 34 391012745 0 71959 3% / 2% / 1% 24 22 391012754 140000 148852.3 Standard 24 22 391012755 0 179827.84 Standard 24 22 391012760 77000 61553.36 3% / 2% / 1% 24 22 391012766 0 116684.34 3% / 2% / 1% 24 22 391012770 0 69969.01 Standard 36 34 391012771 75000 59963.65 Standard 24 22 391012791 0 159712.72 Standard 24 22 391012808 0 103902.72 Standard 24 22 391012818 0 75948.9 Standard 36 34 391012826 0 189455.01 Standard 24 22 391012830 0 55059.11 Standard 36 34 391012835 0 128838.24 Standard 36 34 391012839 0 68761.55 Standard 24 22 391012840 0 279611.39 Standard 24 22 391012842 0 63964.29 Standard 24 22 391012850 0 112305.11 None 0 0 391012873 0 279736.88 Standard 24 22 391012875 0 155772.32 3% / 2% / 1% 24 22 391012877 0 189412.42 3% / 2% / 1% 24 22 391012893 0 117807.87 Standard 24 23 391012898 0 69152.13 Standard 24 22 391012900 0 59476.71 Standard 36 34 391012928 0 106429.98 Standard 24 22 391012941 0 102840.17 3% / 2% / 1% 24 22 391012967 0 51139.01 Standard 36 34 391012969 0 152806.15 3% / 2% / 1% 24 22 391012985 0 159677.59 3% / 2% / 1% 24 22 391012990 79475 75454.26 Standard 24 22 391012992 145400 116211.75 Standard 24 22 391013006 0 127363.07 Standard 24 22 391013009 0 267839.31 Standard 24 22 391013031 0 50664.46 3% / 2% / 1% 24 23 391013048 0 49866.07 3% / 2% / 1% 36 35 391013063 0 90000 3% / 2% / 1% 24 23 391013066 0 113890.92 Standard 36 34 391013079 0 99928.71 3% / 2% / 1% 24 22 391013106 150000 119895.46 3% / 2% / 1% 24 22 391013152 0 147369.47 3% / 2% / 1% 36 34 391013229 0 144000 Standard 24 23 401000873 0 142800 Standard 24 21 401001261 0 71072.21 2% of ppd amt 24 22 401001285 0 214783.91 Standard 24 22 401001337 0 100000 Standard 24 22 401001467 349900 314702.95 2% of UPB 12 10 401001478 0 216617.33 None 0 0 401001498 0 263201.14 None 0 0 401001526 0 266103.04 None 0 0 401001551 0 163864.67 None 0 0 401001556 0 179876.75 Standard 36 34 401001557 0 167250 None 0 0 401001560 0 158289.1 Standard if less than 12% 24 22 401001564 0 149909.87 Standard 24 22 401001591 0 301916.94 Standard 24 22 401001609 0 149555.15 Standard 24 22 401001647 0 107100 Standard 24 22 401001683 0 51972.18 2% of ppd amt 24 22 401001689 0 247860.24 2% of UPB 24 22 401001695 0 70143.11 None 0 0 401001708 0 129646.19 Standard if less than 12% 24 22 401001746 0 76011.35 None 0 0 401001772 0 223804.4 None 0 0 401001776 0 54964.2 None 0 0 401001787 0 251785.15 2% of UPB 12 10 401001792 0 58661.72 Standard 36 34 401001794 0 151300 Standard 24 22 401001801 0 208000 2% of UPB 12 10 401001822 0 101152.28 Standard 24 22 401001844 0 108000 1% of amt prepaid 24 23 401001901 0 151300 Standard 24 22 401001908 0 132935.95 Standard 24 22 401001918 0 49965.41 3% / 2% / 1% 24 22 401001919 0 207875.28 None 0 0 401001920 0 56893.5 Standard 36 34 401001922 0 107072.68 None 0 0 401001923 0 53561.01 Standard 24 22 401001928 0 190000 Standard 24 23 401001929 0 179000 Standard 24 22 401001940 0 229312.42 Standard 24 22 401001954 0 103930.21 Standard 24 22 401001961 0 269807.51 Standard 12 10 401001965 0 214813.07 None 0 0 401001967 0 252802.63 Standard 12 10 401001971 0 115922.96 2% of ppd amt 36 34 401001987 0 134906.63 None 0 0 401001988 0 180000 Standard 24 22 401001990 0 128014.05 Standard 24 22 401001993 0 224800.41 None 0 0 401002001 0 298800 Standard 24 22 401002004 0 76958.51 Standard 24 22 401002023 0 99930.13 2% of UPB 12 10 401002028 0 259762.66 Standard 24 22 401002029 0 114325 None 0 0 401002032 0 129488.42 1% of amt prepaid 24 22 401002040 0 167928.02 Standard 24 22 401002044 0 285000 Standard 24 23 401002082 0 86661.79 Standard 24 22 401002088 0 307724.26 Standard 24 22 401002100 0 55906.02 None 0 0 401002106 0 107250 Standard 24 22 401002107 0 301750 None 0 0 401002109 0 113924.28 None 0 0 401002139 0 335750.64 Standard 12 10 401002143 0 219900 Standard 24 22 401002152 0 147924.87 Standard if less than 12% 24 23 401002179 0 179952.09 Standard 24 22 401002180 0 167000 Standard 24 22 401002188 0 250868.38 2% of ppd amt 36 34 401002189 0 294983.1 Standard 24 22 401002190 0 102850 Standard 24 23 401002192 0 247800 None 0 0 401002220 0 175896.63 None 0 0 401002222 0 226000 Standard 24 23 401002224 0 162500 None 0 0 401002248 0 272000 Standard 24 23 401002294 0 286350 None 0 0 401002295 0 299642.86 Standard 24 22 401002360 0 119000 Standard 24 23 511034365 0 190968.02 Standard 24 22 511035043 0 123214.72 Standard 36 34 511035457 0 191865.85 Standard 24 23 511035483 0 149296.67 Standard 24 22 511035558 0 89526.56 Standard 12 10 511035560 180000 143054.7 Standard 24 22 511035576 83000 66352.9 Standard 36 34 511035586 265000 211576.84 Standard 36 33 511035607 266000 239120.65 None 0 0 511035611 166000 132516.19 Standard 24 22 511035650 0 159120.03 Standard 24 22 511035691 186930 149147.92 Standard 36 34 511035736 0 87863.3 Standard 36 34 511035770 124000 99020.16 Standard 24 22 511035859 188000 150269.23 Standard 24 22 511035911 154000 146018.42 Standard 24 22 511035955 159547 127534.83 Standard 24 22 511035960 160000 151826.26 None 0 0 511035961 179524 143512.61 None 0 0 511036003 161953 153715.91 Standard 24 22 511036033 0 143903.38 Standard 24 22 511036079 0 248000 Standard 24 22 511036088 0 355730.08 Standard 24 22 511036104 0 153454.65 Standard 36 34 511036115 340000 303116.26 Standard 36 34 511036121 0 151697.3 Standard 36 34 511036129 163269 146759.34 Standard 24 22 511036200 0 49976.67 Standard 24 22 511036205 226610 181160.05 Standard 36 34 511036211 0 89929.09 Standard 36 34 511036239 0 104960.16 Standard 24 22 511036246 0 68400 None 0 0 511036279 0 186689.51 Standard 24 22 511036289 0 152858.77 Standard 24 22 511036290 50000 55914.5 Standard 24 22 511036294 0 102261.3 Standard 24 22 511036300 0 207826.11 Standard 24 22 511036360 0 139490.7 Standard 24 22 511036413 0 129915.4 None 0 0 521023891 91900 73412.7 Standard 24 22 521023945 139585 111668 None 0 0 521024261 91900 73405.96 Standard 24 21 521024265 0 195810.46 2 mo int or 60 days int on UPB 24 22 521024331 98000 93038.17 None 0 0 521024386 100000 79852.71 None 0 0 521024403 119000 95080.03 Standard 24 22 521024663 163400 130578.14 PIF - 1% of OPB ; Partial - 1% amt ppd 24 21 521024758 171000 136505.52 None 0 0 521024852 0 99842.1 2% of UPB 24 21 521024960 135000 107939.14 None 0 0 521025020 188740 150723.67 None 0 0 521025069 0 100935.6 1% of amt prepaid 24 23 521025149 149970 142151 None 0 0 521025205 0 79800.64 None 0 0 521025220 115000 97628.68 Standard 24 21 521025224 0 159073.32 None 0 0 521025242 130000 103916.09 None 0 0 521025258 174600 139680 2 mo int or 60 days int on UPB 24 21 521025259 0 126511.54 Standard 24 22 521025282 92500 73949.33 Standard 24 22 521025289 65000 58414.17 PIF - 1% of OPB ; Partial - 1% amt ppd 24 21 521025345 135500 108318.34 Standard 24 22 521025356 180000 152755.29 None 0 0 521025385 0 69530.53 None 0 0 521025414 153750 122832.7 Xxxx 0 0 000000000 0 00000 Xxxx 0 0 521025440 100000 79870.71 PIF - 1% of OPB ; Partial - 1% amt ppd 24 21 521025453 55000 52197.85 Standard 24 21 521025466 65500 52301.12 2 mo int or 60 days int on UPB 24 21 521025585 75000 59960.07 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 521025638 54000 51256.79 None 0 0 521025643 143000 107188.29 Standard 36 34 521025675 0 112020.08 Standard 36 34 521025677 96400 77045.26 None 0 0 521025681 83300 66591.04 None 0 0 521025750 105000 83897.86 Standard 24 22 521025751 138000 103376.72 Standard 24 21 521025767 0 74380.4 2% of UPB 24 22 521025780 0 57928.01 Standard 24 22 521025791 0 156679.91 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 521025793 0 127413.58 Standard 24 22 521025820 132000 105527.69 2 mo int on 80% 36 34 521025828 0 120745.98 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 521025832 0 89947.14 Standard 24 22 521025834 168000 134312.53 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 521025836 127000 101533.06 Standard 36 34 521025849 145500 116089.32 PIF - 1% of OPB ; Partial - 1% amt ppd 24 21 521025870 75000 49909.83 Standard 36 33 521025934 0 266950 2 mo int or 60 days int on UPB 24 22 521025940 89900 83449.91 Standard 24 22 521025950 152000 121508.84 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 521025963 0 250345.77 2% of UPB 24 22 521025981 107000 85541.98 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 521025994 104000 83074.88 Standard 24 22 521026017 144900 115849.27 Standard 24 22 521026051 0 131872.93 1% of amt prepaid 36 34 521026068 0 237500 2 mo int or 60 days int on UPB 24 22 521026072 129900 79925.84 None 0 0 521026124 0 161376.5 2 mo int or 60 days int on UPB 36 34 521026130 0 201311.71 None 0 0 521026135 0 220744.77 2 mo int or 60 days int on UPB 36 34 521026152 0 81453.59 1% of amt prepaid 36 34 521026166 0 98455.49 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 521026180 0 110919.26 None 0 0 521026190 169900 135826.94 Standard 24 22 521026192 0 140682.47 1% of amt prepaid 24 22 521026212 0 202500 2 mo int or 60 days int on UPB 24 22 521026215 0 93453.03 None 0 0 521026225 0 279818.89 2 mo int or 60 days int on UPB 24 22 521026234 0 116828.92 None 0 0 521026262 0 150308.88 2% of UPB 36 34 521026268 0 149503.63 1% of amt prepaid 24 22 521026271 0 59783.88 Standard 36 34 521026274 0 199658.98 2 mo int or 60 days int on UPB 24 22 521026275 0 121315.3 2% of UPB 36 34 521026279 0 166424.76 Standard 36 34 521026285 0 49924.05 None 0 0 521026299 0 229315.57 2 mo int or 60 days int on UPB 24 22 521026301 0 115795.6 2% of UPB 24 22 521026329 0 161592.48 1% of amt prepaid 24 22 521026332 0 131892.86 1% of amt prepaid 24 22 521026342 0 57714.51 None 0 0 521026351 0 105529.14 2% of UPB 24 22 521026356 0 208620.23 2% of UPB 24 22 521026360 0 52110.48 Standard 36 34 521026367 0 108900 Standard 24 23 521026372 0 88900 PIF - 1% of OPB ; Partial - 1% amt ppd 36 35 521026373 0 85448.2 Standard 24 22 521026381 110000 87935.98 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 521026389 0 71944.94 Standard 36 34 521026399 0 151898.84 1% of amt prepaid 24 22 521026411 0 112332.49 None 0 0 521026447 0 123178.83 2% of UPB 24 22 521026450 0 198894.66 None 0 0 521026478 0 50091.02 Standard 24 22 521026480 0 140854.23 1% of amt prepaid 24 22 521026497 0 98916.83 2% of UPB 24 22 521026504 0 169050.71 2% of UPB 24 22 521026512 0 197831.19 Standard 24 22 521026542 0 213564.16 1% of amt prepaid 36 34 521026547 0 84000 1% of amt prepaid 24 22 521026550 0 175000 Standard 24 23 521026561 0 134769.15 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 521026589 0 62355.06 1% of amt prepaid 24 22 521026594 0 63571.55 2% of UPB 36 35 521026597 81900 65471.37 Standard 24 22 521026608 0 100120.66 1% of amt prepaid 36 34 521026629 0 190637.2 1% of amt prepaid 36 34 521026634 0 169884.53 Standard 24 23 521026646 0 119894.13 2% of UPB 24 22 521026684 0 112373.1 PIF - 1% of OPB ; Partial - 1% amt ppd 24 23 521026696 0 136700.49 None 0 0 521026753 0 65660.19 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 521026759 0 75402.36 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 521026791 0 137897.58 1% of amt prepaid 36 34 551004463 130000 117000 3% / 2% / 1% 24 23 551005663 182000 145335.53 Standard if less than 12% 24 21 551005814 0 93090.12 None 0 0 551005862 115000 83601.92 3% / 2% / 1% 36 33 551005956 83000 66336.46 3% / 2% / 1% 36 34 551005973 69150 54109.41 Standard if less than 12% 24 22 551005999 115000 91949.22 Standard if less than 12% 24 22 551006099 75000 59930.71 Standard 24 21 551006110 0 144485.25 None 0 0 551006174 148425 118540.06 Standard if less than 12% 36 33 551006196 100000 89810.13 Standard if less than 12% 24 21 551006206 100000 94886.84 Standard if less than 12% 24 21 551006222 144800 115670.93 Standard 24 22 551006257 120000 95858.48 Standard if less than 12% 24 21 551006287 0 72368.56 Standard 36 34 551006288 73000 54647.7 Standard if less than 12% 24 21 551006311 154488 115779.14 Standard if less than 12% 24 22 551006322 81000 64754.72 Standard if less than 12% 24 22 551006343 0 163202.45 Standard if less than 12% 36 34 551006369 275000 260394.67 Standard if less than 12% 24 21 551006374 140000 132907.07 Standard 36 34 551006416 94500 75544.9 None 0 0 551006437 100000 79956.21 Standard if less than 12% 24 22 551006453 0 51964.75 Standard if less than 12% 36 34 551006456 0 72000 Standard if less than 12% 36 35 551006461 0 63700 None 0 0 551006465 103500 82594.81 Standard if less than 12% 36 33 551006543 103723 82913.62 Standard if less than 12% 24 22 551006561 171650 136961.42 Standard if less than 12% 24 22 551006564 55000 52216.61 Standard if less than 12% 24 22 551006596 159300 127330.61 Standard if less than 12% 24 22 551006617 124000 117703.25 Standard if less than 12% 24 22 551006625 113000 90283.13 3% / 2% / 1% 24 22 551006632 94000 79863.12 Standard if less than 12% 24 22 551006636 0 67939.45 None 0 0 551006637 143000 114318.44 3% / 2% / 1% 24 22 551006666 130000 103759.44 Standard if less than 12% 24 22 551006692 0 116771.44 3% / 2% / 1% 24 22 551006693 0 72357.04 3% / 2% / 1% 24 22 551006696 79500 63478.67 Standard if less than 12% 24 22 551006719 0 143896.3 Standard 24 22 551006727 0 177517.84 None 0 0 551006754 163000 130137.23 Standard if less than 12% 24 22 551006891 0 305648.76 Standard if less than 12% 24 22 551006893 0 94959.3 3% / 2% / 1% 24 22 551006894 0 57334.1 Standard 24 22 551006898 150000 119887.23 3% / 2% / 1% 24 22 551006907 0 127930.8 None 0 0 551006951 144301 129811.93 Standard if less than 12% 36 34 551007008 175000 157413.07 3% / 2% / 1% 36 34 551007038 0 331992.94 3% / 2% / 1% 36 34 551007093 55000 52222.57 3% / 2% / 1% 24 22 561001621 0 75091.25 Standard 24 21 561001995 106000 98800 Standard 24 22 561002109 132715 106097.06 Standard 24 22 561002152 0 94229.88 Standard 36 34 561002177 182000 145509.96 Standard 36 34 561002290 0 115398.59 Standard 24 22 561002303 137219 109604.41 Standard 24 22 561002344 0 113815.67 Standard 24 21 561002362 0 76385.86 Standard 24 22 561002367 0 154184.21 Standard 24 22 561002381 0 190361.62 Standard 24 22 561002387 0 215734 Standard 24 23 561002409 0 61143.2 Standard 24 22 561002421 0 128392.74 Standard 24 22 561002432 0 237251.56 Standard 24 22 561002433 0 143876.02 Standard 24 22 561002442 149000 119098.38 Standard 24 22 561002445 100000 79942.39 Standard 24 22 561002456 114100 91213.6 Standard 24 22 561002476 0 95934.27 Standard 36 35 561002479 160000 139811.5 None 0 0 561002488 0 57173.35 Standard 24 22 561002499 134000 107100.71 Standard 24 22 561002503 96743 77307.47 Standard 36 34 561002509 0 130389.83 Standard 24 22 561002522 81704 57667.95 Standard 36 34 561002533 0 202359.94 Standard 24 22 561002534 0 167837.5 Standard 24 22 561002542 0 87846.25 Standard 36 34 561002548 0 250000 Standard 24 23 561002571 0 309600 Standard 24 22 561002589 96000 76731.24 Standard 24 22 561002598 153261 122508.3 Standard 24 22 561002609 0 154889.79 Standard 24 22 561002617 180000 117000 Standard 24 23 561002622 0 213613.7 Standard 24 22 561002627 0 151551.52 Standard 36 34 561002629 0 89934.53 Standard 24 22 561002634 92600 83290.03 Standard 24 22 561002635 0 140815.24 Standard 24 22 561002658 107000 85528.3 Standard 24 22 561002664 320000 144722.96 Standard 24 22 561002704 0 184371.87 Standard 36 34 581000475 0 269847.85 Standard 24 22 581000492 0 146706.04 Standard 24 21 581000530 0 301750 Standard 24 22 581000599 180000 129827.79 Standard 36 33 581000686 109000 87200 Standard 24 21 581000782 65000 58457.01 Standard 24 22 581000818 169900 135920 Standard 24 22 581000827 0 145908.79 Standard 24 22 581000831 0 146893.6 Standard 36 34 581000854 96000 86339.02 Standard 24 22 581000860 0 140694.45 Standard 36 34 581000903 0 224876.85 Standard 24 22 581000909 0 308466.81 None 0 0 581000936 0 247308.83 Standard 24 22 581000938 0 89944.91 Standard 12 10 581000943 0 192000 Standard 24 22 581000954 0 126468.84 Standard 24 22 581000977 144000 115100.81 Standard 24 22 581001005 0 139783.08 Standard 24 22 581001039 0 295038.75 None 0 0 581001059 0 198852.02 Standard 36 34 581001065 0 175645.7 Standard 24 22 581001071 0 288000 Standard 24 22 581001082 0 203868.58 Standard 24 23 581001083 0 202852.34 Standard 24 22 581001116 0 219623.79 Standard 24 22 581001123 0 220000 Standard 24 22 581001134 0 218140.74 Standard 24 22 581001142 0 271803.13 Standard 36 34 581001145 0 98921.22 Standard 36 34 581001148 0 301540.28 Standard 24 22 581001154 0 219824.94 Standard 24 22 591000224 0 122310.96 None 0 0 591000264 76850 61449.11 None 0 0 591000267 137000 109600 1% of amt prepaid 36 34 591000310 137000 109440.04 1% of amt prepaid 24 22 591000313 127650 102120 1% of amt prepaid 24 22 591000320 79900 63878.73 1% of amt prepaid 24 22 591000340 159000 142911.45 1% of amt prepaid 24 22 591000358 141500 113013.88 1% of amt prepaid 24 22 591000373 79900 63879.24 1% of amt prepaid 24 22 591000376 142000 113547.56 1% of amt prepaid 24 22 611015859 0 219439.6 None 0 0 611015872 575000 459641.16 None 0 0 611015879 0 214881.33 None 0 0 611015942 80000 63876.88 Standard 36 33 611016012 0 151745.13 Standard 24 22 611016063 0 223300 None 0 0 611016067 0 279729.16 Standard 36 34 611016123 0 159362.36 Standard 36 34 611016125 72500 68831.09 Standard 24 22 611016185 0 207806.42 None 0 0 611016187 143000 114059.89 Standard 36 33 611016261 0 250000 None 0 0 611016268 0 242507.59 None 0 0 611016270 0 400000 Standard 12 10 611016286 0 262250.93 Standard 12 10 611016359 0 204798.49 Standard 12 10 611016382 0 326780.59 Standard 12 10 611016416 0 261500 Standard 12 10 611016420 0 360000 Standard 12 10 611016457 0 64473.52 None 0 0 611016460 0 263685.54 Standard 12 10 611016463 0 267541.13 Standard 12 10 611016481 0 285000 Standard 12 11 611016483 0 119912.71 None 0 0 611016500 0 267551.29 Standard 12 10 611016508 164000 147483.48 Standard 24 22 611016548 0 113229.46 None 0 0 611016582 0 542014.32 Standard 12 10 611016599 0 59971.71 None 0 0 611016601 0 227861.88 None 0 0 611016602 0 124865.75 None 0 0 611016616 0 157374.86 None 0 0 611016634 0 271539.41 Standard 12 10 611016657 0 226000 None 0 0 611016658 0 188844.78 None 0 0 611016663 0 229141.73 None 0 0 611016670 0 314725.75 Standard 12 10 611016671 0 340714.92 Standard 12 11 611016680 0 267775.51 Standard 12 10 611016684 0 195831.25 None 0 0 611016688 0 202802.38 None 0 0 611016690 0 147633.59 2% of ppd amt 24 22 611016702 0 199848.57 Standard 12 10 611016704 0 359674.56 Standard 12 10 611016707 0 245000 None 0 0 611016734 0 69176.91 Standard 12 10 611016747 0 315700.16 None 0 0 611016750 0 84944.68 None 0 0 611016782 0 266234.19 Standard 12 10 611016784 0 246281.46 Standard 12 10 611016793 0 336706.33 Standard 12 10 611016799 0 166312.55 None 0 0 611016804 0 282800.26 Standard 24 22 611016826 0 386614.01 Standard 12 10 611016830 0 450000 Standard 12 10 611016848 0 259744.08 Standard 12 10 611016857 0 268000 None 0 0 611016864 0 164839.07 Standard 12 10 611016873 0 287497.8 Standard 12 10 611016879 0 107913.21 None 0 0 611016903 0 244537.16 Standard 12 10 611016907 0 301452.46 Standard 12 10 611016918 0 517680.51 Standard 12 10 611016922 0 224833.02 Standard 12 11 611016924 0 174877.73 None 0 0 611016933 0 349000 Standard 12 11 611016936 0 395000 Standard 12 10 611016946 0 244520.24 Standard 12 10 611016966 0 329674.61 Standard 12 11 611016977 0 299753.61 Standard 12 10 611016998 0 180000 None 0 0 611017000 0 168624.77 Standard 24 22 611017001 0 208811.06 None 0 0 611017005 0 217600 None 0 0 611017021 0 164000 None 0 0 611017026 0 262347.09 Standard 12 10 611017055 0 197770.5 None 0 0 621006315 0 123916.8 Standard 24 22 621007384 190000 151900 Standard 24 22 621007560 131000 103784.96 Standard 36 32 621007763 89400 69950.59 Standard 24 22 621007964 183500 137498.12 Standard 24 22 621007979 385000 345831.23 None 0 0 621007988 159900 127090.48 Standard 24 22 621007992 0 167686.45 Standard 36 33 621008035 0 83725.64 Standard 36 34 621008037 155000 124000 Standard 24 21 621008058 0 143370.8 Standard 24 21 621008078 0 106386.81 Standard 36 34 621008093 420000 251538.77 None 0 0 621008135 0 149723.39 Standard 36 34 621008143 90000 85381.34 Standard 36 33 621008178 0 286771.62 Standard 24 22 621008189 124900 100000 Standard 24 21 621008205 140000 111504.44 Standard 36 34 621008271 0 140500 Standard 24 23 621008284 169000 135200 Standard 24 22 621008291 145500 116327.28 Standard 36 35 621008336 185000 148000 Standard 24 22 621008359 0 254790.57 Standard 24 22 621008385 0 128678.05 Standard 24 22 621008388 0 149063.01 Standard 24 22 621008399 189000 179336.13 Standard 24 21 621008448 0 137314.49 Standard 36 34 621008480 179000 141600 Standard 36 34 621008524 0 127883.84 Standard 24 22 621008527 0 166368.82 Standard 24 22 621008528 0 259854.99 Standard 24 22 621008556 0 201418.8 Standard 24 22 621008566 0 255785.98 Standard 24 22 621008586 0 299726.15 Standard 24 22 621008596 0 346000 Standard 24 22 621008615 0 336000 Standard 36 34 621008636 0 164259.93 Standard 36 34 621008664 0 153852.25 Standard 36 34 621008668 0 144106.8 None 0 0 621008675 0 179843.5 Standard 36 34 621008681 178000 142227.62 Standard 24 22 621008683 0 123868.22 Standard 24 22 621008691 0 99914.74 Standard 36 34 621008708 0 117648.29 Standard 36 34 621008746 0 288750 Standard 24 23 621008749 0 259037.49 Standard 24 23 621008765 0 283500 Standard 24 22 621008778 0 235864.22 Standard 24 22 621008789 0 129814.46 Standard 36 34 621008790 0 82889.37 Standard 24 22 621008794 0 99880 Standard 36 35 621008805 0 164126.88 Standard 24 23 621008823 0 184865.43 Standard 24 22 621008843 0 62460.15 Standard 36 34 621008845 130000 116899.27 Standard 24 23 621008848 0 259782.64 Standard 36 35 621008851 155000 123998.63 Standard 24 22 621008861 0 170000 Standard 36 35 621008875 320000 287786.26 Standard 24 22 621008888 0 243750 Standard 24 22 621008895 0 245000 Standard 36 34 621008908 0 275840.88 Standard 24 22 621008912 0 51000 Standard 36 35 621008915 0 187897.31 Standard 24 22 621008923 0 103000 Standard 24 23 621008930 0 143886.32 Standard 24 22 621008933 0 130372.55 Standard 24 23 621008934 0 319716.29 Standard 36 35 621008939 0 166500 Standard 24 22 621008952 0 59702.52 Standard 36 34 621008957 0 234106.79 Standard 24 22 621008959 0 289971.92 Standard 24 22 621008975 0 121600 Standard 24 23 621008976 0 52800 Standard 36 34 621008980 0 112791.14 Standard 36 34 621008990 0 190000 Standard 24 23 621008991 0 235000 Standard 24 23 621008995 0 157853.67 Standard 36 34 621009001 0 156750 Standard 24 22 621009005 0 250750 Standard 24 22 621009014 0 187346.01 Standard 36 35 621009016 0 189826.56 Standard 24 22 621009027 0 197864.15 Standard 24 22 621009035 0 227500 Standard 24 23 621009062 0 130361.3 Standard 24 22 621009066 0 331838.41 Standard 24 23 621009072 0 108000 Standard 36 35 621009076 0 98000 Standard 36 35 621009084 0 134363 Standard 36 34 621009106 0 256500 Standard 24 22 621009118 0 216589.14 Standard 24 22 621009128 0 119960 Standard 24 22 621009136 230000 149500 Standard 24 23 621009137 0 195892.72 Standard 24 23 621009149 0 193000 Standard 36 35 621009154 0 140732.91 Standard 36 35 621009158 0 309000 Standard 36 35 621009164 230000 183874.01 Standard 36 34 621009172 0 135000 Standard 24 23 621009185 0 166371.39 Standard 24 23 621009203 0 142392.11 Standard 24 23 621009206 0 165000 Standard 24 23 621009226 0 112500 None 0 0 621009227 0 247319.97 Standard 24 23 621009228 172725 120805.42 Standard 24 23 621009231 0 336000 Standard 24 23 621009309 0 307784.8 Standard 24 23 631006381 0 220822.39 Standard 24 22 631006658 0 326545.07 Standard 24 22 631006989 0 168265.64 Standard 24 21 631007094 216000 194079.75 None 0 0 631007132 0 64743.64 Standard 24 21 631007135 0 76917.68 Standard 24 22 631007165 0 140084.64 Standard 36 33 631007328 0 159000 Standard 24 22 631007352 0 206000 Standard 24 22 631007363 0 107811.68 Standard 24 22 631007445 143000 114400 Standard 24 22 631007454 0 255000 Standard 24 22 631007482 0 137885.01 Standard 24 22 631007485 155000 124000 Standard 24 22 631007494 0 209800.74 Standard 24 22 631007507 0 149758.19 Standard 24 22 631007552 0 133435.14 Standard 24 22 631007583 0 164716.48 Standard 24 22 631007585 0 230000 Standard 24 22 631007586 0 161326.99 Standard 24 22 631007589 0 227000 Standard 24 22 631007593 0 52440.31 Standard 36 34 631007609 0 208268.04 Standard 24 22 631007614 0 274500 Standard 24 22 631007616 0 329553.58 Standard 24 22 631007617 0 117964.66 Standard 24 22 631007626 0 146918.37 Standard 24 22 631007646 0 169863.38 Standard 12 10 631007651 0 275750.49 Standard 36 34 631007663 0 162366.53 Standard 24 22 631007675 0 299692.68 Standard 24 22 631007681 0 176854.63 Standard 24 22 631007685 0 254642.5 Standard 24 22 631007695 0 279000 Standard 24 22 631007703 0 299649.42 Standard 24 22 631007712 0 199719.43 Standard 36 34 631007729 0 331253.98 Standard 24 22 631007734 0 239846.96 Standard 24 22 631007762 270000 202500 Standard 24 22 631007764 0 111800 Standard 24 22 631007772 0 349651.57 Standard 24 22 631007777 0 151749.32 Standard 24 22 631007778 0 291748.59 Standard 24 22 631007789 0 232631.74 Standard 24 22 631007800 0 299609 Standard 24 22 631007807 0 299018.44 Standard 24 22 631007822 0 211871.57 Standard 24 22 631007826 0 233750 Standard 24 22 631007843 0 294730.46 Standard 24 22 631007854 0 310000 Standard 24 22 631007864 0 221000 Standard 24 22 631007878 0 139881.81 Standard 24 22 631007888 0 129900 Standard 24 22 631007890 0 230000 Standard 24 22 631007896 164900 148299.86 Standard 24 22 631007903 0 223479.13 Standard 24 22 631007906 0 316500 Standard 24 22 631007913 0 278769.05 Standard 24 22 631007914 0 159997.42 Standard 24 22 631007915 0 220000 Standard 24 22 631007928 0 166859.01 Standard 24 22 631007934 0 133000 Standard 24 22 631007936 0 169749.4 Standard 24 22 631007952 0 169860.38 Standard 36 35 631007961 0 225500 Standard 24 23 631007988 0 194872.39 Standard 36 34 631007994 0 210000 Standard 24 22 631008061 0 50000 None 0 0 641007356 102000 81355.72 Standard if less than 12% 24 22 641008371 0 74959.46 None 0 0 641008505 0 85000 Standard if less than 12% 24 23 641008530 77562 61966.9 Standard if less than 12% 24 22 641008603 106950 85403.4 Standard if less than 12% 24 21 641008627 0 149876.25 None 0 0 641008679 125000 99724.69 3% / 2% / 1% 24 21 641008734 220000 109964.85 Standard if less than 12% 36 34 641008744 101400 81063.89 Standard if less than 12% 24 22 641008761 64500 57797.23 Standard if less than 12% 24 21 641008767 89950 71852.65 Standard if less than 12% 36 33 641008785 78900 63034.16 Standard if less than 12% 36 33 641008808 0 129512.15 None 0 0 641008870 0 151916.11 None 0 0 641008893 0 68800.42 Standard if less than 12% 36 34 641008933 0 89948.22 Standard if less than 12% 36 34 641008940 172500 151870.4 3% / 2% / 1% 36 34 641008948 0 57578.08 Standard 36 34 641008974 78000 62321.33 Standard if less than 12% 36 33 641008979 193000 154305.1 Standard if less than 12% 36 33 641009002 0 95431.22 Standard 24 22 641009058 149500 119491.88 Standard if less than 12% 24 22 641009135 149500 119499.03 3% / 2% / 1% 24 22 641009144 0 92723.78 None 0 0 641009177 0 151867.85 Standard 36 34 641009189 70500 66896.39 Standard if less than 12% 24 21 641009194 158900 126849.1 Standard if less than 12% 36 33 641009197 52900 50208.91 None 0 0 641009209 91000 72751.06 Standard if less than 12% 24 22 641009221 66800 60050.43 Standard if less than 12% 24 21 641009246 0 129410.86 None 0 0 641009297 0 94639.08 None 0 0 641009313 104000 83146.95 Standard 24 22 641009317 0 75171.07 None 0 0 641009331 166800 133323.98 Standard if less than 12% 36 34 641009335 0 53970.44 Standard if less than 12% 24 22 641009363 140000 111924.85 Standard if less than 12% 24 22 641009381 108150 86461.95 Standard 36 34 641009382 75000 59907.04 Standard 24 22 641009397 0 55545.58 None 0 0 641009408 95400 90522.05 Standard if less than 12% 24 22 641009410 88000 70318.69 Standard if less than 12% 24 22 641009435 74100 66623.6 Standard 24 22 641009437 115000 91939.51 Standard 36 34 641009467 150000 134817.86 Standard if less than 12% 36 34 641009473 0 54340.36 None 0 0 641009478 0 110424.8 None 0 0 641009504 0 100000 None 0 0 641009521 0 50365.44 None 0 0 641009524 0 94348.33 None 0 0 641009530 0 66207.26 None 0 0 641009550 0 114818.24 Standard 24 22 641009560 149500 119372.45 Standard if less than 12% 24 22 641009574 0 85927.4 None 0 0 641009603 0 175779.33 3% / 2% / 1% 24 22 641009640 0 103946.65 None 0 0 641009644 0 69505.83 None 0 0 641009646 0 145793.25 None 0 0 641009672 0 71914.23 None 0 0 641009681 0 179822.52 None 0 0 641009687 0 179807.5 None 0 0 641009692 0 131092.06 3% / 2% / 1% 24 22 641009713 82000 65552.28 Standard 24 22 641009720 0 66363.66 None 0 0 641009740 159340 127268.54 Standard if less than 12% 24 22 641009743 53000 50293.03 Standard 36 34 641009744 0 139885.02 None 0 0 641009752 0 225341.74 None 0 0 641009760 0 169850.74 None 0 0 641009779 0 132800 None 0 0 641009780 144000 115132.34 Standard if less than 12% 36 34 641009784 0 249124.01 Standard if less than 12% 36 34 641009845 0 114683.36 Standard if less than 12% 12 10 641009863 0 170987.42 Standard 24 23 641009905 0 231771.25 None 0 0 641009906 122500 97820.65 Standard if less than 12% 24 22 641009925 124000 117693.5 Standard if less than 12% 24 22 641009934 0 85000 Standard 24 23 641009955 0 84750 Standard 24 23 641010068 0 119800 Standard if less than 12% 36 35 651008543 0 153872.74 2% of ppd amt 24 21 651008598 0 170875.61 1% of amt prepaid 24 22 651008663 106000 84682.07 None 0 0 651008713 0 66536.95 3% / 2% / 1% 24 22 651008830 0 75493.32 None 0 0 651009081 0 175774.67 Standard 24 22 651009365 0 92622.75 Standard 24 22 651009417 112000 89474.39 None 0 0 651009620 140000 111957.3 None 0 0 651009681 154500 123497.68 1% of amt prepaid 24 22 651009709 0 143880.8 1% of amt prepaid 36 34 651009715 0 144545 None 0 0 651009734 0 254750.5 Standard 36 34 651009751 0 114462.82 Standard 24 21 651009792 72501 65171.56 None 0 0 651009808 115000 83880.55 None 0 0 651009826 0 171500 None 0 0 651009851 0 59933.51 2% of UPB 24 21 651009879 0 55222.24 2% of ppd amt 24 22 651009888 0 174300.69 None 0 0 651009925 0 300000 None 0 0 651009947 139000 124931.22 None 0 0 651009957 129000 122509.15 3% / 2% / 1% 24 21 651009958 0 102710.1 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 651009969 0 49962.19 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 651009982 117000 111027.86 None 0 0 651010018 0 102473.97 None 0 0 651010058 0 73772.52 None 0 0 651010059 0 198491.96 2 mo int on 66% if less than 8% 36 34 651010062 0 196821.91 None 0 0 651010067 0 157974.19 1% of amt prepaid 24 22 651010071 0 232621.54 None 0 0 651010108 0 104707.82 Standard 36 34 651010113 0 363694.49 None 0 0 651010119 0 149832.06 2% of ppd amt 24 22 651010120 0 202170.33 2% of ppd amt 24 22 651010137 0 105363.4 Standard 24 22 651010192 80000 71250 Standard 12 11 651010215 132000 118800 Standard 24 22 651010219 0 62913.88 1% of amt prepaid 24 22 651010275 127900 102228.12 1% of amt prepaid 36 34 651010277 0 109730.7 Standard 24 22 651010289 0 258431.72 None 0 0 651010297 145000 116000 None 0 0 651010300 0 199848.57 None 0 0 651010318 0 158022.21 Standard 24 22 651010331 0 208620.23 2 mo int on 66% if less than 8% 24 22 651010334 0 343723.54 2% of ppd amt 24 22 651010343 0 157267.83 2 mo int or 60 days int on UPB 24 22 651010348 0 156539.65 Standard 24 22 651010351 0 167824.6 Standard 24 22 651010355 75000 59972.3 None 0 0 651010362 0 132915.2 Standard 36 35 651010378 0 200796.05 Standard 24 22 651010394 0 79951.54 Standard 36 34 651010396 0 106427.07 1% of amt prepaid 24 23 651010402 0 167881.43 1% of amt prepaid 24 22 651010428 0 151905.51 None 0 0 651010447 0 177677.83 None 0 0 651010494 0 90180.29 1% of amt prepaid 24 23 651010500 0 229386.32 Standard 36 34 651010503 0 153000 None 0 0 651010513 0 220000 3% / 2% / 1% 24 23 651010516 0 220809.73 2% of ppd amt 24 22 651010523 0 89683.78 Standard 36 34 651010532 0 179922.88 None 0 0 651010552 0 222135.03 Standard 36 35 651010553 140000 111808.48 2% of UPB 24 22 651010559 0 80750 Standard 36 35 651010586 0 126350 3% / 2% / 1% 36 35 651010620 0 168185.93 Standard 24 22 651010843 0 159765.31 Standard 12 10 661006145 148169 118315.37 Standard 36 33 661006195 0 220000 Standard 24 22 661006578 0 253791.39 Standard 24 22 661006579 0 250000 Standard 36 33 661006628 0 180000 Standard 24 22 661006729 0 174397.5 Standard 24 22 661006861 135000 108000 Standard 24 21 661006890 0 280985.67 Standard 24 22 661006898 0 199743.06 Standard 36 33 661006915 0 103918.87 Standard 24 22 661006919 0 224842.79 Standard 24 22 661006939 0 274797.95 Standard 24 22 661007032 0 129869.34 Standard 36 34 661007033 0 174889.55 Standard 24 22 661007052 0 96000 Standard 36 34 661007078 0 114566.17 Standard 24 22 661007081 0 180000 Standard 24 22 661007084 0 139914.83 Standard 36 34 661007101 0 299735.32 Standard 36 34 661007103 0 356400 Standard 24 22 661007126 0 149600 Standard 36 34 661007127 0 187709.19 Standard 24 22 661007136 0 290221.16 Standard 24 22 661007140 0 121599.81 Standard 36 34 661007152 0 200307.03 Standard 24 22 661007156 0 178000 Standard 24 22 661007157 0 209848.77 Standard 24 22 661007178 0 254559.42 Standard 24 22 661007180 0 263783.6 Standard 24 22 661007186 0 167737.09 1% of amt prepaid 24 22 661007204 0 117500 Standard 36 34 661007211 0 224746.59 Standard 24 22 661007213 0 148400.15 Standard 24 22 661007231 0 159864.92 Standard 36 34 661007242 0 81914.39 Standard 24 22 661007245 0 89845.18 Standard 36 34 661007247 0 330650 Standard 24 22 661007248 0 214649.76 Standard 24 22 661007253 0 269829.58 Standard 24 22 661007267 0 300000 Standard 24 22 661007279 0 163353.63 Standard 24 22 661007281 0 214884.99 Standard 24 22 661007282 0 167754.81 Standard 24 22 661007302 0 187223.61 Standard 36 34 661007305 0 152735.79 Standard 24 22 661007312 0 220000 Standard 24 22 661007320 0 167814.38 Standard 24 22 661007327 0 188163.2 Standard 36 34 661007333 0 161422.22 Standard 24 22 661007335 0 159793.14 Standard 24 22 661007338 0 143570.08 Standard 24 22 661007349 0 256000 Standard 24 22 661007366 0 287812.57 Standard 24 22 661007367 0 194874.38 Standard 24 22 661007370 0 243577.97 Standard 24 22 661007371 0 286213.23 Standard 24 22 661007384 0 171371.44 Standard 24 22 661007410 0 110264.29 Standard 24 22 661007412 0 129881.33 Standard 24 22 661007416 0 176000 2 mo int or 60 days int on UPB 24 22 661007421 0 204500 Standard 24 22 661007429 0 200000 Standard 24 22 661007436 0 174282.98 None 0 0 661007437 0 167883.8 Standard 24 22 661007458 0 164841.93 Standard 24 22 661007459 0 394982.42 Standard 24 22 661007462 0 326961.51 Standard 24 22 661007469 0 339346.87 Standard 36 34 661007478 0 247752.64 Standard 24 22 661007480 0 232791.4 Standard 24 22 661007482 0 231819.02 Standard 24 22 661007485 0 203577.02 Standard 24 22 661007486 0 114821.8 Standard 36 34 661007488 0 257250 Standard 24 22 661007495 0 215999.99 Standard 24 22 661007497 0 201867.19 Standard 24 22 661007512 0 160182.22 Standard 24 22 661007514 0 313371.06 Standard 24 22 661007518 0 216278.22 Standard 24 22 661007519 0 174838.69 Standard 24 22 661007520 0 294000 Standard 24 23 661007524 0 233000 Standard 24 22 661007528 0 195883.69 Standard 24 22 661007536 0 142382.03 Standard 24 22 661007542 0 199450.69 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 661007543 0 220380.9 Standard 36 34 661007546 0 247200 Standard 24 23 661007559 0 141056 Standard 24 22 661007562 0 239569.11 Standard 24 22 661007569 0 215000 Standard 24 22 661007584 0 242055.31 Standard 24 22 661007585 0 196000 Standard 24 22 661007590 0 238000 Standard 24 22 661007609 0 189843.49 Standard 36 34 661007613 0 273000 Standard 24 22 661007616 0 151848.39 Standard 24 22 661007617 0 71392.48 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 661007642 0 85942.88 Standard 24 22 661007655 0 170759.92 Standard 36 35 661007659 0 239564.9 Standard 24 22 661007661 0 288000 Standard 24 22 661007665 0 255000 Standard 24 22 661007672 0 136906.2 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 661007674 0 150959.43 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 661007676 0 139645.94 Standard 24 22 661007694 307900 61519.18 Standard 24 22 661007718 0 321000 Standard 24 22 661007721 0 149898.75 Standard 24 22 661007730 0 129874.25 Standard 24 22 661007732 0 213638.02 Standard 24 22 661007734 0 129775.51 Standard 24 22 661007744 0 247080.89 Standard 24 22 661007775 0 206503.87 Standard 12 10 661007788 0 153000 Standard 24 23 661007789 0 316000 Standard 36 34 671003122 0 339570.53 Standard 24 22 671003460 0 125620.06 Standard 24 21 671003472 0 106200 None 0 0 671003566 0 233766.61 Standard 36 34 671003658 0 63565.4 Standard 24 21 671003818 0 235295.98 Standard 24 22 671003834 0 308716.43 Standard 24 22 671003883 0 325000 Standard 36 34 671003909 327000 310421.75 Standard 24 22 671003913 0 339416.52 Standard 24 22 671003945 145000 115808.84 Standard 24 21 671004015 0 196839.35 Standard 24 22 671004069 0 266198.61 Standard 36 33 671004123 0 137870.32 Standard 36 34 671004178 0 255431.95 None 0 0 671004202 0 144000 Standard 24 22 671004210 0 139725.86 Standard 36 34 671004252 0 324000 Standard 24 22 671004297 0 344250 Standard 24 22 671004302 0 324000 Standard 24 22 671004354 0 189995 Standard 24 22 671004357 0 250000 Standard 24 22 671004364 0 207899.56 Standard 24 22 671004391 0 307452.36 Standard 24 22 671004400 0 342000 Standard 24 22 671004417 0 250000 Standard 36 34 671004424 0 244500 Standard 24 22 671004427 0 239842.21 Standard 24 22 671004431 0 199637.4 Standard 24 22 671004446 0 320000 Standard 24 22 671004453 0 323000 Standard 24 22 671004466 0 171946.7 Standard 24 22 671004477 0 113106.55 Standard 24 22 671004505 0 271330.44 Standard 24 22 671004523 0 259000 Standard 24 22 671004529 0 85429.22 Standard 24 22 671004533 0 239649.73 Standard 24 22 671004545 0 195826.23 Standard 24 22 671004546 0 354668.96 Standard 24 22 671004591 0 169999.56 Standard 24 23 671004642 0 85919.18 Standard 24 23 671004669 0 336622 Standard 24 23 681005341 128000 102258.6 None 0 0 681005524 216000 151085.52 None 0 0 681005543 0 259750.84 3 mo int 24 22 681005568 0 112309.5 None 0 0 681005640 0 189728.23 None 0 0 681005661 110000 87825.25 None 0 0 681005667 179000 143198.27 Standard 24 21 681005716 149921 142214.01 Standard 24 21 681005833 390000 129777.71 None 0 0 681005867 158000 126200.22 None 0 0 681005892 245000 99732.55 None 0 0 681005905 167900 150732.55 None 0 0 681005907 0 175849.94 None 0 0 681005987 142000 113515.69 None 0 0 681005990 79500 63524.25 None 0 0 681006013 0 249719.08 None 0 0 681006038 167000 133380.34 None 0 0 681006043 230000 69961.06 Standard 12 10 681006045 167000 133414.57 None 0 0 681006048 0 90890.49 None 0 0 681006056 189000 151087.79 None 0 0 681006079 0 299736.61 None 0 0 681006089 0 61947.66 None 0 0 681006090 449000 425997.42 None 0 0 681006106 0 193845.63 None 0 0 681006118 0 79666.16 None 0 0 681006121 153000 122011.13 None 0 0 681006141 0 196000 None 0 0 681006146 161400 129035.97 Standard 24 22 681006173 168000 134282 None 0 0 681006175 0 88044.55 None 0 0 681006206 176575 149996.3 None 0 0 681006208 155000 123836.39 None 0 0 681006215 0 64968.7 None 0 0 681006218 133000 106224.71 None 0 0 681006221 105000 83944.77 Standard 24 22 681006238 0 99936.23 None 0 0 681006322 0 145887.24 None 0 0 681006332 0 59965.48 None 0 0 681006336 125000 99937.52 Standard 24 22 681006365 0 109916 None 0 0 681006366 0 126784.53 None 0 0 681006368 0 139866.03 None 0 0 681006405 0 167642.31 None 0 0 681006415 0 119921.9 None 0 0 681006424 0 353148.05 None 0 0 681006448 0 159865.58 None 0 0 681006451 0 229653.64 Standard 24 22 681006453 0 293250 Standard 24 23 681006455 0 154782.7 None 0 0 681006461 138000 110307.71 None 0 0 681006470 0 151912.55 None 0 0 681006481 0 88963.08 None 0 0 681006490 0 208701.9 None 0 0 681006496 0 149835.18 None 0 0 681006500 0 99911.34 Standard 24 22 681006509 0 243868.11 None 0 0 681006516 0 140705.01 None 0 0 681006517 0 212821.93 Standard 24 22 681006522 0 194255.73 None 0 0 681006524 0 172390.01 None 0 0 681006529 0 107963.34 None 0 0 681006530 60000 51759.41 None 0 0 681006531 0 328258.63 None 0 0 681006537 99500 79536.66 None 0 0 681006542 0 194855.28 Standard 36 35 681006557 0 152268.36 None 0 0 681006558 0 159875.19 None 0 0 681006573 0 59271.78 None 0 0 681006574 0 59953.1 None 0 0 681006582 0 179853.91 None 0 0 681006586 0 83779.31 None 0 0 681006587 0 63459.08 None 0 0 681006591 0 259788.33 None 0 0 681006600 0 152750.91 None 0 0 681006615 0 118212.86 2% of ppd amt 24 22 681006618 0 72892.38 None 0 0 681006624 0 197781.75 None 0 0 681006626 176500 141118.34 None 0 0 681006631 0 181600 None 0 0 681006652 0 142071.45 None 0 0 681006659 0 150883.52 None 0 0 681006674 0 156611.03 2% of ppd amt 36 35 681006689 0 284798.85 None 0 0 681006703 0 217600 None 0 0 681006705 0 204855.31 Standard 24 22 681006713 0 170083.89 None 0 0 681006766 0 184000 None 0 0 681006804 0 89935.84 None 0 0 691002872 93000 83630.99 None 0 0 691003003 0 105479.1 None 0 0 691003134 0 255536.08 2% of ppd amt 24 21 691003227 0 93539.7 None 0 0 691003465 0 146808.03 None 0 0 691003514 0 88941.48 None 0 0 691003538 76000 60708.57 Standard 24 21 691003581 0 81928.01 Standard 36 34 691003597 87900 70225.13 2 mo int on 66% if less than 8% 24 21 691003650 0 115899.1 Standard 36 34 691003687 225000 213615.09 None 0 0 691003716 0 269998.24 2% of ppd amt 24 21 691003739 92500 73954.24 Standard 24 22 691003782 0 249450.34 None 0 0 691003785 0 153741.78 2% of ppd amt 24 22 691003810 0 318750 None 0 0 691003818 0 111670.19 Standard 24 22 691003819 0 167349.6 2% of ppd amt 24 22 691003823 0 222928.62 2% of ppd amt 24 22 691003830 0 159300 Standard 24 23 691003869 0 339780.96 None 0 0 691003870 0 337148.71 None 0 0 691003887 331000 264543.86 2% of ppd amt 24 22 691003893 0 194750 2 mo int on 66% if less than 8% 24 22 691003911 0 234274.91 2 mo int on 66% if less than 8% 24 22 691003912 0 169485.41 2% of ppd amt 24 22 691003923 0 155117.84 None 0 0 691003947 0 111927.11 None 0 0 691003948 0 199834.43 2 mo int on 66% if less than 8% 24 22 691003958 0 159880.06 2 mo int on 66% if less than 8% 24 22 691003967 0 164648.04 Standard 24 22 691003981 0 314210.11 2 mo int on 66% if less than 8% 24 22 691003990 0 329999.33 2 mo int on 66% if less than 8% 24 22 691003998 0 181867.61 2% of ppd amt 24 22 691004000 0 166629.88 2 mo int on 66% if less than 8% 12 10 691004015 0 209466.35 None 0 0 691004016 0 159095.96 2 mo int on 66% if less than 8% 24 22 691004032 0 196370.81 None 0 0 691004043 0 207453.48 2% of ppd amt 24 22 691004053 0 75600 None 0 0 691004054 0 227313.52 2 mo int on 66% if less than 8% 24 22 691004057 0 192303.79 2% of ppd amt 24 22 691004059 0 175776.61 None 0 0 691004098 0 178397.55 None 0 0 691004121 0 181550.22 2 mo int on 66% if less than 8% 24 22 691004176 0 179893.18 None 0 0 691004186 0 118050.25 2 mo int on 66% if less than 8% 24 23 701000231 0 111802.79 Standard 24 22 701000370 0 149872.11 None 0 0 701000707 0 257000 Standard 24 22 701000768 0 169748.22 Standard 36 34 701000775 0 284782.37 Standard 24 22 701000892 0 197000 Standard 24 22 701000916 0 49953.65 Standard 36 34 701000986 0 129502.85 Standard 36 34 701000994 0 89953.34 Standard 24 22 701000999 0 234598.16 Standard 24 22 701001001 0 256500 Standard 24 22 701001009 0 102684 Standard 24 22 701001013 0 164875.07 Standard 24 22 701001016 0 132606.18 Standard 24 22 701001026 0 179999.7 Standard 24 22 701001047 0 165627.97 Standard 24 22 701001049 0 136905.24 Standard 24 22 701001051 0 214810.16 Standard 24 22 701001053 0 249524.71 Standard 24 22 701001077 0 191674.87 Standard 24 22 701001080 0 211802.69 Standard 24 22 701001097 0 267834.28 Standard 24 22 711006618 0 99930.13 None 0 0 711006733 0 112446.95 Standard 36 34 711006821 0 124826.51 Standard 24 22 711006920 0 53184.78 1% of amt prepaid 36 34 711006947 0 143918.01 None 0 0 711007070 0 280599.81 Standard 24 22 711007071 0 222678 None 0 0 711007072 0 190201.21 None 0 0 711007092 0 129711.66 None 0 0 711007095 0 219719.66 None 0 0 711007104 0 51924.86 None 0 0 711007122 0 99825.62 None 0 0 711007140 0 292206.02 2% of UPB 12 10 711007196 0 59728.8 None 0 0 711007208 0 258527.22 2% of UPB 12 10 711007209 0 164830.98 None 0 0 711007214 0 54571.4 Standard 24 22 711007235 0 281729.12 None 0 0 711007236 0 101427.5 None 0 0 711007240 0 105755.96 1% of amt prepaid 24 22 711007241 0 108865.29 Standard 24 22 711007243 0 174766.76 None 0 0 711007246 0 119927.3 None 0 0 711007247 0 104900.37 None 0 0 711007256 0 194132.9 None 0 0 711007289 0 113873.69 None 0 0 711007303 0 112003.48 None 0 0 711007305 0 234821.72 None 0 0 711007307 0 163026.35 None 0 0 711007308 0 144260.08 1% of amt prepaid 24 22 711007319 0 99836.46 None 0 0 711007328 0 178857.28 None 0 0 711007366 0 344711.58 Standard 24 23 711007466 0 201596.81 None 0 0 721006708 0 69217.45 Standard 24 22 721006785 0 74553.58 3% / 2% / 1% 36 34 721006786 126000 100634.29 Standard 24 21 721006886 0 196856.7 Standard 24 22 721006940 178000 142400 Standard 24 21 721006944 0 63966.1 Standard 24 22 721007009 0 108708.86 Standard 24 22 721007050 0 323597.9 Standard 24 22 721007097 0 118625.84 3% / 2% / 1% 24 22 721007103 0 275287.21 Standard 24 22 721007127 0 130406.97 Standard 24 22 721007128 0 121503.24 Standard 24 22 721007161 0 260800 Standard 24 22 721007165 0 178009.08 Standard 24 22 721007173 0 158306.96 Standard 24 22 721007184 0 255749.33 Standard 24 22 721007190 0 157263.13 3% / 2% / 1% 24 22 721007195 0 293137.48 Standard 24 22 721007207 0 159870.14 3% / 2% / 1% 24 22 721007235 0 164000 Standard 24 23 721007239 0 80951.93 Standard 24 22 721007240 0 71916.71 3% / 2% / 1% 36 35 721007243 0 88237.86 Standard 24 22 721007252 0 336961.28 Standard 24 22 721007268 0 121422.52 3% / 2% / 1% 24 22 721007279 0 146922.6 3% / 2% / 1% 24 22 721007292 0 172347.06 Standard 24 22 721007298 0 50000 Standard 24 22 721007299 0 130725.18 Standard 36 34 721007301 0 300000 Standard 24 22 721007307 0 102000 Standard 24 22 721007308 0 55238.73 Standard 24 22 721007313 0 169846.31 Standard 24 22 721007315 0 108426.27 Standard 24 22 721007319 0 194385.26 Standard 24 22 721007320 0 155700.33 Standard 24 22 721007322 0 119910.94 Standard 24 22 721007325 0 183023.37 Standard 24 22 721007329 0 135906.87 Standard 24 22 721007334 0 109686.32 Standard 36 34 721007338 0 89552.57 3% / 2% / 1% 24 22 721007350 0 92790.73 Standard 24 22 721007370 0 52595.11 Standard 36 34 721007378 0 262301.25 Standard 24 22 721007384 0 189439.93 Standard 24 22 721007392 0 139789.47 Standard 24 22 721007403 0 172852.1 Standard 24 22 721007439 0 169000 Standard 24 23 731010082 0 192000 None 0 0 731010185 140000 111849.2 Standard 24 21 731010191 0 162274.47 None 0 0 731010237 0 99845.05 None 0 0 731010433 0 87426.02 2% of ppd amt 24 22 731010447 0 315000 None 0 0 731010514 75000 59923.22 Standard 24 22 731010561 0 102830.65 2% of ppd amt 36 34 731010562 0 207000 Standard 36 35 731010578 0 66431.51 Standard 24 22 731010588 0 90929.01 2% of ppd amt 24 22 731010628 0 51938.25 None 0 0 731010634 0 87671.44 2% of ppd amt 24 23 731010687 0 86651.4 None 0 0 731010700 0 66327.2 2% of ppd amt 24 22 731010702 0 81583.76 None 0 0 731010752 0 175000 None 0 0 731010778 0 58885.93 2% of ppd amt 36 34 731010779 0 133856.22 2% of ppd amt 24 22 731010817 0 134759.96 2% of ppd amt 24 22 731010850 0 223250 2% of ppd amt 24 23 731010915 0 249132.72 None 0 0 731010932 0 209640.91 2% of ppd amt 24 22 731010982 0 110620.28 Standard 24 22 731011066 0 118800 None 0 0 731011152 0 112831.76 None 0 0 741010432 0 51300 None 0 0 741010866 151500 120975.98 Standard 24 21 741010875 0 87403.04 Standard 24 21 741010979 112000 89414.73 Standard 24 21 741011161 95000 90200.71 Standard 24 21 741011189 98000 78352.5 Standard 24 22 741011216 0 78852.96 Standard 24 22 741011337 0 105862.96 None 0 0 741011364 0 116764.14 PIF - 1% of OPB ; Partial - 1% amt ppd 24 23 741011383 167900 134139.16 3% / 2% / 1% 24 21 741011400 0 64519.96 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 741011483 0 49729.74 None 0 0 741011525 0 63919.75 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 741011565 0 56019.63 3% / 2% / 1% 24 22 741011608 143617 114736.47 PIF - 1% of OPB ; Partial - 1% amt ppd 24 21 741011612 0 67924.66 None 0 0 741011631 0 84889.95 Standard 24 22 741011636 0 75134.59 Standard 36 34 741011654 0 67933.4 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 741011677 0 137673.18 Standard 24 22 741011681 0 215761.34 Standard 24 22 741011682 0 53977.36 Standard 24 22 741011691 0 127408.69 Standard 24 22 741011701 0 60350 None 0 0 741011727 0 125911.96 Standard 24 22 741011733 0 69896.81 Standard 24 22 741011754 0 80937.32 Standard 24 22 741011818 0 154853.75 1% of amt ppd if loan greater than $150K 24 22 741011839 0 147773.29 Standard 36 34 741011845 0 99863.99 Standard 24 22 741011878 0 73906.07 Standard 24 22 741011899 0 104815.12 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 741011906 0 49918.6 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 741011919 0 78143.12 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 741011947 0 119803.55 None 0 0 741012036 0 121500 Standard 36 35 761008530 54000 50786.47 None 0 0 761009045 130000 103745.28 None 0 0 761009329 0 135869.86 None 0 0 761009634 0 67442.41 None 0 0 761009843 0 94328.58 Standard 24 22 761009890 0 68126.62 2 mo int on 80% 36 34 761010012 0 59976.87 None 0 0 761010075 0 157500 None 0 0 761010090 0 74049.18 None 0 0 761010162 0 118731.65 None 0 0 761010179 0 138623.44 None 0 0 761010189 70000 66474.63 None 0 0 761010285 0 70904.75 None 0 0 761010328 0 73942.18 None 0 0 761010335 0 219999.87 None 0 0 761010405 0 114840.92 None 0 0 761010434 0 66355.45 None 0 0 761010470 0 73769.94 Standard 24 22 761010474 0 51240.75 Standard 24 22 761010478 0 212889.57 None 0 0 761010513 0 89954.79 None 0 0 761010545 0 49960.09 None 0 0 761010547 0 122349.11 None 0 0 761010548 0 49960.42 Standard 24 22 761010552 89900 71876.88 Standard 12 10 761010557 0 155803.1 None 0 0 761010561 0 89600 None 0 0 761010585 0 101913.47 None 0 0 761010623 0 135912.38 None 0 0 761010718 0 99704.44 None 0 0 761010743 0 106273.96 None 0 0 761010744 0 68224.56 None 0 0 761010754 0 99865.37 None 0 0 761010755 0 125897.24 None 0 0 761010759 0 78967.93 None 0 0 761010808 0 68364.91 Standard 24 22 761010813 0 175830.74 None 0 0 761010827 0 166361.25 None 0 0 761010842 0 114666.53 Standard 24 22 761011013 0 50978.62 None 0 0 771005111 0 74997.66 None 0 0 771005130 0 127918.21 None 0 0 771005182 92500 73900.35 Standard if less than 12% 36 33 771005198 0 49957.88 None 0 0 771005270 0 49933.35 None 0 0 771005282 74000 58932.23 Standard if less than 12% 36 33 771005341 0 81899.26 None 0 0 771005365 0 87614.26 None 0 0 771005371 0 115228.7 Standard if less than 12% 24 22 771005425 0 176595.14 Standard if less than 12% 24 22 771005428 0 97451.07 None 0 0 771005492 0 71878.98 None 0 0 771005495 0 51979.77 None 0 0 771005497 0 125352.28 3% / 2% / 1% 24 22 771005515 0 73741.2 None 0 0 771005552 0 56385.1 None 0 0 771005570 0 162306.57 None 0 0 771005604 0 67500 None 0 0 771005623 0 63917.88 None 0 0 771005635 0 50000 None 0 0 771005637 0 49965.06 None 0 0 771005652 0 84880.83 None 0 0 771005667 0 97935.57 None 0 0 771005679 0 82357.17 None 0 0 771005690 0 49965.06 None 0 0 771005695 0 87956.26 None 0 0 771005703 0 55918.28 None 0 0 771005705 0 66365.22 None 0 0 771005706 0 169723.23 None 0 0 771005728 0 54330.2 None 0 0 771005729 0 76746.88 None 0 0 771005734 0 49974.89 None 0 0 771005742 0 79890.86 Standard if less than 12% 36 34 771005789 0 50000 None 0 0 771005805 0 92000 None 0 0 771005829 0 61575.79 Standard if less than 12% 36 34 781003064 174900 139810.85 Standard 24 22 781003158 0 74460.97 None 0 0 781003307 0 262097.71 Standard 12 10 781003325 90000 62972.28 None 0 0 781003359 126000 119700 Standard 12 11 781003374 0 67462.93 Standard 24 23 781003481 0 179002.17 None 0 0 781003496 0 226512.33 None 0 0 781003538 0 182348.93 Standard 24 23 781003540 0 186066.41 1% of amt prepaid 24 22 781003545 0 71213.37 Standard 24 22 781003577 0 55177.11 1% of amt prepaid 24 22 781003599 0 110353.48 Standard 36 34 781003609 0 172399.52 None 0 0 781003677 0 149861.74 None 0 0 781003687 0 136380.16 1% of amt prepaid 24 22 781003719 0 163659.98 None 0 0 781003736 0 49943.75 1% of amt prepaid 24 22 781003847 0 75993.56 Standard 24 23 791002266 76500 51465.76 None 0 0 791002317 0 55499.73 Standard 36 33 791002523 165000 135816.89 Standard 36 33 791002611 79900 75830.96 None 0 0 791002612 0 62356.6 None 0 0 791002647 136000 108728.47 2% of UPB 24 22 791002660 0 54879.33 None 0 0 791002677 0 59814.85 None 0 0 791002749 0 74699.73 None 0 0 791002761 0 62964.59 None 0 0 791002786 0 161392.51 Standard 24 23 791002850 0 105870.09 2% of UPB 24 22 791002884 0 135916.76 Standard 24 22 791002935 0 52429.74 2% of UPB 24 22 791002938 0 75531.61 Standard 24 22 791002960 0 66113.1 Standard 24 22 791002966 0 160405.99 2% of UPB 24 22 791002993 0 58464.56 None 0 0 791003015 0 195857.42 Standard 24 22 791003020 0 142995.91 Standard 24 23 791003027 0 125713.91 2% of UPB 24 22 791003046 0 146202.89 None 0 0 791003072 0 140523.84 2% of XXX 00 00 000000000 0 00000 Xxxx 0 0 791003078 0 119631.13 2% of UPB 24 23 791003085 0 63374.43 None 0 0 791003089 0 60333.07 None 0 0 791003091 0 70494.96 Standard 24 22 791003138 0 102000 None 0 0 791003148 0 49970.93 Standard 24 22 791003196 0 99919.64 Standard 24 22 831032634 0 243938.72 Standard 24 15 831038842 0 324507.73 None 0 0 831039342 0 127951.63 Standard 24 19 831039347 160000 127555.98 Standard 24 19 831039986 0 114558.57 Standard 24 20 831039988 0 214456.61 Standard 36 32 831040856 0 113335.17 Standard 24 19 831041316 0 119756.34 None 0 0 831041330 0 179596.72 Standard 36 32 831041573 0 240000 Standard 36 33 831041574 167000 149798 Standard 24 20 831041575 0 287728.84 Standard 24 21 831041576 166000 149126.3 Standard 24 20 831041603 150500 142518.66 None 0 0 831041708 0 223758.19 Standard 24 20 831041711 149000 133878.15 Standard 24 20 831041793 0 179386.78 Standard 24 19 831041795 0 139858.11 Standard 12 8 831041800 0 131761.18 Standard 24 20 831041802 0 314463.52 Standard 24 19 831041807 0 79456.74 Standard 36 33 831041812 0 222220.98 Standard 24 20 831041813 0 149776.66 Standard 24 21 831042151 0 205582.54 None 0 0 831042152 0 299291.05 None 0 0 831042155 0 147820.05 None 0 0 831042158 0 175987.56 None 0 0 831042161 0 183476.41 None 0 0 831042364 0 216462.21 3 mo int 24 21 831042365 0 90874.35 2 mo int on 66% if less than 8% 24 21 831042366 249500 199324.37 Standard 24 21 831042368 182000 145398.94 Standard 24 21 831042370 0 265417.23 None 0 0 831042372 0 107881.33 3% / 2% / 1% 24 21 831042375 0 159716.88 2 mo int on 66% if less than 8% 24 21 831042376 0 211957.31 None 0 0 831042535 0 282473.47 Standard 24 20 831042537 0 149808.04 Standard 24 21 831042540 181500 145200 None 0 0 831042542 0 329372.13 Standard 36 33 831042543 0 124849.51 Standard 36 33 831042545 0 142356.09 Standard 36 33 831042549 0 319075.54 Standard 36 33 831042550 0 219060.65 Standard 24 21 831042554 0 248253.66 Standard 24 21 831042555 0 175783.29 Standard 24 21 831042556 0 162102.74 Standard 24 21 831042557 0 156219.72 Standard 24 21 831042559 0 319693.8 None 0 0 831042560 0 254440.5 Standard 12 9 831042718 0 279000 Standard 36 33 831042719 0 135771.95 Standard 24 21 831042721 0 195887.33 Standard 36 34 831042724 295000 250398.46 Standard 24 21 831043120 0 91898.91 Standard 24 21 831043133 0 272474.15 Standard 12 8 831043187 0 219704.97 Standard 12 8 831043215 0 177609.1 Standard 36 33 831043302 0 204227.13 Standard 12 9 831043555 0 155277.92 PIF - 1% of OPB ; Partial - 1% amt ppd 12 8 831043557 0 298796.42 Standard 24 20 841003509 0 50958.85 1% of amt prepaid 24 22 841004581 0 65000 1% of amt prepaid 36 35 841004618 117600 111593.63 1% of amt prepaid 24 21 841004667 0 71135.92 1% of amt prepaid 24 21 841004791 0 139980.34 1% of amt prepaid 36 33 841004798 140000 111921.78 1% of amt prepaid 24 22 841005059 139900 111920 1% of amt prepaid 24 21 841005079 0 82427.02 1% of amt prepaid 24 21 841005180 0 140055.34 1% of amt prepaid 24 22 841005196 161105 128684.3 1% of amt prepaid 36 33 841005255 75000 59879.35 1% of amt prepaid 24 22 841005304 119900 95920 1% of amt prepaid 24 21 841005318 88500 83961.56 1% of amt prepaid 24 21 841005324 0 50242.97 Standard 24 22 841005363 112500 95440.2 1% of amt prepaid 24 21 841005380 87250 69719.39 1% of amt prepaid 36 33 841005425 134250 107331.52 1% of amt prepaid 24 22 841005438 0 214236.04 1% of amt prepaid 36 34 841005479 122150 97574.51 1% of amt prepaid 24 21 841005488 57000 54101.8 Standard 24 21 841005528 124500 99529.7 1% of amt prepaid 24 22 841005538 75000 59923.06 1% of amt prepaid 24 22 841005564 122000 109739.39 1% of amt prepaid 24 22 841005565 65000 58434.78 1% of amt prepaid 24 21 841005578 74900 59823.34 1% of amt prepaid 24 22 841005594 76000 60724.54 1% of amt prepaid 24 22 841005598 0 68214.61 1% of amt prepaid 24 22 841005605 111000 105381.37 1% of amt prepaid 24 22 841005620 103900 83050.51 1% of amt prepaid 24 22 841005675 0 198605.43 1% of amt prepaid 24 22 841005690 0 104930.25 1% of amt prepaid 36 35 841005691 205000 184275.21 None 0 0 841005711 0 74203.78 1% of amt prepaid 36 35 841005714 0 109200 1% of amt prepaid 24 22 841005728 0 99872.02 1% of amt prepaid 24 22 841005742 0 143885.41 1% of amt prepaid 24 22 841005750 110000 98946.49 1% of amt prepaid 24 22 841005752 75000 59968.73 1% of amt prepaid 36 34 841005755 123000 98400 1% of amt prepaid 24 22 841005792 169452 135446.67 1% of amt prepaid 24 22 841005794 125000 100000 1% of amt prepaid 24 22 841005813 70000 59475.32 1% of amt prepaid 24 22 841005815 0 229500 1% of amt prepaid 24 23 841005834 0 56083.66 1% of amt prepaid 24 22 841005855 0 99750 1% of amt prepaid 24 23 841005881 164900 131831.31 1% of amt prepaid 36 34 841005893 0 116776.95 1% of amt prepaid 24 22 841005896 0 152842.05 1% of amt prepaid 24 22 841005912 0 146132.79 1% of amt prepaid 24 22 841005921 112000 89539.76 1% of amt prepaid 24 22 841005931 102000 91749.76 1% of amt prepaid 24 22 841005954 154500 130906.49 1% of amt prepaid 24 22 841005983 0 143429.41 1% of amt prepaid 24 23 841005988 0 107232.58 1% of amt prepaid 24 22 841006003 0 187867.67 1% of amt prepaid 36 34 841006012 0 134132.53 1% of amt prepaid 24 22 841006014 0 220640.2 1% of amt prepaid 24 22 841006015 0 270000 1% of amt prepaid 24 22 841006017 0 131922.25 1% of amt prepaid 36 34 841006021 0 152000 1% of amt prepaid 24 23 841006039 122500 97912.63 1% of amt prepaid 24 22 841006043 0 70433.11 1% of amt prepaid 24 22 841006049 0 95936.88 1% of amt prepaid 24 22 841006059 144500 115111.9 1% of amt prepaid 24 22 841006062 0 89952.35 1% of amt prepaid 24 22 841006063 0 123673.86 1% of amt prepaid 24 22 841006065 0 131191.31 Standard 24 22 841006066 0 55867.37 1% of amt prepaid 24 22 841006068 0 108908.54 1% of amt prepaid 24 23 841006071 0 223752.5 1% of amt prepaid 24 22 841006073 0 184500 1% of amt prepaid 24 22 841006074 0 60725.33 1% of amt prepaid 24 22 841006088 0 228800 1% of amt prepaid 24 23 841006091 0 225745.32 1% of amt prepaid 24 22 841006094 154000 123200 1% of amt prepaid 24 22 841006097 0 178967.33 1% of amt prepaid 24 23 841006098 0 167864.99 1% of amt prepaid 24 22 841006100 0 288735.07 1% of amt prepaid 36 34 841006101 0 59468.17 1% of amt prepaid 24 23 841006108 0 67958.81 1% of amt prepaid 24 23 841006113 0 54127.54 1% of amt prepaid 24 22 841006130 104500 104326.22 1% of amt prepaid 24 22 841006133 0 64969.03 1% of amt prepaid 24 22 841006135 0 113930.23 1% of amt prepaid 24 22 841006153 0 216623.82 1% of amt prepaid 24 22 841006155 152900 122320 1% of amt prepaid 24 23 841006165 0 135898.7 1% of amt prepaid 36 34 841006172 0 99383.94 1% of amt prepaid 24 22 841006175 0 95134.16 1% of amt prepaid 24 22 841006189 0 116447.39 1% of amt prepaid 24 22 841006190 0 200168.98 1% of amt prepaid 24 22 841006195 0 144500 1% of amt prepaid 24 23 841006200 0 195539.27 1% of amt prepaid 36 34 841006218 0 94312.99 1% of amt prepaid 36 34 841006224 0 160452.74 1% of amt prepaid 24 23 841006225 0 112413.97 1% of amt prepaid 24 22 841006230 0 171852.09 1% of amt prepaid 24 23 841006234 200000 129785.48 1% of amt prepaid 24 22 841006235 0 174400 None 0 0 841006237 0 132189.4 1% of amt prepaid 24 23 841006241 0 159600 1% of amt prepaid 24 23 841006242 0 134309.52 1% of amt prepaid 24 23 841006253 0 183849.15 1% of amt prepaid 24 23 841006256 0 111150 1% of amt prepaid 36 35 841006262 0 130199.95 1% of amt prepaid 24 22 841006265 0 136000 1% of amt prepaid 24 23 841006273 0 57571.67 1% of amt prepaid 24 23 841006274 0 62337.76 1% of amt prepaid 36 34 841006283 0 139422.2 1% of amt prepaid 24 23 841006321 0 210000 1% of amt prepaid 24 23 841006334 0 52700 Standard 24 23 841006374 0 104000 1% of amt prepaid 24 23 841006375 0 154691.84 1% of amt prepaid 24 23 841006419 0 85400 1% of amt prepaid 36 35 841006505 0 134922.33 1% of amt prepaid 24 23 851000607 0 185851.99 None 0 0 851000644 0 171827.96 Standard 24 21 851000710 160000 143817.59 None 0 0 851000911 0 146893.07 None 0 0 851000924 85000 76420.88 None 0 0 851000945 0 139675.55 None 0 0 851000980 0 160904.64 None 0 0 851000991 0 268000 None 0 0 851001026 0 201998.28 None 0 0 851001039 0 268721.8 None 0 0 851001083 0 149706.28 None 0 0 851001085 0 309382.67 None 0 0 851001109 285000 227847.02 None 0 0 851001122 0 155000 None 0 0 851001132 0 176847.61 None 0 0 851001138 0 271741.92 None 0 0 851001146 0 165281.85 None 0 0 851001159 0 87914.01 None 0 0 851001160 0 174853.7 None 0 0 851001165 0 100509.19 None 0 0 851001171 0 326712.56 Standard 12 10 851001185 0 254798.7 None 0 0 851001187 0 325000 None 0 0 851001200 0 254759.91 None 0 0 851001210 0 249831.91 None 0 0 851001217 0 113342.74 Standard 12 10 851001222 0 184834.37 None 0 0 851001229 0 168847.23 None 0 0 851001247 0 314805.21 None 0 0 851001250 0 156376.7 None 0 0 851001252 0 291850 None 0 0 851001261 0 260854.44 None 0 0 851001272 0 224156.96 None 0 0 851001280 0 190000 None 0 0 851001296 0 199759.31 None 0 0 871000575 0 188878.24 None 0 0 871000653 155820 153645.98 None 0 0 871000831 0 64902.24 None 0 0 871000938 0 382089.15 None 0 0 871000962 0 257000 None 0 0 871000971 0 210478.37 None 0 0 871000973 0 242804.71 None 0 0 871000994 0 186083.96 None 0 0 871000996 0 562078.35 None 0 0 871001016 260000 233571.65 Standard 12 10 871001032 0 215913.23 None 0 0 871001046 0 236453.69 None 0 0 871001076 300000 224852.07 None 0 0 871001096 0 220327.09 None 0 0 871001108 0 219659.11 None 0 0 871001110 0 199193.34 None 0 0 871001130 0 149991 None 0 0 871001141 0 154000 None 0 0 871001144 0 215686.35 None 0 0 871001148 0 115415.98 None 0 0 871001158 0 405000 None 0 0 871001169 0 434532.86 None 0 0 871001178 365000 328326.09 None 0 0 871001180 0 107934.09 Standard 36 34 871001188 215000 193357.83 Standard 24 22 871001199 0 359704.91 None 0 0 871001209 0 165597.22 None 0 0 871001216 0 303802.16 None 0 0 871001219 0 286250 None 0 0 871001232 0 174974.43 None 0 0 871001253 0 350682.69 None 0 0 871001261 0 340000 None 0 0 871001275 0 220359.4 None 0 0 871001276 0 280500 None 0 0 871001281 0 265000 None 0 0 871001282 0 259782.64 None 0 0 871001284 0 127393.41 None 0 0 871001286 0 216608.93 None 0 0 871001293 0 199855.97 None 0 0 871001300 0 213664.54 None 0 0 871001313 0 159873.69 None 0 0 871001315 0 314805.21 None 0 0 871001326 0 290736.93 None 0 0 871001327 0 331227.74 None 0 0 871001330 0 147871.32 None 0 0 871001356 0 149875.83 None 0 0 871001358 0 295804.48 None 0 0 871001366 0 131025.57 None 0 0 911000339 0 288779 Standard 24 22 911000349 0 118300.04 Standard 24 22 911000364 0 210000 Standard 24 22 911000370 0 124716.09 Standard 24 22 ----------------------------------------------------------------------------- 4,386 ----------------------------------------------------------------------------- 011074337 0 599682.37 Standard 24 22 011074652 0 552144.08 Standard 24 22 011074732 519900 415920 Standard 24 21 011074776 0 416000 Standard 24 21 011074810 565000 452000 Standard 24 21 011074871 414820 331856 Standard 24 21 011074924 254000 164689.07 Standard 24 22 011074926 550390 439816.22 Standard 36 33 011075083 414000 358400 Standard 24 22 011075105 0 845000 Standard 24 22 011075107 505000 404000 Standard 24 21 011075126 335000 268000 Standard 24 21 011075179 540000 513000 Standard 24 22 011075199 0 370000 Standard 24 22 011075296 302000 241521.48 Standard 24 22 011075315 0 74833.58 Standard 36 34 011075319 0 450062.54 Standard 24 22 011075348 0 407433.73 Standard 24 22 011075375 564000 278752.64 Standard 24 22 011075391 0 437000 Standard 24 22 011075424 0 389730.24 None 0 0 011075426 245000 196000 Standard 24 22 011075457 0 464000 Standard 24 23 011075514 0 429400 Standard 24 22 011075553 0 479735.07 Standard 24 23 011075564 0 91957 Standard 36 34 011075571 0 74971.7 Standard 36 34 011075577 0 400000 Standard 24 22 011075587 0 121943.08 Standard 24 22 011075712 357900 71580 Standard 24 23 021063046 0 1000000 Standard 36 33 021063652 715000 643500 Standard 24 21 021063699 0 400000 Standard 24 20 021063802 0 435500 Standard 24 21 021064053 508000 396000 Standard 24 21 021064099 439700 351760 Standard 24 21 021064101 277925 250132.5 Standard 24 22 021064134 257400 205920 Standard 24 21 021064232 0 412144.84 Standard 24 22 021064258 374500 299600 Standard 24 22 021064285 360000 288000 Standard 24 21 021064297 385000 308000 Standard 24 21 021064312 485000 388000 Standard 24 22 021064333 267000 213076.83 Standard 36 33 021064353 470125 376006.16 Standard 24 22 021064366 375000 299907 Standard 24 21 021064444 320000 288000 Standard 24 21 021064461 300000 239987.75 Standard 24 21 021064472 0 49982.74 Standard 36 34 021064494 465000 372000 Standard 24 22 021064525 569000 455200 Standard 24 22 021064527 500000 400000 None 0 0 021064561 245000 196000 Standard 24 22 021064593 407000 325500 Standard 36 34 021064599 366000 292800 Standard 24 22 021064605 0 549693.26 Standard 24 22 021064616 640000 512000 Standard 24 22 021064621 357000 284701.17 Standard 36 34 021064651 312000 249600 Standard 24 22 021064682 0 671432.66 Standard 24 22 021064686 0 463638.03 Standard 24 22 021064723 328000 262138.28 Standard 24 22 021064751 206000 164552.16 Standard 24 22 021064755 379000 302594.81 Standard 24 22 021064787 319950 239777.16 Standard 24 22 021064817 283000 226156.36 Standard 24 22 021064836 405000 323726.46 Standard 24 22 021064897 0 440800 Standard 24 22 021064903 0 129905.85 Standard 24 22 021064919 370000 296000 Standard 24 23 021064957 0 487595.88 Standard 24 22 021064962 585000 526109.27 Standard 24 22 021064966 546500 437200 Standard 24 22 021064983 420000 335665.51 Standard 24 22 021064987 287000 229400.37 Standard 24 22 021064993 0 497250 Standard 24 22 021065013 0 379461.86 Standard 24 22 021065045 0 519525.33 Standard 24 22 021065116 0 387000 Standard 24 22 021065132 0 374000 Standard 24 22 021065149 0 89414.36 None 0 0 021065167 0 425000 Standard 24 22 021065205 0 406600 Standard 24 22 021065209 277000 221478.7 Standard 24 22 021065265 429000 385618.36 Standard 36 34 021065275 0 423651.76 Standard 24 22 021065277 350000 314562.83 Standard 24 22 021065279 0 463250 Standard 36 35 021065294 0 68000 Standard 24 23 031033004 0 920500 None 0 0 031033011 375000 298794.14 Standard 24 20 031033302 0 81411.82 Standard 36 32 031033394 321789 257431.2 Standard 24 21 031033546 365000 292000 Standard 24 21 031033725 349900 279920 Standard 24 21 031033745 564900 451920 Standard 24 22 031033854 265000 237868.31 Standard 36 33 031033857 2635000 1972453.63 None 0 0 031033869 0 600000 Standard 24 21 031033887 205000 164000 Standard 24 21 031033904 236500 189052.88 None 0 0 031033989 625000 500000 Standard 24 21 031033991 0 692575.85 Standard 24 22 031033998 675000 540000 Standard 24 21 031034008 250000 200000 Standard 24 21 031034017 0 178532.35 Standard 24 21 031034038 257000 205600 Standard 24 22 031034106 276900 221520 Standard 24 21 031034124 375000 300000 Standard 24 21 031034142 315000 251977.5 Standard 24 21 031034168 257000 205580.37 Standard 24 21 031034213 405000 324000 Standard 24 21 031034234 620000 556200 Standard 24 21 031034243 0 360000 None 0 0 031034247 0 1600000 Standard 24 22 031034261 235000 188000 Standard 24 21 031034297 0 380000 None 0 0 031034299 222662 178129 Standard 24 21 031034301 354900 283920 Standard 36 34 031034305 224000 179200 Standard 24 22 031034390 0 360000 Standard 24 22 031034394 0 414254.91 Standard 24 22 031034428 285000 226728.56 Standard 24 22 031034457 0 99929.17 Standard 36 34 031034463 275000 215995.25 Standard 24 22 031034467 0 513500 Standard 24 22 031034478 212900 169995.94 Standard 36 34 031034490 344900 275920 Standard 24 22 031034551 0 91971.18 Standard 36 34 031034553 0 79911.37 Standard 36 34 031034554 850000 637026.89 Standard 24 22 031034603 0 727402.09 Standard 24 22 031034609 0 371000 Standard 24 22 031034656 0 415688.67 Standard 24 22 031034676 630000 531200 Standard 24 22 031034684 0 410000 Standard 24 22 031034715 0 771557.81 Standard 24 22 031034735 0 1200000 Standard 24 22 031034738 760615 684553 Standard 24 22 031034740 0 464756.4 Standard 24 22 031034747 0 390364.75 Standard 24 22 031034788 249950 199590.4 Standard 24 22 031034808 0 369751.23 Standard 24 22 031034883 0 457500 Standard 24 23 031034884 0 53947.23 Standard 36 35 031034926 0 432000 Standard 24 22 031034933 0 64967.24 Standard 36 34 031034935 0 435200 Standard 24 22 031034967 0 76228.13 Standard 36 34 031035009 0 395249.74 Standard 24 22 031035017 0 391652.46 Standard 24 22 031035018 0 490000 Standard 36 34 031035039 779000 623200 Standard 24 22 031035066 0 363634.15 Standard 36 34 031035069 0 799462.13 Standard 24 22 031035089 960000 718621.3 Standard 24 22 031035115 0 399717.68 Standard 24 22 031035125 0 83469.57 Standard 36 34 031035144 0 379620.98 Standard 24 22 041062638 416618 374714.45 None 0 0 041066297 404900 323900 None 0 0 041066555 254000 202766.96 None 0 0 041066868 470000 376000 None 0 0 041066953 0 66526.21 Standard 24 22 041067506 107900 91619.53 None 0 0 041067513 206900 165163.59 Standard 24 22 041067515 185866 167137.77 Standard 24 22 041067679 0 360418.04 None 0 0 041067691 175000 166146.25 None 0 0 041067707 0 531000 None 0 0 041067775 283000 226036.83 None 0 0 041067803 225000 179845.02 None 0 0 041067837 165000 156532.45 None 0 0 041067862 437500 282286.11 None 0 0 041067873 195327 156143.29 Standard 24 22 041068069 0 487195.44 None 0 0 041068127 0 360000 None 0 0 041068421 0 640000 None 0 0 051057001 225000 182263.27 None 0 0 051057092 82000 65507.1 Standard 24 21 051057134 200000 159709.93 None 0 0 051057195 217990 174392 1% of UPB 24 21 051057971 220400 176320 None 0 0 051057980 191000 181336.64 None 0 0 051058081 198500 158669.83 None 0 0 051058134 247870 222919.75 None 0 0 051058143 196425 156932.68 None 0 0 051058344 245000 195634.21 None 0 0 051058367 379900 303531.07 1% of UPB 24 22 061056430 218005 206869.72 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 061057570 0 49960.94 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061057633 0 82899.11 Standard 24 21 061058329 0 72445.76 PIF - 1% of OPB ; Partial - 1% amt ppd 24 21 061058613 220000 176000 Standard 24 21 061058645 0 54979.52 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061058687 0 79858.17 1% of amt prepaid 36 34 061058711 227000 215650 PIF - 1% of OPB ; Partial - 1% amt ppd 24 21 061058751 64500 61236.33 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061058811 86527 69127.45 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061059145 195000 175201.96 1% of amt prepaid 24 22 061059157 0 99807.8 Standard 36 34 061059234 0 101401.85 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061059484 0 113923.51 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 061059510 0 80954.36 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 071065546 208600 176916.29 Standard 24 21 071065969 240600 216540 Standard 24 21 071066066 0 145346.54 Standard 24 21 071066099 0 116840.87 Standard 12 10 071066231 283000 226400 Standard 24 21 071066324 304982 242526.44 Standard 36 34 071066398 581000 551950 Standard 24 22 071066408 220000 176000 Standard 24 21 071066416 244900 193546.87 Standard 24 22 071066438 340000 272000 Standard 24 22 071066453 0 88442.4 Standard 24 22 071066477 195000 156000 Standard 24 22 071066510 244900 232469.87 Standard 24 22 071066532 0 400022.94 Standard 24 22 071066533 0 97615.7 Standard 24 22 071066562 385000 307507.53 Standard 36 33 071066587 0 127837.6 Standard 36 34 071066599 0 172666.53 Standard 24 22 071066630 0 77215.46 Standard 24 22 071066640 360500 288309.15 Standard 24 22 071066718 0 393250 Standard 24 22 071066725 175000 157356.23 Standard 24 22 071066749 319000 254964.78 Standard 24 22 071066849 267000 240101.78 Standard 24 23 071066879 0 160882.89 Standard 36 34 071066893 178300 169261.79 Standard 24 22 071066955 0 110100.04 Standard 24 22 071066974 0 112000 Standard 36 35 071067011 265000 164741.8 Standard 24 22 071067016 0 359732.96 Standard 36 35 071067068 715000 571048.37 Standard 24 22 071067102 0 437168.76 Standard 36 35 071067145 369900 404402.98 Standard 24 22 071067147 0 1099133.33 Standard 24 22 071067271 0 374000 Standard 24 23 081054655 105000 83892.51 2% of ppd amt 24 22 081054964 0 377436.97 2 mo int on 66% if less than 8% 36 33 081054970 0 448646.78 2 mo int on 66% if less than 8% 24 20 081055146 360397 324357 2% of ppd amt 24 21 081055183 495000 396000 2% of ppd amt 24 21 081055432 399382 319200 Standard 36 33 081055607 365350 291385.89 2% of ppd amt 24 21 081055655 270000 216000 2% of ppd amt 24 21 081055722 0 397500 2% of ppd amt 36 34 081055785 403000 319641.74 2% of ppd amt 24 21 081055806 0 607608.32 2% of ppd amt 24 22 081055818 270900 216710.15 2% of ppd amt 24 21 081055831 264000 197806.49 2% of ppd amt 24 21 081055954 211500 169055.74 2% of ppd amt 24 22 081055965 529000 422343.94 2% of ppd amt 24 22 081056080 240000 191719.8 2% of ppd amt 24 22 081056084 320000 63979.54 2% of UPB 24 22 081056205 0 123920.93 2% of ppd amt 24 22 081056243 0 453792.2 2% of ppd amt 24 22 081056256 0 152150 2% of ppd amt 24 23 081056319 0 198641.21 2% of ppd amt 24 23 081056363 0 650000 2% of ppd amt 24 23 081056411 0 444616.87 2% of ppd amt 24 22 081056475 0 99761.34 2% of ppd amt 24 23 081056477 0 89945.48 2% of ppd amt 24 22 101047566 0 72466.41 Standard if less than 12% 24 21 101047647 0 419655.05 None 0 0 101047671 198378 158702 Standard if less than 12% 24 21 101047690 251000 200468.56 Standard 24 22 101047935 0 425670.97 None 0 0 101048057 255000 203719.72 None 0 0 101048099 170000 161355.41 Standard if less than 12% 24 22 101048119 280000 223682.8 Standard if less than 12% 24 22 101048127 372900 298320 Standard if less than 12% 24 22 101048172 247000 197600 1% of UPB 24 22 101048232 0 70190.24 Standard if less than 12% 36 34 101048300 198000 158242.31 Standard if less than 12% 36 34 101048365 675000 540000 Standard if less than 12% 24 22 101048395 219000 207922.66 Standard if less than 12% 24 22 101048456 232500 220566.86 Standard if less than 12% 24 22 111000026 1495000 1194715.35 Standard 24 22 111000106 198000 177867.69 Standard 24 22 121038676 233900 185613.74 2 mo int or 60 days int on UPB 24 21 121039372 218500 196382.53 None 0 0 121039386 259300 233086.26 None 0 0 121039466 224900 179593.2 2 mo int or 60 days int on UPB 36 33 121039628 210000 167766.36 2 mo int or 60 days int on UPB 24 22 121039630 197500 157896.96 2 mo int or 60 days int on UPB 24 22 121039710 253900 203120 None 0 0 121039893 202000 181710.94 2 mo int or 60 days int on UPB 36 33 121039975 445000 356000 2 mo int or 60 days int on UPB 24 21 121040107 225000 167882.62 None 0 0 121040335 0 61167.6 None 0 0 121040370 231400 184968.26 2 mo int or 60 days int on UPB 24 22 121040384 0 400174.94 None 0 0 131032549 249900 199597.71 2% of ppd amt 24 21 131032710 234900 187628.84 Standard 36 34 131032928 316000 252577.62 Standard 24 22 131032945 0 82464.65 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 131032994 83000 70453.86 PIF - 1% of OPB ; Partial - 1% amt ppd 36 34 131033142 240000 191631.17 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 131033203 195000 155847.65 PIF - 1% of OPB ; Partial - 1% amt ppd 24 22 141046269 0 468418.5 Standard 12 10 141046552 300000 254879.68 Standard 24 21 141046823 214900 193125.67 Standard 12 10 141046949 0 69970.65 None 0 0 141047215 310000 199619.49 None 0 0 141047289 200000 159851.09 Standard 24 22 141047351 0 438573.32 Standard 12 10 141047373 469000 268826.36 Standard 12 10 141047404 252000 201391.51 Standard 24 22 141047472 212000 169274.2 None 0 0 141047487 0 459180.51 Standard 12 10 141047552 280686 224548 Standard 36 33 141047599 0 495182.89 Standard 12 10 141047606 0 131291.23 Standard 36 34 141047620 0 419692.28 Standard 12 10 141047624 220000 176000 Standard 24 22 141047681 0 452000 Standard 24 23 141047696 0 99950.82 None 0 0 141047756 0 659426.17 Standard 12 10 141047818 0 138775.35 None 0 0 141047849 0 548250 Standard 12 11 141047850 325000 189743.65 None 0 0 141047878 0 419702.5 Standard 12 10 141047925 600000 359701.17 Standard 12 10 141047938 0 461617.55 None 0 0 141047984 196500 186574.09 Standard 12 10 141048113 0 86966.17 None 0 0 141048169 325000 308525.41 Standard 24 23 151028221 770000 528475.15 Standard 24 21 151028321 250000 199374.54 Standard 24 21 151028464 0 382850.2 Standard 36 34 151028512 212800 170020.49 Standard 36 33 151028561 209900 167694.94 Standard 24 22 151028614 0 628994.39 None 0 0 151028661 0 712500 Standard 24 22 151028671 0 51636.08 None 0 0 151028704 259900 207415.73 Standard 36 33 151028707 165000 156521.24 None 0 0 151028738 445000 311226.51 Standard 24 22 151028863 257500 244392.89 Standard 24 22 151028925 426569 298061.9 Standard 24 22 151029075 0 105511.65 None 0 0 151029118 0 112919.45 Standard 36 34 151029133 0 998287.78 None 0 0 151029164 650000 583865.4 Standard 24 22 161040801 555000 442995.29 None 0 0 161040994 0 99963.16 None 0 0 161041019 277000 221015.93 2% of UPB 12 9 161041061 464000 370259.07 None 0 0 161041256 310000 247490.6 None 0 0 161041268 199900 179660.85 Standard 24 22 161041331 359900 287920 Standard 24 22 161041337 356000 284799.42 None 0 0 161041377 246000 171806.45 None 0 0 161041391 0 577500 None 0 0 161041424 205900 164386.2 None 0 0 161041486 349900 279412.53 None 0 0 161041487 248000 198400 None 0 0 161041521 280000 252000 None 0 0 161041522 0 1118158.53 None 0 0 161041523 210200 167811.09 None 0 0 161041596 216500 183760.32 None 0 0 161041601 600000 569247.95 3 mo int 24 21 161041638 0 546250 None 0 0 161041721 259900 207746.18 2% of UPB 12 10 161041735 217450 206208.18 None 0 0 161041819 0 824387.73 None 0 0 161041835 0 400000 None 0 0 161041871 198500 158538.9 None 0 0 161041900 202000 161381.26 None 0 0 161041931 575000 459228.67 None 0 0 161041934 0 414602.42 None 0 0 161041941 287000 229417.3 None 0 0 161041956 0 999828.75 None 0 0 161041968 0 373500 None 0 0 161041969 265000 212000 None 0 0 161041996 259900 207920 Standard 24 22 161042001 0 475999.33 None 0 0 161042056 0 624584.88 None 0 0 161042091 284000 227199.33 None 0 0 161042111 0 51208.09 Standard 36 34 161042139 0 521693.4 None 0 0 161042214 389000 310947.42 None 0 0 161042244 0 463619.67 None 0 0 161042261 0 369638.93 None 0 0 161042279 0 414000 None 0 0 161042309 415000 331271.29 None 0 0 161042312 228000 182265.98 None 0 0 161042330 0 399000 None 0 0 161042397 0 514569.46 None 0 0 161042509 0 484500 None 0 0 161042546 209300 167098.71 Xxxx 0 0 000000000 0 00000 Xxxx 0 0 171025207 285000 228000 Standard 24 22 171025459 227000 181600 Standard 24 21 171025480 406000 362000 Standard 24 21 171025501 118000 94148.9 Standard 24 21 171025584 265000 212000 Standard 24 21 171025606 429000 343200 Standard 24 22 171025685 234246 187397 Standard 24 21 171025721 176550 192000 Standard 24 21 171025774 195000 156000 Standard 24 21 171025825 210000 167871.53 Standard 36 34 171025827 236000 187668.97 Standard 36 34 171025873 220000 176000 Standard 36 33 171025899 230000 184000 Standard 24 21 171025902 206000 164800 Standard 24 22 171025949 0 579287.52 Standard 24 22 171026043 0 674000 Standard 24 22 171026061 671000 603354.07 Standard 24 22 171026065 479700 455334.02 Standard 24 22 171026280 228000 182332.97 Standard 24 22 171026363 175000 148642.88 Standard 24 22 171026539 365000 73000 Standard 24 23 191024325 220000 176000 None 0 0 191024506 220000 186553.82 Standard 24 21 191024645 0 438100 Standard 24 21 191024655 212000 169600 Standard 36 33 191024718 279950 265580.89 Standard 24 22 191024783 206000 164773.02 Standard 24 21 191024797 200000 159656.31 Standard 36 33 191025000 250000 199830.2 Standard 36 34 191025003 160000 165747.86 Standard 12 10 191025076 0 99816.67 None 0 0 191025142 59000 66677.43 Standard 24 22 191025329 0 573750 Standard 24 22 191025334 0 684000 Standard 24 22 191025366 0 960000 Standard 24 23 211027716 334900 267652.78 1% of amt ppd if loan greater than $150K 24 22 211027859 194841 155603.63 Standard 24 21 211028328 0 56435.48 Standard 24 20 211028454 227000 181219.92 None 0 0 211028872 298000 238138.38 Standard 24 22 211029017 285000 227813.11 None 0 0 211029389 559000 446620.67 None 0 0 211029451 215622 172358.32 2% of ppd amt 24 22 211029468 200000 160000 2 mo int on 66% if less than 8% 24 21 211029632 0 386539.39 None 0 0 211029709 885715 744000 2% of ppd amt 24 21 211029801 209900 167781 2% of ppd amt 24 22 211029807 0 828739.29 2 mo int on 66% if less than 8% 24 22 211029843 274900 219920 2 mo int on 66% if less than 8% 24 21 211029876 365000 292000 2% of ppd amt 24 22 211029893 225000 179845.02 Standard 24 22 211029926 175315 140191.26 None 0 0 211029940 0 99937.03 None 0 0 211030002 245000 195674.56 None 0 0 211030068 275000 220000 Standard 24 22 211030136 454782 409303.8 Standard 24 21 211030165 0 55149.59 Standard 24 20 211030442 310000 247775.8 None 0 0 211030477 420000 335740.48 None 0 0 211030549 0 399947.4 Standard 24 22 211030699 210300 168113.89 Standard 24 22 211030736 337500 269418.63 Standard 24 22 211030757 495000 392850.8 Standard 24 22 211030811 500000 448865.38 None 0 0 211031060 200000 156663.67 2% of ppd amt 24 22 211031250 0 83173.41 None 0 0 211031357 0 58475.47 3% / 2% / 1% 24 21 211031733 280000 56000 None 0 0 231063447 310000 247821.04 None 0 0 231063923 304500 243328.31 2% of UPB 12 10 231064005 438000 350155.17 Standard 12 11 231064142 385000 307127.48 None 0 0 231064168 390000 311549.21 None 0 0 231064423 377000 245000 None 0 0 231064511 320000 255968 None 0 0 231064519 425000 275592.46 Standard 12 9 231064852 200500 190194.21 Standard 36 34 231064985 449900 359824.4 None 0 0 231065320 350000 314412.12 None 0 0 231065409 230000 183950.07 None 0 0 231065468 222500 177716.71 None 0 0 231065491 335000 196324.07 None 0 0 231065633 337000 269600 None 0 0 231065653 265000 238500 None 0 0 231065666 650000 617500 None 0 0 231065742 269900 215734.1 2% of UPB 12 10 231065773 324000 258963.39 None 0 0 231065808 0 489557.04 Standard 12 11 231065811 350000 279998.15 None 0 0 231065821 203500 162511.71 None 0 0 231065837 255000 237679.55 None 0 0 231065861 390000 370500 None 0 0 231065991 347000 329650 None 0 0 231065992 190000 171000 Standard 24 21 231066010 420000 335212.53 Standard 36 33 231066023 292300 204228.22 None 0 0 231066138 225000 179699.6 None 0 0 231066158 235000 211175.53 None 0 0 231066186 259900 207920 2% of UPB 12 10 231066245 339000 271199.24 None 0 0 231066309 215000 171881.03 Standard 24 22 231066348 169000 160260.34 Standard 36 33 231066516 255000 203848.6 None 0 0 231066545 0 539271.46 None 0 0 231066604 0 658400 Standard 24 22 231066615 265400 212320 None 0 0 231066637 250000 199713.91 None 0 0 231066714 287500 229656.86 Standard 24 21 231066765 272000 229842.52 None 0 0 231066770 350000 279807.89 None 0 0 231066773 195000 185250 Standard 36 35 231066780 0 446000 None 0 0 231066803 370800 295550.4 Standard 12 10 231066851 0 74191.5 2% of ppd amt 24 22 231066893 360294 287939.93 Standard 24 22 231066922 347500 278000 None 0 0 231066948 0 425000 None 0 0 231066967 175000 166148.25 None 0 0 231067030 175900 158178.95 Standard 24 22 231067166 0 426794.39 None 0 0 231067202 0 499398.26 None 0 0 231067231 0 519430.83 None 0 0 231067272 203000 162063.66 None 0 0 231067389 225000 213565.96 Standard 24 22 231067498 225000 179712.69 None 0 0 231067515 435000 299765.97 Standard 12 10 231067645 0 193800 2% of ppd amt 24 23 231067808 288000 273375.29 None 0 0 231067822 265000 224897.51 None 0 0 231067841 255000 207804.54 None 0 0 231067971 215000 204101.42 Standard 24 22 231068009 195000 155739.83 Standard 24 22 231068212 0 450055.8 None 0 0 231068276 449000 425722.42 None 0 0 231068498 700000 629537.11 None 0 0 251036778 0 510000 Standard 24 22 261052037 89900 71872.21 None 0 0 271020969 525000 471451.93 2% of ppd amt 24 21 271021083 0 453276.17 Standard 36 32 271021327 0 134898.99 Standard 36 33 271021423 318000 254400 Standard 12 10 271021992 0 388959.72 None 0 0 271022262 0 456000 Standard 12 10 271022347 0 510000 None 0 0 271022387 0 59772.69 Standard 36 34 271022415 0 50984.38 None 0 0 271022457 0 49969.39 Standard 12 10 271022474 0 702435.04 Standard 24 22 271022664 0 385000 2 mo int on 66% if less than 8% 24 23 281015176 0 49964.73 None 0 0 281015605 0 88161.81 Standard 24 22 291000688 0 433713.65 None 0 0 301000953 425337 339929.39 Standard 36 33 301001212 247000 197600 Standard 24 21 301001363 360000 286988.46 Standard 24 21 301001391 197500 157895.7 Standard 36 34 301001508 0 426654.91 Standard 24 22 301001654 368000 331200 Standard 24 22 311026904 360000 287761.59 None 0 0 311027016 427500 384130.12 None 0 0 311027100 235000 179673.76 None 0 0 311027180 312000 279792.2 None 0 0 311027332 335000 318250 None 0 0 311027378 225000 179712.69 None 0 0 311027379 250000 224844.38 None 0 0 311027410 0 424671.74 Standard 24 22 311027443 0 74186.08 Standard 24 22 321024148 376489 301191 Standard 24 22 321025553 0 377414.3 Standard 24 21 321025807 209000 167144.82 Standard 24 21 321025933 249000 199200 Standard 24 21 321026019 277000 221600 Standard 24 21 321026052 232900 186192.43 Standard 36 33 321026110 247350 197880 Standard 24 21 321026144 259900 207920 Standard 24 22 321026204 313000 250400 Standard 24 21 321026251 360000 288000 Standard 24 22 321026270 205900 164679.51 Standard 24 22 321026277 215780 172582.81 Standard 24 21 321026455 265000 212000 Standard 24 22 321026471 230000 184000 Standard 24 22 321026539 343000 274400 Standard 24 22 321026541 340000 272000 Standard 24 22 321026610 236000 188800 Standard 24 22 321026685 325000 259835.89 Standard 36 34 321026799 214192 229317.38 Standard 24 22 331034363 638000 508562.76 Standard 12 9 331034859 0 447111.13 None 0 0 331035120 600000 496553.66 Standard 12 9 331035612 0 678488.28 Standard 12 9 331035989 0 486313.37 Standard 12 8 331036007 0 571000 Standard 12 9 331036093 0 57875.21 None 0 0 331036096 0 568000 Standard 12 9 331036146 0 472075.07 None 0 0 331036282 0 99920.17 None 0 0 331036286 0 79953.89 None 0 0 331036372 349000 244163.75 None 0 0 331036427 240000 191841.06 None 0 0 331036555 650000 480000 Standard 12 10 331036564 338000 303694.9 None 0 0 331036581 485000 435697.71 None 0 0 331036602 575000 516282.46 None 0 0 331036670 595000 534368.49 Standard 12 10 331036689 0 399652.22 Standard 12 10 331036725 0 189902.25 None 0 0 331036776 310000 278612.79 Standard 12 10 331036811 320000 255603.34 Standard 12 10 331036814 0 600000 Standard 12 10 331036815 375000 299736.61 Standard 12 10 331036843 515000 412000 Standard 12 9 331036877 0 112700.97 None 0 0 331036909 0 449041 None 0 0 331037100 0 116779.1 Standard 36 34 331037133 484000 386840.07 Standard 12 10 331037197 245000 215000 None 0 0 331037225 726000 646732.39 None 0 0 331037242 0 157924.95 None 0 0 331037329 0 429919.18 2% of ppd amt 36 34 331037338 0 493500 Standard 12 10 331037440 0 287857.59 None 0 0 331037449 0 536250 Standard 12 10 331037455 0 468000 Standard 12 10 331037474 0 384365.75 Standard 12 10 331037505 0 431732.86 None 0 0 331037508 0 484561.55 None 0 0 331037517 0 49980.56 None 0 0 331037518 352500 282000 Standard 12 11 331037539 0 472028.72 Standard 12 10 331037545 0 593511.02 Standard 12 10 331037547 0 391113.97 Standard 12 10 331037555 0 740000 Standard 12 10 331037578 0 573552.23 Standard 12 10 331037600 0 522027.65 None 0 0 331037607 535000 427616.83 Standard 12 10 331037623 0 124441.69 None 0 0 331037685 0 414659.16 Standard 12 10 331037726 0 59828.76 None 0 0 331037732 0 437500 Standard 12 11 331037743 0 683411.09 Standard 12 10 331037789 0 389664.22 Standard 12 10 331037799 0 573427.49 Standard 12 10 331037836 0 489550.08 Standard 12 10 331037867 0 569935.87 Standard 12 10 331037910 0 477250 Standard 12 11 331037915 0 440605.18 None 0 0 331038020 0 89809.02 None 0 0 331038025 400000 380000 Standard 12 11 331038080 0 122527 None 0 0 331038178 0 500000 Standard 12 11 331038180 0 401000 Standard 12 11 331038215 0 413250 Standard 24 23 331038297 0 417000 Standard 12 11 331038323 287000 258300 Standard 24 23 341024135 0 359353.64 1% of amt ppd if loan greater than $150K 24 21 341024217 363750 291000 None 0 0 341024245 206000 164800 None 0 0 341024520 269900 215920 1% of amt ppd if loan greater than $150K 24 21 341024733 167000 175263.23 None 0 0 341024819 57300 59478.55 None 0 0 341025038 0 438411.12 None 0 0 341025040 195174 156032.09 1% of amt ppd if loan greater than $150K 24 22 341025056 415000 399453.24 None 0 0 341025111 0 64924.93 None 0 0 341025639 204900 163692.78 1% of amt ppd if loan greater than $150K 24 22 351025718 405000 174158.3 Standard if less than 12% 36 33 351026471 0 562069.84 None 0 0 351026538 222859 178124.72 Standard if less than 12% 24 22 351026567 289300 231440 Standard if less than 12% 24 21 351026866 170000 161358.21 Standard if less than 12% 24 22 351027073 194900 155804.28 Standard if less than 12% 24 22 351027102 268985 168666.57 Standard if less than 12% 24 22 351027171 0 90958.88 Standard if less than 12% 36 34 351027263 0 746118.3 Standard if less than 12% 36 34 351027297 0 66279.27 3% / 2% / 1% 24 22 351027393 186000 176596.21 Standard if less than 12% 24 22 351027423 274000 218927.37 Standard if less than 12% 24 22 361023462 0 362144.22 1% of amt prepaid 24 22 361024028 0 259559.74 1% of amt prepaid 24 21 361024519 0 127920.04 1% of amt prepaid 36 34 361024525 208500 166800 1% of amt prepaid 24 21 361024653 282500 253745.25 1% of amt prepaid 24 22 361024798 234000 187200 1% of amt prepaid 24 21 361025009 0 360679.05 1% of amt prepaid 24 22 361025264 199000 159088.07 1% of amt prepaid 36 34 361025370 366000 292151.51 1% of amt prepaid 24 22 361025492 85000 68000 1% of amt prepaid 24 23 361025514 165000 156672.73 1% of amt prepaid 24 22 361025526 0 86400 1% of amt prepaid 36 35 361025653 0 450500 1% of amt prepaid 24 23 371025072 0 80693.01 Standard 24 22 371025297 439000 179518.59 Standard 36 33 371025364 0 67429.99 Standard 24 22 371025553 167000 158650 Standard 24 21 371025585 240000 203855.29 Standard 36 34 371025587 306850 291507 Standard 24 22 371025642 0 360457.1 Standard 24 21 371025726 475000 380000 Standard 24 21 371025735 300000 239772.28 Standard 36 34 371026051 165000 156734.33 Standard 24 22 371026178 242000 193362.18 Standard 24 22 371026187 199000 159200 Standard 24 22 371026202 0 97918.07 Standard 24 22 371026207 0 60812.9 Standard 36 34 371026256 180000 202243.49 Standard 24 22 371026287 300000 284634.4 None 0 0 371026312 220000 208384.35 Standard 24 22 371026364 245800 221071.57 Standard 24 22 371026410 0 94050 Standard 36 35 371026454 227890 181503.81 Standard 24 22 371026574 233000 209559.3 Standard 36 35 371026631 535000 427694.86 Standard 24 22 371026633 198000 156675.23 Standard 24 22 381020168 239000 190950 None 0 0 381020500 250500 200400 None 0 0 381020905 295000 199652.98 None 0 0 381021060 285000 227515.9 None 0 0 381021083 262000 209562.53 None 0 0 381021134 422000 158422.78 None 0 0 381021192 229000 182874.27 None 0 0 381021244 495000 394930.8 None 0 0 381021391 227500 182000 None 0 0 381021510 257500 205970.59 None 0 0 381021522 234000 187027.45 2% of UPB 12 10 381021534 425000 339764.83 None 0 0 381021546 0 74963.11 2% of UPB 12 10 381021560 0 517041.19 Standard 24 22 381021571 217000 173600 2% of UPB 12 10 381021586 335000 267550.61 None 0 0 381021600 275000 206101.47 2% of XXX 00 00 000000000 0 000000 Xxxx 0 0 381021669 0 479503.59 Standard 24 22 381021676 262000 209159.21 None 0 0 381021760 307000 245600 2% of UPB 12 10 381021776 238000 190400 2% of UPB 12 10 381021830 208000 166246.63 2% of UPB 12 10 381021873 244900 195900 2% of UPB 12 10 381021890 325000 259445.41 2% of UPB 12 10 381021915 366000 292519.49 None 0 0 381021917 0 49986.16 Standard 36 34 381021996 328500 279045.12 3 mo int 24 22 381022077 260000 184658.05 2% of UPB 12 10 381022103 299900 239680.7 2% of UPB 12 10 381022158 0 50001 Standard 12 11 381022160 0 392616.19 2% of UPB 12 10 381022183 0 785256.94 3 mo int 24 22 381022201 310000 247871.43 2% of UPB 12 10 381022292 225000 199743.34 2% of UPB 12 10 381022367 285000 227781.57 2% of XXX 00 00 000000000 0 00000 Xxxx 0 0 391012427 126000 100800 3% / 2% / 1% 36 35 391012438 0 425033.83 Standard 36 34 391012482 94000 75111.48 Standard 24 21 391012656 0 118060.54 Standard 36 34 391012738 318000 270062.68 3% / 2% / 1% 24 22 391012950 0 84961.18 3% / 2% / 1% 36 34 391013046 0 74704.58 Standard 24 22 401001252 0 636392.92 Standard 36 34 401001369 645000 450598.81 Standard 24 22 401001623 0 1232672.79 Standard 24 22 401001758 0 390675.68 Standard 24 23 401001763 0 360000 Standard 12 10 401001861 0 374000 None 0 0 401001886 0 783000 Standard 36 34 401002035 0 49972.41 Standard 36 34 401002054 0 412208.86 Standard 24 22 401002060 0 380279.2 Standard 24 22 401002117 0 101150 None 0 0 401002170 0 450000 1% of amt prepaid 24 22 401002254 0 49974.89 Standard 36 35 511034638 199900 159515.18 Standard 36 32 511035255 434490 347592 None 0 0 511035274 465000 372000 Standard 24 21 511035476 197500 158000 Standard 24 21 511035564 265450 212360 Standard 24 21 511035651 206000 164800 Standard 24 22 511035667 515000 463500 Standard 24 22 511035740 340000 272000 Standard 24 21 511035839 223000 178400 Standard 24 22 511035897 390000 312000 Standard 24 22 511035957 249000 199200 Standard 24 22 511035987 291500 233200 Standard 24 22 511036009 0 743346.78 Standard 24 22 511036063 567000 425250 None 0 0 511036161 335000 267750.58 Standard 24 22 511036178 555000 110896.01 Standard 24 22 511036214 0 359727.43 Standard 24 22 511036224 0 64981.42 Standard 36 34 511036357 0 78540 Standard 36 35 511036371 0 446250 Standard 24 23 511036373 0 49975.4 Standard 36 34 511036387 0 396500 Standard 24 22 511036436 0 528750 Standard 24 22 511036445 0 416000 Standard 24 22 511036495 221160 176782.97 Standard 24 22 521023938 0 152725.64 1% of amt prepaid 24 21 521024184 261885 209192.94 None 0 0 521025030 195138 155875.24 Standard 24 21 521025052 245000 219601.17 None 0 0 521025170 219000 175035.86 None 0 0 521025178 205000 163836.74 Standard 24 22 521025339 0 636687.5 2% of UPB 36 34 521025723 226000 180642.6 None 0 0 521025796 207500 186038.81 None 0 0 521025878 307500 245296.11 PIF - 1% of OPB ; Partial - 1% amt ppd 24 21 521025993 0 404633.87 1% of amt prepaid 24 22 521026082 279900 223555.45 Standard 24 22 521026102 0 74725.7 1% of amt prepaid 24 22 521026324 218000 174260.53 None 0 0 551005308 199600 159551.67 Standard if less than 12% 24 22 551006034 205000 163887.71 Standard if less than 12% 24 22 551006362 0 545663.54 Standard if less than 12% 36 34 551006444 80000 63900.82 3% / 2% / 1% 24 21 551006451 200776 170544.49 Standard if less than 12% 24 22 551006764 0 96693.71 Standard if less than 12% 36 34 551006896 445000 355218.89 None 0 0 551006933 235000 188000 Standard if less than 12% 24 22 551007025 253000 202218.8 Standard if less than 12% 24 22 551007211 171314 162660.02 Standard if less than 12% 36 35 561001914 395000 316000 Standard 24 21 561002102 290000 246275.21 Standard 24 22 561002117 215400 204630 None 0 0 561002203 604200 513570 Standard 24 21 561002317 259940 207952 Standard 24 22 561002338 259900 159545.33 Standard 24 21 561002447 194000 154947.32 Standard 24 22 561002463 1300000 1040000 Standard 24 23 561002505 0 124882.9 None 0 0 561002614 340000 271441.36 Standard 24 22 561002651 500500 399309.28 Standard 24 22 581000152 308948 247159.2 Standard 24 22 581000423 250000 200000 Standard 24 21 581000497 290000 260824.87 Standard 24 21 581000671 490000 392000 Standard 24 21 581000772 215000 172000 Standard 24 22 581000785 362000 343900 Standard 24 21 581000814 490000 465409.38 Standard 24 22 581000825 195665 156532 Standard 24 21 581000846 467000 373600 Standard 24 22 581000857 650000 422499.3 Standard 24 21 581000961 276000 220800 Standard 24 22 581000963 415000 331730.54 Standard 24 22 581000993 560000 447187.82 Standard 24 22 581001104 328000 262400 Standard 24 22 581001114 0 494100 Standard 24 22 591000099 0 101886.98 1% of amt prepaid 36 35 591000234 244110 231904.5 Standard 24 21 591000294 235806 188645 1% of amt prepaid 24 21 591000408 190000 180378.88 1% of amt prepaid 36 34 611016046 0 548000 Standard 12 11 611016167 413400 330720 Standard 12 9 611016391 661500 594790.54 Standard 12 10 611016401 340000 305777.41 Standard 12 10 611016461 0 450000 Standard 12 11 611016494 0 439638.62 Standard 24 22 611016605 279840 223872 None 0 0 611016608 0 360745.21 None 0 0 611016640 0 59962.5 None 0 0 611016667 0 379649.07 Standard 12 10 611016668 0 403755.26 Standard 12 10 611016673 325000 259786.46 Standard 12 10 611016691 0 419758.36 Standard 12 10 611016717 0 99870.17 None 0 0 611016739 0 459141.51 Standard 12 10 611016822 0 450000 Standard 12 10 611016835 0 430780.07 Standard 12 10 611016837 0 548933 Standard 12 10 611016867 0 407365.15 Standard 12 10 611016890 0 489735.27 Standard 12 10 611016892 0 549549.17 Standard 12 11 611016893 0 54950.62 None 0 0 611016896 0 539556.49 Standard 12 10 611016955 0 369399.17 Standard 12 11 611016964 0 426000 None 0 0 611017020 0 67472.81 None 0 0 611017057 0 391609.01 Standard 12 10 611017058 0 405000 Standard 12 11 621007235 0 131784.68 Standard 24 21 621007598 262000 222526.27 Standard 24 22 621007799 205000 163800 Standard 24 21 621007869 260000 246840.56 Standard 24 22 621007887 196500 157069.87 Standard 24 22 621007949 286000 228000 Standard 24 21 621008021 229000 194387.37 Standard 24 22 621008027 525000 420000 Standard 12 10 621008104 0 464288.29 Standard 24 22 621008230 370000 351500 Standard 24 22 621008255 325000 308450 Standard 36 33 621008355 0 149446.58 Standard 24 22 621008394 325000 259999.5 Standard 24 21 621008444 188000 178354.62 Standard 24 22 621008472 486327.65 389061.6 None 0 0 621008526 0 54977.31 Standard 36 34 621008534 313000 265882.08 Standard 24 22 621008549 198000 158284.55 Standard 24 22 621008580 210000 168000 Standard 24 22 621008603 280000 223833.42 Standard 24 22 621008674 0 459000 Standard 24 22 621008713 274000 260086.22 Standard 24 22 621008748 220000 175737.94 Standard 24 22 621008753 0 387900 Standard 24 23 621008772 0 975000 Standard 24 22 621008795 0 147000 None 0 0 621008884 0 437000 Standard 24 23 621008900 0 58000 Standard 36 34 621008902 0 370500 Standard 24 22 621008956 0 441000 Standard 24 23 621009023 215000 204118.15 Standard 24 22 621009057 0 164944.3 None 0 0 621009071 0 560500 Standard 36 35 621009080 385000 307734.82 Standard 24 23 621009232 0 84000 Standard 24 23 621009241 459000 413000 None 0 0 621009338 300000 240000 Standard 24 23 631006733 0 70873.35 Standard 36 33 631007205 0 367092.8 Standard 24 21 631007246 524745 471971.91 Standard 24 22 631007272 0 431613.25 Standard 24 22 631007329 410000 328000 Standard 24 21 631007460 350000 280000 Standard 24 22 631007476 0 714359.89 Standard 24 22 631007534 0 499650.65 Standard 24 22 631007602 507315 405852 Standard 24 22 631007652 340000 272000 Standard 24 22 631007670 0 59928.36 Standard 36 34 631007676 0 408750 Standard 24 23 631007686 310000 263379.65 Standard 24 22 631007694 0 359674.56 Standard 24 22 631007699 0 201918.85 Standard 12 10 631007726 390900 312720 Standard 24 22 631007741 0 244688.51 Standard 24 22 631007770 0 560400 Standard 24 22 631007774 787000 629378.35 None 0 0 631007779 0 555750 Standard 24 22 631007840 0 415779.77 Standard 24 22 631007841 0 465500 Standard 24 22 631007851 0 66324.19 Standard 12 10 631007869 0 665000 Standard 24 22 631007871 0 720000 None 0 0 631007908 0 372000 Standard 24 22 631007929 0 369635.18 Standard 24 22 631007998 0 416000 Standard 24 22 631008005 0 240000 Standard 24 23 641008867 0 668854.07 None 0 0 641008880 0 463610.18 None 0 0 641009031 209898 199400 Standard if less than 12% 24 21 641009253 199900 159698.04 Standard if less than 12% 36 34 641009495 236900 189381.86 Standard if less than 12% 12 10 641009647 204000 163200 Standard if less than 12% 24 23 651009474 0 70071.98 1% of amt prepaid 36 34 651009499 0 424717.71 None 0 0 651009559 0 359802.95 1% of amt ppd if loan greater than $150K 24 22 651009643 0 404314.19 2 mo int on 66% if less than 8% 24 22 651009733 0 590000 None 0 0 651009849 0 504000 2% of ppd amt 24 22 651009859 525000 420000 None 0 0 651009882 370000 351500 None 0 0 651009896 104800 73299.86 None 0 0 651009897 99900 69872.67 None 0 0 651009915 274000 218898.83 2% of ppd amt 24 21 651010057 0 50936.75 None 0 0 651010153 344000 275200 Standard 24 22 651010188 0 918266.36 Standard 24 22 651010291 0 399808.37 None 0 0 651010295 0 870000 Standard 24 23 651010308 0 101858.44 Standard 24 22 651010456 0 196967.36 2% of ppd amt 36 34 651010558 0 419597.61 Standard 24 23 651010566 210000 199196.82 Standard 24 22 651010632 0 735250 Standard 24 23 651010724 0 843205.33 Standard 12 10 661003951 0 413500 Standard 24 22 661005342 0 388000 Standard 24 20 661006344 593900 475120 Standard 24 21 661006389 295691 236552.8 Standard 24 21 661006545 400000 319831.47 Standard 24 21 661006559 312515 250012 Standard 24 21 661006607 250000 199849.49 Standard 36 33 661006614 378000 302400 Standard 24 21 661006639 0 90934.66 Standard 24 21 661006686 0 629585.79 Standard 24 22 661006716 420000 335335.73 Standard 36 33 661006721 591800 473440 Standard 24 22 661006728 430000 344000 Standard 24 21 661006767 240000 192000 Standard 24 22 661006770 708555 566844 None 0 0 661006814 302000 241600 Standard 24 21 661006872 0 449630.41 Standard 36 34 661006895 307000 245600 Standard 24 21 661006931 320000 255749.98 Standard 24 22 661006954 290000 232000 Standard 24 21 661006976 370000 296000 Standard 24 21 661007022 300000 240000 Standard 24 21 661007030 0 399681.7 Standard 24 23 661007048 305000 244000 Standard 24 21 661007104 0 459991.67 1% of amt prepaid 24 22 661007117 275000 217600 Standard 24 22 661007190 238000 190400 Standard 24 22 661007220 0 53972.53 Standard 36 34 661007240 323000 258400 Standard 24 22 661007244 0 388000 Standard 24 22 661007260 0 599604.68 Standard 24 22 661007264 0 187872.57 Standard 24 22 661007289 0 824071.21 Standard 24 22 661007365 0 539521.24 Standard 24 22 661007374 0 639470.2 Standard 24 23 661007402 0 460745.3 Standard 24 22 661007430 224900 179590.64 Standard 24 22 661007461 0 382200 Standard 24 22 661007464 0 439000 Standard 24 22 661007471 0 372694.25 Standard 24 22 661007483 0 481100 Standard 24 22 661007568 0 434000 Standard 24 22 661007587 0 649088.73 Standard 24 22 661007595 0 360000 Standard 24 22 661007602 370700 296560 Standard 24 22 661007705 0 61536.94 Standard 36 34 661007776 0 359661.7 Standard 24 22 661007803 0 594584.27 Standard 24 23 671003280 560000 448000 Standard 24 20 671003427 0 79895.51 Standard 36 33 671003593 0 467500 Standard 24 22 671003744 480000 384000 Standard 24 21 671003753 346000 276800 Standard 24 21 671003849 510000 408000 Standard 24 21 671003925 580000 405188.08 Standard 36 33 671003988 235000 187999.37 Standard 24 21 671004082 295000 235999.46 Standard 24 22 671004127 475000 380000 Standard 24 21 671004157 465000 372000 Standard 24 21 671004191 0 399274.84 Standard 36 33 671004211 328000 262400 Standard 24 22 671004253 311000 248800 Standard 24 22 671004365 0 500000 Standard 36 34 671004471 400000 80000 None 0 0 671004482 319500 255108.99 Standard 24 22 671004514 0 492500 Standard 24 23 671004522 0 750000 Standard 24 23 671004548 0 452200 Standard 24 23 671004590 0 488000 Standard 36 34 681005359 224000 179200 None 0 0 681005556 0 80715.91 None 0 0 681005559 292000 232913.87 Standard 24 21 681005678 241000 192800 Standard 24 21 681005900 0 409222.44 None 0 0 681005940 370000 295769.09 None 0 0 681005953 196000 156573.44 None 0 0 681006039 720000 647564.32 None 0 0 681006071 355000 283438.53 None 0 0 681006139 0 535909.49 None 0 0 681006159 289000 260100 None 0 0 681006184 0 113958 Standard 12 10 681006216 80000 63897.84 None 0 0 681006259 205500 164291.91 Standard 24 22 681006348 0 363407.38 None 0 0 681006375 0 58485.62 None 0 0 681006386 385000 307436.19 None 0 0 681006419 207000 165477.1 Standard 36 34 681006449 0 114595.17 None 0 0 681006456 0 458185.42 None 0 0 681006477 0 469886.79 None 0 0 681006501 0 580000 None 0 0 681006565 0 414247.64 Standard 36 34 681006639 0 439086.99 None 0 0 681006717 0 118000 None 0 0 681006730 0 112768.53 None 0 0 681006782 0 77532.02 None 0 0 691002849 0 68608.61 2% of ppd amt 36 33 691003175 0 102601.01 2% of ppd amt 36 33 691003422 292931 234345 2 mo int on 66% if less than 8% 24 21 691003466 295000 164560.87 Standard 36 33 691003480 245000 195648.09 Standard 36 33 691003619 298700 238959.5 2 mo int on 66% if less than 8% 24 21 691003627 406000 324800 2 mo int on 66% if less than 8% 24 22 691003648 355000 357337.41 2% of ppd amt 24 22 691003674 217000 173600 Standard 24 21 691003843 0 94443.34 None 0 0 691003886 0 377398.01 None 0 0 691003905 0 367253.85 None 0 0 691003906 0 384000 2% of ppd amt 24 22 691003922 0 442154.33 2% of ppd amt 24 22 691003933 0 49988.31 None 0 0 691003935 0 364500 None 0 0 691003972 0 74913 None 0 0 691003978 0 509581.13 2% of ppd amt 24 22 691004001 386250 328121.14 Standard 24 22 691004005 0 49943.03 None 0 0 691004018 0 394709.78 2 mo int on 66% if less than 8% 24 22 691004056 0 440635.65 2 mo int on 66% if less than 8% 24 22 691004072 0 263831.66 None 0 0 691004144 0 418222.04 None 0 0 691004156 0 900000 2% of ppd amt 24 23 701000456 0 363856.93 Standard 24 21 701000479 0 370279.04 Standard 24 21 701000988 0 372666.07 Standard 24 22 701001004 0 384081.41 Standard 24 22 701001018 0 361000 Standard 24 22 701001025 0 646617.77 Standard 24 22 701001044 0 405150 Standard 24 22 701001045 0 367137.29 Standard 24 22 701001065 0 103953.4 Standard 36 34 701001112 0 373140.14 Standard 24 22 711006946 218750 174757.11 None 0 0 711007046 0 49979.26 Standard 36 34 711007249 0 74909.38 None 0 0 721006958 0 134849.46 Standard 24 22 721007237 0 512000 Standard 24 22 721007361 0 474256.37 Standard 24 22 721007373 0 619996.5 Standard 24 22 731010705 0 687582.33 Standard 24 22 731010797 0 391155.6 2% of ppd amt 24 22 731011032 285000 256035 2% of ppd amt 24 22 741010573 289000 231200 Standard 36 33 741011858 0 465600 Standard 24 22 741011927 329990 263479.99 Standard 24 22 761009519 0 487341.61 None 0 0 761010227 0 689568.92 None 0 0 781003640 0 96760.69 1% of amt prepaid 24 22 791002619 227000 181337.61 None 0 0 791002892 0 49979.69 None 0 0 791002903 0 60751.89 2% of UPB 24 22 831039474 0 523465.52 Standard 24 19 831039480 0 59385.22 Standard 12 7 831039481 0 358749.7 None 0 0 831039897 0 239602.93 None 0 0 831039985 345000 289544.49 Standard 24 20 831040479 0 223585.69 None 0 0 831041572 279000 249887.72 Standard 12 8 831041798 0 441967.47 Standard 24 21 831041804 0 55937.77 Standard 36 31 831041808 0 50957.59 Standard 36 32 831041810 0 67458.98 None 0 0 831041811 0 55112.22 Standard 36 33 831042146 370000 291662.77 Standard 24 21 831042153 0 199035.83 None 0 0 831042178 0 256418.71 None 0 0 831042179 0 307160.13 None 0 0 831042373 0 487754.29 Standard if less than 12% 24 21 831042544 0 362391.32 Standard 36 33 831042546 0 49939.2 Standard 36 33 831042547 550000 109896.94 Standard 12 9 831042548 0 149892.53 Standard 12 9 831042551 550000 440000 Standard 12 9 831042552 0 598963.91 Standard 24 21 831042553 0 1050000 Standard 24 21 831042558 525000 419755.85 Standard 24 21 831042975 180000 161557.51 Standard 24 19 831043178 0 445785.81 Standard 12 9 831043299 0 161820.51 None 0 0 831043556 0 439619.04 1% of amt prepaid 12 9 841005694 235000 188000 1% of amt prepaid 24 22 841005780 212000 169328.52 1% of amt prepaid 24 22 841005798 243000 194400 1% of amt prepaid 24 22 841006004 0 98930.12 1% of amt prepaid 36 34 841006126 0 386412.17 1% of amt prepaid 24 22 841006207 260000 208000 1% of amt prepaid 24 22 841006284 0 79931.12 1% of amt prepaid 24 22 851000935 236797 189437 None 0 0 851001052 470000 446096.36 None 0 0 851001087 0 426000 None 0 0 851001131 267000 213449.24 None 0 0 871000806 0 56906.1 None 0 0 871000896 465000 372000 None 0 0 871000914 395000 375250 None 0 0 871000969 236000 235820.72 None 0 0 871001011 0 485642.91 Standard 12 10 871001013 0 481094.44 None 0 0 871001074 590000 530684.88 None 0 0 871001092 625000 562179.71 Standard 12 10 871001135 0 468000 None 0 0 871001155 662000 595166.77 None 0 0 871001177 435000 347711.92 None 0 0 871001250 429000 385420.14 None 0 0 871001320 0 386666.81 None 0 0 871001355 280000 223783.38 None 0 0 871001397 355000 337250 None 0 0 911000188 340290 272232 Standard 24 21 911000211 368963 295169.24 Standard 12 9 911000233 395000 316000 Standard 24 21 911000263 461768 369414 Standard 24 21 911000313 750000 673879.74 Standard 24 22 911000319 0 82653.88 Standard 36 34 911000332 415000 230000 Standard 24 22 911000346 0 399000 Standard 12 11 911000375 0 360000 Standard 12 10 ----------------------------------------------------------------------------- 1,179 ----------------------------------------------------------------------------- ----------------------------------------------------------------------------- 5,565 ============================================================================= MINIMUM MAXIMUM LOAN ROUNDING LIEN MORTGAGE MORTGAGE NUMBER CODE PRODUCT POSITION RATE RATE ------------------------------------------------------------------------------ 011073427 N 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 011074105 U 2/28 6 Mo LIBOR ARM First Lien 7 13 011074339 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 011074404 0 Fixed Rate 30 Yr First Lien 0 0 011074491 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 011074590 0 Fixed Rate 30 Yr First Lien 0 0 011074668 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.69 12.69 011074711 0 Fixed Rate 30 Yr First Lien 0 0 011074824 N 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 011074864 U 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 011074883 U 2/28 6 Mo LIBOR ARM First Lien 9.75 15.75 011074885 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 011074902 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 011075004 0 Fixed Rate 30 Yr First Lien 0 0 011075070 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 011075097 0 Fixed Rate 30 Yr First Lien 0 0 011075140 0 Fixed Rate 30 Yr First Lien 0 0 011075234 U 2/28 6 Mo LIBOR ARM First Lien 9.39 15.39 011075237 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 011075238 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 011075254 0 Fixed Rate 30 Yr First Lien 0 0 011075271 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 011075290 0 Fixed Rate 30 Yr First Lien 0 0 011075300 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.95 11.95 011075302 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 011075324 U 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 011075337 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 011075340 0 Fixed Rate 30 Yr First Lien 0 0 011075344 0 Fixed Rate 30 Yr Second Lien 0 0 011075376 N 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 011075384 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 011075396 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.75 11.75 011075397 0 Fixed Rate 30 Yr Second Lien 0 0 011075413 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 011075422 0 Fixed Rate 30 Yr First Lien 0 0 011075451 N 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 011075452 0 Fixed Rate 30 Yr First Lien 0 0 011075453 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 011075459 U 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 011075462 U 2/28 6 Mo LIBOR ARM First Lien 6.15 12.15 011075463 N 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 011075467 U 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 011075484 U 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 011075505 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 011075506 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 011075518 0 Fixed Rate 30 Yr First Lien 0 0 011075525 U Fixed Rate 30 Yr Rate ReductioFirst Lien 0 0 011075526 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 011075527 N 2/28 6 Mo LIBOR ARM First Lien 9.99 15.99 011075530 N 2/28 6 Mo LIBOR ARM First Lien 9.65 15.65 011075532 0 Fixed Rate 30 Yr First Lien 0 0 011075533 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 011075544 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 011075548 U 2/28 6 Mo LIBOR ARM First Lien 8.85 14.85 011075556 0 Fixed Rate 30 Yr First Lien 0 0 011075563 0 Fixed Rate 30 Yr First Lien 0 0 011075566 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 011075573 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 011075579 0 Fixed Rate 15 Yr Second Lien 0 0 011075592 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 011075594 U 2/28 6 Mo LIBOR ARM First Lien 11.65 17.65 011075598 0 Fixed Rate 30 Yr Rate ReductioFirst Lien 0 0 011075599 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 011075600 U 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 011075610 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 011075634 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 011075640 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 011075644 U 2/28 6 Mo LIBOR ARM First Lien 8.35 14.35 011075659 0 Fixed Rate 30 Yr First Lien 0 0 011075661 0 Fixed Rate 30 Yr First Lien 0 0 011075676 0 Fixed Rate 30 Yr First Lien 0 0 011075695 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.85 11.85 011075700 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 011075739 0 Fixed Rate 30 Yr First Lien 0 0 011075764 U 2/28 6 Mo LIBOR ARM First Lien 7.79 13.79 011075792 N 2/28 6 Mo LIBOR ARM First Lien 11.99 17.99 011075815 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 021062880 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 5.25 11.25 021063234 0 Fixed Rate 30 Yr First Lien 0 0 021063549 N 2/28 6 Mo LIBOR ARM First Lien 7.19 13.19 021063619 0 Fixed Rate 30 Yr First Lien 0 0 021063632 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 021063678 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 021063779 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 021064021 U 2/28 6 Mo LIBOR ARM First Lien 9.25 15.25 021064029 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 021064105 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 021064208 0 Fixed Rate 30 Yr 5YR IO First Lien 0 0 021064228 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 021064237 0 Fixed Rate 30 Yr First Lien 0 0 021064311 U 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 021064331 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 021064450 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 021064476 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 021064478 U 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 021064484 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 021064509 N 2/28 6 Mo LIBOR ARM First Lien 7.59 13.59 021064559 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.44 13.44 021064620 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 021064660 N 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 021064743 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 021064746 U 2/28 6 Mo LIBOR ARM First Lien 8.89 14.89 021064786 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 021064799 0 Fixed Rate 30 Yr First Lien 0 0 021064838 0 Fixed Rate 30 Yr First Lien 0 0 021064844 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 021064863 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 021064878 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.7 11.7 021064921 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 021064923 0 Fixed Rate 30 Yr First Lien 0 0 021064948 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 021064963 U 2/28 6 Mo LIBOR ARM First Lien 6.15 12.15 021065010 0 Fixed Rate 30 Yr First Lien 0 0 021065015 U 2/28 6 Mo LIBOR ARM First Lien 8.79 14.79 021065018 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 021065022 U 2/28 6 Mo LIBOR ARM First Lien 6.1 12.1 021065038 U 2/28 6 Mo LIBOR ARM First Lien 6.59 12.59 021065057 0 Fixed Rate 30 Yr First Lien 0 0 021065079 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 021065085 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 021065092 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 021065100 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.6 11.6 021065112 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 021065114 0 Fixed Rate 30 Yr First Lien 0 0 021065117 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6 12 021065119 X 0/00 0 Xx XXXXX XXX Xxxxx Xxxx 8.8 14.8 021065125 N 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 021065126 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 021065133 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 021065135 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 021065143 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 021065176 N 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 021065180 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.6 11.6 021065189 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 021065230 0 Fixed Rate 30 Yr First Lien 0 0 021065237 U 2/28 6 Mo LIBOR ARM First Lien 6.2 12.2 021065242 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 021065264 0 Fixed Rate 30 Yr Second Lien 0 0 021065267 0 Fixed Rate 30 Yr First Lien 0 0 021065291 0 Fixed Rate 30 Yr Second Lien 0 0 021065331 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 021065360 U 2/28 6 Mo LIBOR ARM First Lien 5.4 11.4 021065361 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 031033237 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 031033530 N 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 031033691 N 2/28 6 Mo LIBOR ARM First Lien 8 14 031033726 N 2/28 6 Mo LIBOR ARM First Lien 9.45 15.45 031033960 U 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 031034088 N 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 031034137 0 Fixed Rate 30 Yr First Lien 0 0 031034156 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 031034307 U 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 031034395 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 031034404 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 031034520 U 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 031034534 N 2/28 6 Mo LIBOR ARM First Lien 7 13 031034537 N 3/27 6 Mo LIBOR ARM First Lien 6.95 12.95 031034548 0 Fixed Rate 30 Yr Second Lien 0 0 031034604 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 031034619 0 Fixed Rate 30 Yr First Lien 0 0 031034626 0 Fixed Rate 30 Yr First Lien 0 0 031034638 0 Fixed Rate 30 Yr 5YR IO First Lien 0 0 031034642 N 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 031034657 N 2/28 6 Mo LIBOR ARM First Lien 5.8 11.8 031034659 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 031034662 0 Fixed Rate 30 Yr First Lien 0 0 031034720 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 031034722 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6 12 031034739 N 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 031034741 0 Fixed Rate 30 Yr Second Lien 0 0 031034752 N 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 031034755 0 Fixed Rate 30 Yr First Lien 0 0 031034761 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 031034762 U 2/28 6 Mo LIBOR ARM First Lien 5.7 11.7 031034763 U 2/28 6 Mo LIBOR ARM First Lien 6.1 12.1 031034779 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 031034782 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.79 12.79 031034804 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 031034807 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 031034809 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 031034816 N 2/28 6 Mo LIBOR ARM First Lien 8.49 14.49 031034822 0 Fixed Rate 30 Yr First Lien 0 0 031034824 0 Fixed Rate 30 Yr First Lien 0 0 031034827 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 031034828 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.24 12.24 031034840 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 031034851 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.89 11.89 031034854 U 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 031034881 N 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 031034888 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.1 12.1 031034891 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 031034895 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 031034904 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 031034915 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.75 11.75 031034920 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 031034921 N 2/28 6 Mo LIBOR ARM First Lien 6.1 12.1 031034931 0 Fixed Rate 30 Yr First Lien 0 0 031034970 U 2/28 6 Mo LIBOR ARM First Lien 5.05 11.05 031034998 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 031035003 U 2/28 6 Mo LIBOR ARM First Lien 5.05 11.05 031035004 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 031035005 U 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 031035014 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.05 12.05 031035037 U 2/28 6 Mo LIBOR ARM First Lien 9.15 15.15 031035041 0 Fixed Rate 30 Yr First Lien 0 0 031035053 N 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 031035062 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 031035073 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 031035078 0 Fixed Rate 30 Yr First Lien 0 0 031035088 U 2/28 6 Mo LIBOR ARM First Lien 6 12 031035091 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 031035092 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 031035095 U 2/28 6 Mo LIBOR ARM First Lien 5.75 11.75 041065018 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 041065099 U 2/28 6 Mo LIBOR ARM First Lien 9.2 15.2 041065109 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 041065626 U 2/28 6 Mo LIBOR ARM First Lien 8.7 14.7 041065658 U 3/27 6 Mo LIBOR ARM First Lien 9 15 041065665 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 041066044 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 041066061 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 041066136 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 041066296 U 2/28 6 Mo LIBOR ARM First Lien 9.2 15.2 041066306 U 2/28 6 Mo LIBOR ARM First Lien 9.8 15.8 041066349 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 041066495 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 041066507 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 041066635 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 041066647 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 041066672 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 041066698 U 2/28 6 Mo LIBOR ARM First Lien 9.8 15.8 041066726 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 041066735 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 041066748 U 2/28 6 Mo LIBOR ARM First Lien 9.95 15.95 041066837 0 Fixed Rate 30 Yr First Lien 0 0 041066866 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 041066897 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 041066899 0 Fixed Rate 30 Yr First Lien 0 0 041066951 U 2/28 6 Mo LIBOR ARM First Lien 8.35 14.35 041066990 0 Fixed Rate 30 Yr First Lien 0 0 041066998 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 041067013 U 15/15 6 Mo LIBOR ARM First Lien 9.265 15.265 041067026 0 Fixed Rate 30 Yr First Lien 0 0 041067048 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 041067054 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 041067056 U 2/28 6 Mo LIBOR ARM First Lien 7 13 041067060 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 041067076 U 2/28 6 Mo LIBOR ARM First Lien 10.35 16.35 041067122 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 041067215 U 2/28 6 Mo LIBOR ARM First Lien 7 13 041067217 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 041067228 U 3/27 6 Mo LIBOR ARM First Lien 7.075 13.075 041067231 U 2/28 6 Mo LIBOR ARM First Lien 9.2 15.2 041067273 U 2/28 6 Mo LIBOR ARM First Lien 9.75 15.75 041067275 U 2/28 6 Mo LIBOR ARM First Lien 9.45 15.45 041067291 U 2/28 6 Mo LIBOR ARM First Lien 9.65 15.65 041067292 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 041067329 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 041067339 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 041067354 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 041067366 U 2/28 6 Mo LIBOR ARM First Lien 10.25 16.25 041067374 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 041067376 U 2/28 6 Mo LIBOR ARM First Lien 9.9 15.9 041067384 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 041067404 N 2/28 6 Mo LIBOR ARM First Lien 11.2 17.2 041067413 U 2/28 6 Mo LIBOR ARM First Lien 9.45 15.45 041067423 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 041067428 0 Fixed Rate 30 Yr First Lien 0 0 041067434 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 041067454 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 041067460 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 041067468 U 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 041067471 U 2/28 6 Mo LIBOR ARM First Lien 8.9 14.9 041067477 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 041067483 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 041067486 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 041067491 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 041067523 U 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 041067526 U 2/28 6 Mo LIBOR ARM First Lien 10.25 16.25 041067551 U 2/28 6 Mo LIBOR ARM First Lien 9.6 15.6 041067592 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 041067601 U 2/28 6 Mo LIBOR ARM First Lien 8.9 14.9 041067625 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 041067633 U 2/28 6 Mo LIBOR ARM First Lien 8.39 14.39 041067693 U 2/13 6 Mo LIBOR ARM First Lien 8.85 14.85 041067699 0 Fixed Rate 30 Yr First Lien 0 0 041067702 0 Fixed Rate 30 Yr Rate ReductioFirst Lien 0 0 041067706 0 Fixed Rate 10 Yr First Lien 0 0 041067709 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 041067713 U 2/28 6 Mo LIBOR ARM First Lien 8.9 14.9 041067735 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 041067741 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 041067746 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 041067793 U 2/28 6 Mo LIBOR ARM First Lien 7 13 041067797 U 15/15 6 Mo LIBOR ARM First Lien 8.2 14.2 041067824 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 041067866 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 041067893 U 2/28 6 Mo LIBOR ARM First Lien 9.5 15.5 041067913 U 2/28 6 Mo LIBOR ARM First Lien 9.05 15.05 041067940 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 041067947 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 041067961 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 041067962 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 041067964 U 2/28 6 Mo LIBOR ARM First Lien 9.95 15.95 041067980 U 2/28 6 Mo LIBOR ARM First Lien 8.578 14.578 041067987 U 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 041068000 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8 14 041068003 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 041068009 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 041068037 U 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 041068085 U 2/28 6 Mo LIBOR ARM First Lien 9.8 15.8 041068099 0 Fixed Rate 30 Yr First Lien 0 0 041068106 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 041068113 U 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 041068114 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 041068136 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 041068138 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 041068170 U 2/28 6 Mo LIBOR ARM First Lien 8.85 14.85 041068186 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 041068189 0 Fixed Rate 30 Yr First Lien 0 0 041068193 U 2/28 6 Mo LIBOR ARM First Lien 8.35 14.35 041068225 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 041068231 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 041068253 0 Fixed Rate 30 Yr First Lien 0 0 041068254 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 041068262 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 041068278 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 041068308 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 041068326 U 2/28 6 Mo LIBOR ARM First Lien 9.8 15.8 041068327 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 041068336 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 041068350 0 Fixed Rate 30 Yr First Lien 0 0 041068356 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 041068382 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 041068395 U 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 041068410 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 041068415 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 041068422 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 041068450 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 041068467 0 Fixed Rate 30 Yr Second Lien 0 0 041068501 X 0/00 0 Xx XXXXX XXX Xxxxx Xxxx 6.4 12.4 041068527 0 Fixed Rate 15 Yr First Lien 0 0 041068528 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 041068550 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 041068552 U 2/28 6 Mo LIBOR ARM First Lien 10.25 16.25 041068559 U Fixed Rate 30 Yr First Lien 0 0 041068568 U 2/28 6 Mo LIBOR ARM First Lien 6.15 12.15 041068653 U 2/28 6 Mo LIBOR ARM First Lien 6 12 051056763 N 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 051056823 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 051056857 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8 14 051056904 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6 12 051056917 U 3/27 6 Mo LIBOR ARM First Lien 7.325 13.325 051057021 U 2/28 6 Mo LIBOR ARM First Lien 8 14 051057031 0 Fixed Rate 30 Yr First Lien 0 0 051057103 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 051057191 U 3/27 6 Mo LIBOR ARM First Lien 8.15 14.15 051057206 0 Fixed Rate 30 Yr First Lien 0 0 051057212 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 051057238 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 051057255 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 051057260 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 051057313 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 051057317 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 051057333 U 2/28 6 Mo LIBOR ARM First Lien 10.75 16.75 051057349 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 051057420 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 051057427 U 2/28 6 Mo LIBOR ARM First Lien 9 15 051057467 N 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 051057481 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 051057483 N 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 051057490 U 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 051057495 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 051057505 0 Fixed Rate 30 Yr First Lien 0 0 051057532 U 3/27 6 Mo LIBOR ARM First Lien 6.65 12.65 051057547 0 Fixed Rate 30 Yr First Lien 0 0 051057582 U 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 051057587 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 051057593 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 051057609 0 Fixed Rate 30 Yr First Lien 0 0 051057617 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 051057624 U 3/27 6 Mo LIBOR ARM First Lien 7.54 13.54 051057639 N 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 051057674 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 051057678 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 051057686 N 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 051057711 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 051057728 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 051057737 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 051057739 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 051057742 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 051057752 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 051057754 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 051057756 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.85 11.85 051057779 0 Fixed Rate 30 Yr First Lien 0 0 051057788 U 2/28 6 Mo LIBOR ARM First Lien 9.3 15.3 051057792 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 051057806 N 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 051057826 N 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 051057835 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 051057879 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 051057906 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 051057908 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 051057955 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 051057969 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 051057978 U 2/28 6 Mo LIBOR ARM First Lien 8.24 14.24 051057982 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 051058003 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 051058006 0 Fixed Rate 30 Yr First Lien 0 0 051058015 U 2/28 6 Mo LIBOR ARM First Lien 8 14 051058016 X 0/00 0 Xx XXXXX XXX Xxxxx Xxxx 8.3 14.3 051058023 0 Fixed Rate 30 Yr First Lien 0 0 051058046 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 051058075 0 Fixed Rate 30 Yr First Lien 0 0 051058078 U 2/28 6 Mo LIBOR ARM First Lien 6.15 12.15 051058093 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 051058102 U 2/28 6 Mo LIBOR ARM First Lien 7 13 051058105 U 2/28 6 Mo LIBOR ARM First Lien 8 14 051058113 X 0/00 0 Xx XXXXX XXX Xxxxx Xxxx 7.4 13.4 051058116 0 Fixed Rate 30 Yr First Lien 0 0 051058120 U 2/28 6 Mo LIBOR ARM First Lien 8 14 051058127 0 Fixed Rate 30 Yr First Lien 0 0 051058142 0 Fixed Rate 30 Yr First Lien 0 0 051058146 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 051058158 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 051058164 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 051058184 0 Fixed Rate 30 Yr First Lien 0 0 051058197 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 051058208 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 051058227 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 051058237 0 Fixed Rate 20 Yr First Lien 0 0 051058248 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 051058261 0 Fixed Rate 30 Yr First Lien 0 0 051058307 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 051058313 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 051058324 0 Fixed Rate 30 Yr First Lien 0 0 051058336 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 051058340 U 2/28 6 Mo LIBOR ARM First Lien 8.85 14.85 051058349 U 2/28 6 Mo LIBOR ARM First Lien 9.05 15.05 051058359 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 051058375 N 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 051058376 U 2/28 6 Mo LIBOR ARM First Lien 10.3 16.3 051058385 0 Fixed Rate 30 Yr First Lien 0 0 051058397 0 Fixed Rate 30 Yr First Lien 0 0 051058409 0 Fixed Rate 30 Yr First Lien 0 0 051058430 U 2/28 6 Mo LIBOR ARM First Lien 6 12 051058446 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 051058465 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 051058466 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 051058503 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 051058541 U 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 051058564 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 051058692 U 3/27 6 Mo LIBOR ARM First Lien 7.375 13.375 061056562 U 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 061057412 0 Fixed Rate 15 Yr First Lien 0 0 061057764 U 2/28 6 Mo LIBOR ARM First Lien 8.39 14.39 061057793 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 061057953 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 061058128 U 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 061058129 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 061058193 U 2/28 6 Mo LIBOR ARM First Lien 5.65 11.65 061058224 U 2/28 6 Mo LIBOR ARM First Lien 9.9 15.9 061058250 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 061058311 N 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 061058361 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 061058394 U 2/28 6 Mo LIBOR ARM First Lien 7.19 13.19 061058461 0 Fixed Rate 30 Yr First Lien 0 0 061058465 U 3/27 6 Mo LIBOR ARM First Lien 7.25 13.25 061058477 0 Fixed Rate 30 Yr First Lien 0 0 061058513 0 Fixed Rate 30 Yr First Lien 0 0 061058600 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 061058663 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 061058693 U 2/28 6 Mo LIBOR ARM First Lien 6 12 061058702 0 Fixed Rate 15 Yr First Lien 0 0 061058762 0 Fixed Rate 20 Yr First Lien 0 0 061058767 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 061058780 U 2/28 6 Mo LIBOR ARM First Lien 5.75 11.75 061058792 U 2/28 6 Mo LIBOR ARM First Lien 8.9 14.9 061058805 U 2/28 6 Mo LIBOR ARM First Lien 11.74 17.74 061058841 0 Fixed Rate 30 Yr First Lien 0 0 061058865 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 061058888 U 2/28 6 Mo LIBOR ARM First Lien 8.85 14.85 061058893 0 Fixed Rate 30 Yr First Lien 0 0 061058950 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 061058959 U 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 061058993 U 2/28 6 Mo LIBOR ARM First Lien 7.69 13.69 061058998 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 061059003 0 Fixed Rate 30 Yr First Lien 0 0 061059009 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 061059012 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 061059023 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 061059038 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 061059040 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 061059043 U 2/28 6 Mo LIBOR ARM First Lien 7.34 13.34 061059045 U 2/28 6 Mo LIBOR ARM First Lien 10.4 16.4 061059058 U 2/28 6 Mo LIBOR ARM First Lien 8.9 14.9 061059069 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 061059073 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 061059111 N 2/28 6 Mo LIBOR ARM First Lien 6.1 12.1 061059134 U 3/27 6 Mo LIBOR ARM First Lien 7.025 13.025 061059149 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 061059183 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 061059192 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 061059196 U 2/28 6 Mo LIBOR ARM First Lien 6.05 12.05 061059210 U 2/28 6 Mo LIBOR ARM First Lien 9.84 15.84 061059215 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 061059245 0 Fixed Rate 15 Yr First Lien 0 0 061059259 U 3/27 6 Mo LIBOR ARM First Lien 8.3 14.3 061059260 U 3/27 6 Mo LIBOR ARM First Lien 9.25 15.25 061059261 U 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 061059292 0 Fixed Rate 20 Yr First Lien 0 0 061059293 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 061059310 U 3/27 6 Mo LIBOR ARM First Lien 7.2 13.2 061059320 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 061059322 0 Fixed Rate 30 Yr First Lien 0 0 061059328 U 2/28 6 Mo LIBOR ARM First Lien 10.55 16.55 061059329 U 2/28 6 Mo LIBOR ARM First Lien 9 15 061059330 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 061059343 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 061059353 0 Fixed Rate 30 Yr First Lien 0 0 061059355 0 Fixed Rate 30 Yr First Lien 0 0 061059375 0 Fixed Rate 30 Yr First Lien 0 0 061059394 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 061059404 U 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 061059405 0 Fixed Rate 30 Yr First Lien 0 0 061059410 U Fixed Rate 30 Yr First Lien 0 0 061059413 0 Fixed Rate 15 Yr First Lien 0 0 061059425 0 Fixed Rate 30 Yr First Lien 0 0 061059434 U 2/28 6 Mo LIBOR ARM First Lien 6.44 12.44 061059471 0 Fixed Rate 30 Yr First Lien 0 0 061059482 0 Fixed Rate 30 Yr First Lien 0 0 061059495 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 061059498 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 061059530 0 Fixed Rate 30 Yr First Lien 0 0 061059546 0 Fixed Rate 15 Yr First Lien 0 0 061059547 0 Fixed Rate 30 Yr First Lien 0 0 061059574 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 061059622 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 061059688 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 071065453 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 071065537 0 Fixed Rate 30 Yr First Lien 0 0 071065540 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 071065951 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 071065968 U 3/27 6 Mo LIBOR ARM First Lien 7.77 13.77 071065988 U 2/28 6 Mo LIBOR ARM First Lien 10.34 16.34 071066147 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.05 11.05 071066165 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 071066258 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 071066269 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 071066287 U 2/28 6 Mo LIBOR ARM First Lien 10.25 16.25 071066292 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 071066301 U 2/28 6 Mo LIBOR ARM First Lien 10.55 16.55 071066381 0 Fixed Rate 30 Yr First Lien 0 0 071066450 U 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 071066459 U 2/28 6 Mo LIBOR ARM First Lien 9.1 15.1 071066460 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 071066495 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 071066498 0 Fixed Rate 30 Yr First Lien 0 0 071066573 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 071066583 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 071066592 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 071066621 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 071066624 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 071066655 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 071066661 U 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 071066676 0 Fixed Rate 30 Yr First Lien 0 0 071066698 U 2/28 6 Mo LIBOR ARM First Lien 9.25 15.25 071066709 0 Fixed Rate 30 Yr First Lien 0 0 071066711 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 071066722 U 3/27 6 Mo LIBOR ARM First Lien 6.34 12.34 071066723 0 Fixed Rate 30 Yr First Lien 0 0 071066729 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 071066731 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 071066742 0 Fixed Rate 30 Yr First Lien 0 0 071066754 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 071066775 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 071066781 U 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 071066805 0 Fixed Rate 30 Yr First Lien 0 0 071066807 U 3/27 6 Mo LIBOR ARM First Lien 8.075 14.075 071066815 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 071066816 U 3/27 6 Mo LIBOR ARM First Lien 7.8 13.8 071066837 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 071066838 U 2/28 6 Mo LIBOR ARM First Lien 10.19 16.19 071066840 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 071066858 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 071066864 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 071066871 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 071066875 0 Fixed Rate 30 Yr First Lien 0 0 071066880 U 3/27 6 Mo LIBOR ARM First Lien 8.1 14.1 071066889 0 Fixed Rate 30 Yr First Lien 0 0 071066892 U 3/27 6 Mo LIBOR ARM First Lien 8.85 14.85 071066895 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 071066901 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 071066902 U 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 071066917 0 Fixed Rate 30 Yr Second Lien 0 0 071066919 0 Fixed Rate 30 Yr First Lien 0 0 071066922 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 071066964 N 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 071066969 U 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 071066970 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 071066975 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.84 12.84 071066978 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 071066999 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 071067002 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 071067007 0 Fixed Rate 30 Yr First Lien 0 0 071067009 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 071067021 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 071067043 0 Fixed Rate 30 Yr First Lien 0 0 071067064 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 071067073 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 071067080 0 Fixed Rate 30 Yr First Lien 0 0 071067082 0 Fixed Rate 30 Yr First Lien 0 0 071067101 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 071067113 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 071067122 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 071067123 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 071067129 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 071067136 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 071067142 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 071067148 0 Fixed Rate 30 Yr First Lien 0 0 071067149 U 2/28 6 Mo LIBOR ARM First Lien 8.69 14.69 071067162 U Fixed Rate 30 Yr First Lien 0 0 081054757 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 081054939 0 Fixed Rate 30 Yr First Lien 0 0 081055126 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 081055157 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 081055175 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 081055269 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 081055281 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 081055317 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 081055370 U 2/28 6 Mo LIBOR ARM First Lien 7.49 13.49 081055389 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 081055408 U 2/28 6 Mo LIBOR ARM First Lien 7.24 13.24 081055465 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 081055475 0 Fixed Rate 30 Yr First Lien 0 0 081055503 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 081055504 0 Fixed Rate 30 Yr First Lien 0 0 081055505 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 081055522 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 081055620 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 081055657 0 Fixed Rate 30 Yr First Lien 0 0 081055665 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 081055680 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 081055743 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 081055768 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 081055783 U 3/27 6 Mo LIBOR ARM First Lien 7.25 13.25 081055814 0 Fixed Rate 30 Yr First Lien 0 0 081055839 U 2/28 6 Mo LIBOR ARM First Lien 8 14 081055870 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 081055875 0 Fixed Rate 30 Yr First Lien 0 0 081055876 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 081055905 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 081055920 0 Fixed Rate 30 Yr Rate ReductioFirst Lien 0 0 081055923 0 Fixed Rate 30 Yr First Lien 0 0 081055925 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 081055930 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 081055978 U 2/28 6 Mo LIBOR ARM First Lien 8.99 14.99 081055988 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 081055990 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 081055997 U 2/28 6 Mo LIBOR ARM First Lien 7.59 13.59 081056006 U 2/28 6 Mo LIBOR ARM First Lien 7.19 13.19 081056012 U 2/28 6 Mo LIBOR ARM First Lien 8.85 14.85 081056013 U 2/28 6 Mo LIBOR ARM First Lien 9.2 15.2 081056015 0 Fixed Rate 30 Yr First Lien 0 0 081056019 0 Fixed Rate 30 Yr First Lien 0 0 081056025 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 081056034 0 Fixed Rate 30 Yr First Lien 0 0 081056035 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.69 12.69 081056043 U 2/28 6 Mo LIBOR ARM First Lien 8 14 081056097 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 081056108 U 3/27 6 Mo LIBOR ARM First Lien 5.99 11.99 081056123 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 081056144 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 081056152 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 081056170 U 2/28 6 Mo LIBOR ARM First Lien 9.4 15.4 081056180 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 081056181 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 081056189 0 Fixed Rate 30 Yr First Lien 0 0 081056198 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 081056212 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 081056222 U 2/28 6 Mo LIBOR ARM First Lien 5.7 11.7 081056233 U 2/28 6 Mo LIBOR ARM First Lien 11.8 17.8 081056255 U 2/28 6 Mo LIBOR ARM First Lien 9.2 15.2 081056263 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 081056278 U 2/28 6 Mo LIBOR ARM First Lien 7.29 13.29 081056288 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 081056306 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 081056309 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 081056313 0 Fixed Rate 30 Yr Rate ReductioFirst Lien 0 0 081056317 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 081056320 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 081056329 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 081056337 U 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 081056384 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 081056424 U 2/28 6 Mo LIBOR ARM First Lien 5.75 11.75 081056426 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 081056440 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 081056507 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 081056524 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 081056550 U 2/28 6 Mo LIBOR ARM First Lien 10.25 16.25 081056586 0 Fixed Rate 30 Yr First Lien 0 0 081056656 0 Fixed Rate 30 Yr Second Lien 0 0 101046782 U 2/28 6 Mo LIBOR ARM First Lien 9.95 15.95 101046817 0 Fixed Rate 30 Yr First Lien 0 0 101047064 N 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 101047211 0 Fixed Rate 30 Yr First Lien 0 0 101047241 U Fixed Rate 10 Yr First Lien 0 0 101047373 0 Fixed Rate 30 Yr First Lien 0 0 101047441 U 2/13 6 Mo LIBOR ARM First Lien 10.99 16.99 101047449 N 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 101047455 0 Fixed Rate 30 Yr First Lien 0 0 101047504 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 101047522 0 Fixed Rate 30 Yr First Lien 0 0 101047530 0 Fixed Rate 30 Yr Rate ReductioFirst Lien 0 0 101047594 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 101047611 0 Fixed Rate 30 Yr First Lien 0 0 101047736 N 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 101047737 U 2/28 6 Mo LIBOR ARM First Lien 7 13 101047807 0 Fixed Rate 15 Yr First Lien 0 0 101047811 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 101047819 N 3/27 6 Mo LIBOR ARM First Lien 8.25 14.25 101047833 U 3/27 6 Mo LIBOR ARM First Lien 7.9 13.9 101047839 0 Fixed Rate 30 Yr First Lien 0 0 101047842 N 2/28 6 Mo LIBOR ARM First Lien 9.75 15.75 101047849 N 2/28 6 Mo LIBOR ARM First Lien 8 14 101047852 N 2/28 6 Mo LIBOR ARM First Lien 8.625 14.625 101047870 U 2/28 6 Mo LIBOR ARM First Lien 8.85 14.85 101047879 0 Fixed Rate 30 Yr First Lien 0 0 101047896 U 2/28 6 Mo LIBOR ARM First Lien 8.99 14.99 101047910 0 Fixed Rate 30 Yr First Lien 0 0 101047922 U 3/27 6 Mo LIBOR ARM First Lien 6.95 12.95 101047925 0 Fixed Rate 30 Yr First Lien 0 0 101047956 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 101047958 N 2/28 6 Mo LIBOR ARM First Lien 10.5 16.5 101047960 0 Fixed Rate 30 Yr First Lien 0 0 101047983 U 3/27 6 Mo LIBOR ARM First Lien 8.6 14.6 101047998 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 101048001 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 101048012 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 101048013 N 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 101048021 0 Fixed Rate 30 Yr First Lien 0 0 101048023 U 2/28 6 Mo LIBOR ARM First Lien 11.3 17.3 101048028 U 2/28 6 Mo LIBOR ARM First Lien 9.9 15.9 101048029 N 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 101048033 N 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 101048056 N 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 101048075 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 101048082 0 Fixed Rate 30 Yr First Lien 0 0 101048084 0 Fixed Rate 30 Yr First Lien 0 0 101048143 0 Fixed Rate 30 Yr First Lien 0 0 101048145 N 2/28 6 Mo LIBOR ARM First Lien 9.3 15.3 101048190 0 Fixed Rate 30 Yr First Lien 0 0 101048198 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 101048203 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 101048207 U 3/27 6 Mo LIBOR ARM First Lien 8.6 14.6 101048212 N 2/28 6 Mo LIBOR ARM First Lien 8.85 14.85 101048213 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 101048217 0 Fixed Rate 30 Yr First Lien 0 0 101048233 0 Fixed Rate 30 Yr First Lien 0 0 101048234 N 2/28 6 Mo LIBOR ARM First Lien 7.24 13.24 101048237 0 Fixed Rate 30 Yr First Lien 0 0 101048247 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 101048252 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 101048259 N 2/28 6 Mo LIBOR ARM First Lien 8 14 101048263 0 Fixed Rate 30 Yr First Lien 0 0 101048265 N 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 101048278 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 101048292 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 101048294 0 Fixed Rate 30 Yr First Lien 0 0 101048314 0 Fixed Rate 30 Yr First Lien 0 0 101048318 U 2/28 6 Mo LIBOR ARM First Lien 9.99 15.99 101048328 0 Fixed Rate 30 Yr First Lien 0 0 101048332 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 101048336 N 2/28 6 Mo LIBOR ARM First Lien 6.05 15.75 101048342 N 2/28 6 Mo LIBOR ARM First Lien 9.2 15.2 101048347 0 Fixed Rate 30 Yr First Lien 0 0 101048364 U 2/28 6 Mo LIBOR ARM First Lien 10.05 16.05 101048377 U 2/28 6 Mo LIBOR ARM First Lien 9.25 15.25 101048378 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 101048389 N 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 101048393 N 2/28 6 Mo LIBOR ARM First Lien 9.75 15.75 101048412 N 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 101048425 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 101048427 U 2/28 6 Mo LIBOR ARM First Lien 9 15 101048430 N 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 101048445 U 2/28 6 Mo LIBOR ARM First Lien 9.9 15.9 101048446 0 Fixed Rate 30 Yr First Lien 0 0 101048450 N 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 101048453 0 Fixed Rate 30 Yr First Lien 0 0 101048461 0 Fixed Rate 30 Yr First Lien 0 0 101048466 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 101048470 0 Fixed Rate 30 Yr First Lien 0 0 101048473 0 Fixed Rate 30 Yr First Lien 0 0 101048476 U 2/28 6 Mo LIBOR ARM First Lien 10.2 16.2 101048477 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 101048481 N 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 101048483 N 2/28 6 Mo LIBOR ARM First Lien 8.44 14.44 101048485 0 Fixed Rate 15 Yr First Lien 0 0 101048489 0 Fixed Rate 30 Yr First Lien 0 0 101048500 U 2/28 6 Mo LIBOR ARM First Lien 10.7 16.7 101048505 U 2/28 6 Mo LIBOR ARM First Lien 10.65 16.65 101048508 0 Fixed Rate 30 Yr First Lien 0 0 101048530 N 2/28 6 Mo LIBOR ARM First Lien 8.59 14.59 101048535 0 Fixed Rate 30 Yr First Lien 0 0 101048550 U 2/28 6 Mo LIBOR ARM First Lien 9.35 15.35 101048560 0 Fixed Rate 30 Yr First Lien 0 0 101048582 U Fixed Rate 30 Yr First Lien 0 0 101048603 0 Fixed Rate 30 Yr First Lien 0 0 101048621 N 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 101048623 U 2/28 6 Mo LIBOR ARM First Lien 10.2 16.2 101048688 0 Fixed Rate 30 Yr First Lien 0 0 111000017 0 Fixed Rate 30 Yr First Lien 0 0 111000039 0 Fixed Rate 30 Yr First Lien 0 0 111000082 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 111000085 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 111000090 0 Fixed Rate 30 Yr First Lien 0 0 111000100 N 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 121038558 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 121039078 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 121039193 U 2/28 6 Mo LIBOR ARM First Lien 10.5 16.5 121039209 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 121039284 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 121039323 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 121039418 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 121039432 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.59 13.59 121039548 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 121039647 U 2/28 6 Mo LIBOR ARM First Lien 10.2 16.2 121039666 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 121039669 U 2/28 6 Mo LIBOR ARM First Lien 8.99 14.99 121039712 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 121039745 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 121039756 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 121039796 U 2/28 6 Mo LIBOR ARM First Lien 7.734 13.734 121039797 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 121039852 U 2/28 6 Mo LIBOR ARM First Lien 9.4 15.4 121039886 U 2/28 6 Mo LIBOR ARM First Lien 9.09 15.09 121039935 U 2/28 6 Mo LIBOR ARM First Lien 9.6 15.6 121039986 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 121040005 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 121040007 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 121040060 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 121040077 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 121040089 U 2/28 6 Mo LIBOR ARM First Lien 9.35 15.35 121040094 U 2/28 6 Mo LIBOR ARM First Lien 9.35 15.35 121040098 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 121040119 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 121040129 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 121040138 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 121040158 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 121040171 U 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 121040192 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 121040203 U 2/28 6 Mo LIBOR ARM First Lien 7.375 13.375 121040230 U 2/28 6 Mo LIBOR ARM First Lien 10.1 16.1 121040235 U 2/28 6 Mo LIBOR ARM First Lien 8.7 14.7 121040248 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 121040299 U 2/28 6 Mo LIBOR ARM First Lien 6.39 12.39 121040332 U 2/28 6 Mo LIBOR ARM First Lien 7 13 121040355 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.2 12.2 121040360 U 2/28 6 Mo LIBOR ARM First Lien 8.34 14.34 121040364 0 Fixed Rate 30 Yr First Lien 0 0 121040372 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 121040377 U 2/28 6 Mo LIBOR ARM First Lien 8.49 14.49 121040416 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 121040425 0 Fixed Rate 30 Yr 5YR IO First Lien 0 0 121040452 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 121040458 U 2/28 6 Mo LIBOR ARM First Lien 7.54 13.54 121040475 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 121040479 0 Fixed Rate 30 Yr First Lien 0 0 121040489 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 121040496 U 2/28 6 Mo LIBOR ARM First Lien 9.5 15.5 121040503 U 2/28 6 Mo LIBOR ARM First Lien 7.375 13.375 121040511 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 121040521 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 121040529 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 121040534 U 2/28 6 Mo LIBOR ARM First Lien 7.49 13.49 121040546 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 121040560 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 121040569 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 121040582 U 2/28 6 Mo LIBOR ARM First Lien 7.625 13.625 121040603 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 121040607 U 2/28 6 Mo LIBOR ARM First Lien 7.84 13.84 121040618 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 121040637 U 2/28 6 Mo LIBOR ARM First Lien 8.7 14.7 121040640 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 121040643 0 Fixed Rate 30 Yr First Lien 0 0 121040649 U 2/28 6 Mo LIBOR ARM First Lien 11.9 17.9 121040650 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 121040656 U 2/28 6 Mo LIBOR ARM First Lien 8.7 14.7 121040679 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 121040682 U 3/27 6 Mo LIBOR ARM First Lien 6.525 12.525 121040689 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 121040704 U 2/28 6 Mo LIBOR ARM First Lien 6.49 12.49 121040714 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 121040724 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 121040730 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 121040732 U 2/28 6 Mo LIBOR ARM First Lien 9.89 15.89 121040744 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 121040773 U 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 121040783 U 2/28 6 Mo LIBOR ARM First Lien 8.7 14.7 121040790 0 Fixed Rate 30 Yr First Lien 0 0 121040791 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 121040811 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 121040812 U 3/27 6 Mo LIBOR ARM First Lien 7.7 13.7 121040818 U 2/28 6 Mo LIBOR ARM First Lien 6.19 12.19 121040834 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 121040841 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 121040855 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 121040861 U 2/28 6 Mo LIBOR ARM First Lien 7.19 13.19 121040869 0 Fixed Rate 20 Yr First Lien 0 0 121040878 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 121040890 0 Fixed Rate 30 Yr First Lien 0 0 121040893 U 2/28 6 Mo LIBOR ARM First Lien 7.69 13.69 121041005 U 2/28 6 Mo LIBOR ARM First Lien 9.55 15.55 121041112 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 131030876 U 2/28 6 Mo LIBOR ARM First Lien 11.3 17.3 131031301 U 2/28 6 Mo LIBOR ARM First Lien 9.1 15.1 131031373 0 Fixed Rate 30 Yr First Lien 0 0 131031552 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 131031694 U 2/28 6 Mo LIBOR ARM First Lien 9.05 15.05 131031838 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 131031899 0 Fixed Rate 30 Yr First Lien 0 0 131031967 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 131032021 U 2/28 6 Mo LIBOR ARM First Lien 7.49 13.49 131032097 U 2/28 6 Mo LIBOR ARM First Lien 8.84 14.84 131032116 0 Fixed Rate 30 Yr First Lien 0 0 131032164 U 2/28 6 Mo LIBOR ARM First Lien 8.7 14.7 131032192 U 2/28 6 Mo LIBOR ARM First Lien 8.99 14.99 131032227 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 131032380 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 131032404 U 2/28 6 Mo LIBOR ARM First Lien 12.45 18.45 131032412 U 2/28 6 Mo LIBOR ARM First Lien 8.7 14.7 131032457 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 131032462 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 131032473 0 Fixed Rate 30 Yr First Lien 0 0 131032486 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 131032529 0 Fixed Rate 30 Yr First Lien 0 0 131032531 U 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 131032565 0 Fixed Rate 30 Yr First Lien 0 0 131032571 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 131032588 U 2/28 6 Mo LIBOR ARM First Lien 7.49 13.49 131032594 U 2/28 6 Mo LIBOR ARM First Lien 9.6 15.6 131032599 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 131032606 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 131032616 0 Fixed Rate 30 Yr First Lien 0 0 131032637 U 2/28 6 Mo LIBOR ARM First Lien 7.875 13.875 131032658 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 131032659 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 131032682 0 Fixed Rate 30 Yr First Lien 0 0 131032704 U 2/28 6 Mo LIBOR ARM First Lien 7.94 13.94 131032713 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 131032718 U 2/28 6 Mo LIBOR ARM First Lien 9.35 15.35 131032719 U 2/28 6 Mo LIBOR ARM First Lien 7.19 13.19 131032737 U 2/28 6 Mo LIBOR ARM First Lien 9.75 15.75 131032752 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 131032782 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 131032796 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 131032800 U 2/28 6 Mo LIBOR ARM First Lien 8 14 131032817 X 0/00 0 Xx XXXXX XXX Xxxxx Xxxx 12.1 18.1 131032833 0 Fixed Rate 30 Yr First Lien 0 0 131032834 0 Fixed Rate 30 Yr First Lien 0 0 131032861 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 131032862 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 131032878 U 2/28 6 Mo LIBOR ARM First Lien 9.5 15.5 131032901 0 Fixed Rate 30 Yr First Lien 0 0 131032902 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 131032923 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 131032925 0 Fixed Rate 30 Yr First Lien 0 0 131032937 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 131032953 U 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 131032954 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 131032969 U 2/28 6 Mo LIBOR ARM First Lien 8.85 14.85 131032970 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 131032975 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 131032998 U 2/28 6 Mo LIBOR ARM First Lien 10.2 16.2 131033004 0 Fixed Rate 30 Yr First Lien 0 0 131033013 U 3/27 6 Mo LIBOR ARM First Lien 8.65 14.65 131033014 U 3/27 6 Mo LIBOR ARM First Lien 8.65 14.65 131033018 U 3/27 6 Mo LIBOR ARM First Lien 8.65 14.65 131033021 U 3/27 6 Mo LIBOR ARM First Lien 8.65 14.65 131033022 U 2/28 6 Mo LIBOR ARM First Lien 10.45 16.45 131033023 0 Fixed Rate 30 Yr First Lien 0 0 131033032 U 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 131033050 U 2/28 6 Mo LIBOR ARM First Lien 8 14 131033053 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 131033073 U 2/28 6 Mo LIBOR ARM First Lien 9.19 15.19 131033087 U 2/28 6 Mo LIBOR ARM First Lien 11.55 17.55 131033114 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 131033115 U 2/28 6 Mo LIBOR ARM First Lien 6.15 12.15 131033147 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 131033150 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 131033159 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 131033160 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 131033164 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 131033182 0 Fixed Rate 30 Yr First Lien 0 0 131033194 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 131033206 0 Fixed Rate 30 Yr First Lien 0 0 131033213 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 131033251 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.45 11.45 131033259 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 131033279 U 2/28 6 Mo LIBOR ARM First Lien 9 15 131033284 0 Fixed Rate 30 Yr First Lien 0 0 131033296 0 Fixed Rate 30 Yr First Lien 0 0 131033304 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 131033305 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 131033327 U 2/28 6 Mo LIBOR ARM First Lien 6 12 131033372 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 131033398 U 2/28 6 Mo LIBOR ARM First Lien 7 13 131033420 0 Fixed Rate 30 Yr First Lien 0 0 131033458 U 2/28 6 Mo LIBOR ARM First Lien 12.2 18.2 131033461 0 Fixed Rate 30 Yr First Lien 0 0 141045827 0 Fixed Rate 30 Yr Rate ReductioFirst Lien 0 0 141045942 U 2/28 6 Mo LIBOR ARM First Lien 8.84 14.84 141046098 0 Fixed Rate 30 Yr First Lien 0 0 141046128 U 2/28 6 Mo LIBOR ARM First Lien 7.44 13.44 141046257 0 Fixed Rate 30 Yr First Lien 0 0 141046366 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 141046446 0 Fixed Rate 30 Yr First Lien 0 0 141046449 U 3/27 6 Mo LIBOR ARM First Lien 7.75 13.75 141046465 0 Fixed Rate 30 Yr First Lien 0 0 141046488 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 141046619 U 2/28 6 Mo LIBOR ARM First Lien 6.89 12.89 141046702 U 3/27 6 Mo LIBOR ARM First Lien 7.45 13.45 141046721 U 3/27 6 Mo LIBOR ARM First Lien 8.15 14.15 141046732 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 141046739 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 141046760 0 Fixed Rate 30 Yr First Lien 0 0 141046773 0 Fixed Rate 30 Yr First Lien 0 0 141046813 U 2/28 6 Mo LIBOR ARM First Lien 8.05 14.05 141046814 U 2/28 6 Mo LIBOR ARM First Lien 8.35 14.35 141046847 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 141046859 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 141046882 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 141046891 0 Fixed Rate 30 Yr 5YR IO First Lien 0 0 141046900 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 141046956 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 141046987 U 2/28 6 Mo LIBOR ARM First Lien 8.71 14.71 141047023 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 141047035 0 Fixed Rate 30 Yr Second Lien 0 0 141047057 0 Fixed Rate 30 Yr First Lien 0 0 141047078 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 141047094 0 Fixed Rate 30 Yr First Lien 0 0 141047112 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 141047121 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 141047142 U 2/28 6 Mo LIBOR ARM First Lien 8 14 141047174 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 141047197 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 141047204 0 Fixed Rate 30 Yr First Lien 0 0 141047206 0 Fixed Rate 30 Yr First Lien 0 0 141047207 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 141047212 0 Fixed Rate 30 Yr First Lien 0 0 141047245 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 141047262 U 2/28 6 Mo LIBOR ARM First Lien 9.3 15.3 141047263 U 2/28 6 Mo LIBOR ARM First Lien 5.25 11.25 141047264 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 141047300 0 Fixed Rate 30 Yr First Lien 0 0 141047302 U 2/28 6 Mo LIBOR ARM First Lien 8 14 141047333 0 Fixed Rate 30 Yr First Lien 0 0 141047335 0 Fixed Rate 30 Yr First Lien 0 0 141047402 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 141047403 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 141047424 0 Fixed Rate 30 Yr First Lien 0 0 141047451 0 Fixed Rate 30 Yr First Lien 0 0 141047459 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 141047497 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 141047502 0 Fixed Rate 30 Yr First Lien 0 0 141047525 0 Fixed Rate 20 Yr First Lien 0 0 141047528 0 Fixed Rate 20 Yr First Lien 0 0 141047553 0 Fixed Rate 30 Yr Second Lien 0 0 141047557 U 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 141047575 U 2/28 6 Mo LIBOR ARM First Lien 9.2 15.2 141047594 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 141047595 0 Fixed Rate 30 Yr First Lien 0 0 141047605 U 3/27 6 Mo LIBOR ARM First Lien 8.05 14.05 141047621 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 141047649 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 141047650 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 141047658 0 Fixed Rate 30 Yr First Lien 0 0 141047676 U 2/28 6 Mo LIBOR ARM First Lien 5.65 11.65 141047682 U 3/27 6 Mo LIBOR ARM First Lien 6.65 12.65 141047692 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 141047717 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 141047719 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 141047731 0 Fixed Rate 30 Yr First Lien 0 0 141047745 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 141047748 U 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 141047750 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 141047752 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 141047761 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 141047794 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 141047802 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 141047807 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 141047810 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 141047815 0 Fixed Rate 30 Yr First Lien 0 0 141047816 U 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 141047819 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 141047826 0 Fixed Rate 30 Yr First Lien 0 0 141047838 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 141047844 0 Fixed Rate 30 Yr First Lien 0 0 141047845 0 Fixed Rate 30 Yr First Lien 0 0 141047859 0 Fixed Rate 30 Yr First Lien 0 0 141047860 0 Fixed Rate 20 Yr First Lien 0 0 141047874 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 141047882 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 141047892 0 Fixed Rate 30 Yr First Lien 0 0 141047897 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 141047921 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 141047922 0 Fixed Rate 30 Yr Second Lien 0 0 141047929 0 Fixed Rate 30 Yr First Lien 0 0 141047932 0 Fixed Rate 20 Yr First Lien 0 0 141047941 U 2/28 6 Mo LIBOR ARM First Lien 6.2 12.2 141047944 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 141047957 U 2/28 6 Mo LIBOR ARM First Lien 9.1 15.1 141047960 0 Fixed Rate 30 Yr First Lien 0 0 141047962 0 Fixed Rate 30 Yr First Lien 0 0 141047964 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 141047965 U 2/28 6 Mo LIBOR ARM First Lien 6.15 12.15 141047986 U 2/28 6 Mo LIBOR ARM First Lien 7 13 141047987 0 Fixed Rate 30 Yr First Lien 0 0 141047995 0 Fixed Rate 30 Yr First Lien 0 0 141047996 U 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 141048002 U 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 141048004 U 2/28 6 Mo LIBOR ARM First Lien 7.69 13.69 141048016 0 Fixed Rate 30 Yr First Lien 0 0 141048023 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 141048031 U 2/28 6 Mo LIBOR ARM First Lien 6.49 12.49 141048033 U 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 141048035 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 141048038 0 Fixed Rate 30 Yr First Lien 0 0 141048040 0 Fixed Rate 15 Yr First Lien 0 0 141048042 U 3/27 6 Mo LIBOR ARM First Lien 7.99 13.99 141048061 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 141048072 0 Fixed Rate 30 Yr First Lien 0 0 141048097 0 Fixed Rate 30 Yr First Lien 0 0 141048100 0 Fixed Rate 30 Yr First Lien 0 0 141048109 0 Fixed Rate 30 Yr First Lien 0 0 141048132 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 141048179 0 Fixed Rate 30 Yr First Lien 0 0 141048246 0 Fixed Rate 30 Yr First Lien 0 0 141048323 U Fixed Rate 15 Yr First Lien 0 0 141048324 U Fixed Rate 15 Yr First Lien 0 0 151028158 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 151028255 U 3/27 6 Mo LIBOR ARM First Lien 7.79 13.79 151028295 U 2/28 6 Mo LIBOR ARM First Lien 8.59 14.59 151028550 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 151028598 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 151028635 0 Fixed Rate 15 Yr First Lien 0 0 151028642 U 3/27 6 Mo LIBOR ARM First Lien 7.9 13.9 151028659 0 Fixed Rate 30 Yr First Lien 0 0 151028672 U 3/27 6 Mo LIBOR ARM First Lien 7.95 13.95 151028699 U 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 151028709 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 151028711 0 Fixed Rate 30 Yr First Lien 0 0 151028766 0 Fixed Rate 30 Yr First Lien 0 0 151028767 U 2/28 6 Mo LIBOR ARM First Lien 8.85 14.85 151028771 0 Fixed Rate 30 Yr First Lien 0 0 151028797 0 Fixed Rate 20 Yr First Lien 0 0 151028805 U 2/28 6 Mo LIBOR ARM First Lien 9.25 15.25 151028806 0 Fixed Rate 30 Yr First Lien 0 0 151028811 U 2/28 6 Mo LIBOR ARM First Lien 8.24 14.24 151028832 0 Fixed Rate 30 Yr First Lien 0 0 151028840 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 151028847 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 151028864 U 2/28 6 Mo LIBOR ARM First Lien 9.15 15.15 151028871 0 Fixed Rate 20 Yr First Lien 0 0 151028883 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 151028899 0 Fixed Rate 30 Yr First Lien 0 0 151028922 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 151028935 U 3/27 6 Mo LIBOR ARM First Lien 7.95 13.95 151028946 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 151028953 U 2/28 6 Mo LIBOR ARM First Lien 5.9 11.9 151028963 0 Fixed Rate 30 Yr First Lien 0 0 151028968 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 151028999 0 Fixed Rate 30 Yr First Lien 0 0 151029001 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 151029005 U 2/28 6 Mo LIBOR ARM First Lien 8.19 14.19 151029013 U 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 151029022 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 151029033 0 Fixed Rate 30 Yr Rate ReductioFirst Lien 0 0 151029039 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 151029042 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 151029046 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 151029049 0 Fixed Rate 30 Yr First Lien 0 0 151029052 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 151029055 0 Fixed Rate 30 Yr First Lien 0 0 151029069 U 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 151029077 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 151029079 0 Fixed Rate 30 Yr First Lien 0 0 151029134 U 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 151029196 0 Fixed Rate 30 Yr First Lien 0 0 161040128 0 Fixed Rate 30 Yr First Lien 0 0 161040458 0 Fixed Rate 30 Yr First Lien 0 0 161040582 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 161041076 U 2/28 6 Mo LIBOR ARM First Lien 5.55 11.55 161041197 U 2/28 6 Mo LIBOR ARM First Lien 9.2 15.2 161041248 0 Fixed Rate 30 Yr First Lien 0 0 161041323 0 Fixed Rate 30 Yr First Lien 0 0 161041362 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 161041479 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 161041531 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 161041562 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 161041588 U 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 161041634 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 161041679 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 161041680 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 161041712 0 Fixed Rate 30 Yr 5YR IO First Lien 0 0 161041810 U 2/28 6 Mo LIBOR ARM First Lien 8.7 14.7 161041813 0 Fixed Rate 30 Yr First Lien 0 0 161041818 U 2/28 6 Mo LIBOR ARM First Lien 6.59 12.59 161041833 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.1 12.1 161041874 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 161041878 U 2/28 6 Mo LIBOR ARM First Lien 8.99 14.99 161041907 0 Fixed Rate 30 Yr First Lien 0 0 161041917 0 Fixed Rate 30 Yr First Lien 0 0 161041918 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 161041943 U 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 161041960 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 161041985 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 161041989 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 161041993 U 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 161041995 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7 13 161042000 U 2/28 6 Mo LIBOR ARM First Lien 9.05 15.05 161042002 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 161042019 0 Fixed Rate 30 Yr First Lien 0 0 161042035 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 161042049 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.5 11.5 161042078 U 3/27 6 Mo LIBOR ARM First Lien 7.3 13.3 161042085 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 161042135 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 161042165 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 161042166 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 161042188 0 Fixed Rate 30 Yr First Lien 0 0 161042196 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 161042199 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 161042201 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 161042205 U 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 161042208 0 Fixed Rate 30 Yr First Lien 0 0 161042212 0 Fixed Rate 30 Yr First Lien 0 0 161042213 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 161042218 U 3/27 6 Mo LIBOR ARM First Lien 7.65 13.65 161042222 U 2/28 6 Mo LIBOR ARM First Lien 9.1 15.1 161042230 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 161042247 U 2/28 6 Mo LIBOR ARM First Lien 5.5 11.5 161042253 U 2/28 6 Mo LIBOR ARM First Lien 6 12 161042269 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 161042277 U 2/28 6 Mo LIBOR ARM First Lien 6.1 12.1 161042278 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 161042281 U 2/28 6 Mo LIBOR ARM First Lien 5.5 11.5 161042294 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 161042301 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 161042302 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 161042310 U 2/28 6 Mo LIBOR ARM First Lien 9.4 15.4 161042315 0 Fixed Rate 30 Yr Second Lien 0 0 161042323 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 161042327 U 2/28 6 Mo LIBOR ARM First Lien 6.2 12.2 161042348 U 2/28 6 Mo LIBOR ARM First Lien 9.35 15.35 161042350 0 Fixed Rate 15 Yr First Lien 0 0 161042351 0 Fixed Rate 30 Yr First Lien 0 0 161042352 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.05 14.05 161042355 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 161042356 0 Fixed Rate 30 Yr First Lien 0 0 161042372 U 2/28 6 Mo LIBOR ARM First Lien 5.05 11.05 161042376 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 161042378 U 2/28 6 Mo LIBOR ARM First Lien 6.15 12.15 161042385 U 2/28 6 Mo LIBOR ARM First Lien 6.69 12.69 161042387 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 161042390 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 161042393 0 Fixed Rate 30 Yr First Lien 0 0 161042395 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 161042401 U 2/28 6 Mo LIBOR ARM First Lien 5.8 11.8 161042404 U 2/28 6 Mo LIBOR ARM First Lien 6.94 12.94 161042409 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 161042410 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 161042424 U 2/28 6 Mo LIBOR ARM First Lien 5.9 11.9 161042434 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 161042459 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 161042462 U 3/27 6 Mo LIBOR ARM First Lien 7.2 13.2 161042464 0 Fixed Rate 30 Yr First Lien 0 0 161042484 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 161042488 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.54 12.54 161042489 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 161042491 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 161042493 U 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 161042497 U 3/27 6 Mo LIBOR ARM First Lien 6.3 12.3 161042506 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 161042511 0 Fixed Rate 30 Yr First Lien 0 0 161042513 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 161042524 0 Fixed Rate 30 Yr First Lien 0 0 161042582 0 Fixed Rate 30 Yr First Lien 0 0 161042588 U 2/28 6 Mo LIBOR ARM First Lien 6.1 12.1 161042615 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 161042624 U 2/28 6 Mo LIBOR ARM First Lien 5.95 11.95 161042641 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.54 11.54 161042655 0 Fixed Rate 30 Yr First Lien 0 0 161042688 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 161042781 U 2/28 6 Mo LIBOR ARM First Lien 7 13 171024698 U 2/28 6 Mo LIBOR ARM First Lien 8 14 171025182 0 Fixed Rate 30 Yr First Lien 0 0 171025358 0 Fixed Rate 30 Yr First Lien 0 0 171025420 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 171025428 U 2/28 6 Mo LIBOR ARM First Lien 6.2 12.2 171025508 0 Fixed Rate 30 Yr First Lien 0 0 171025511 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 171025563 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 171025566 U 2/28 6 Mo LIBOR ARM First Lien 7 13 171025611 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 171025638 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.5 11.5 171025672 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 171025689 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 171025690 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 171025761 U 2/28 6 Mo LIBOR ARM First Lien 8.44 14.44 171025800 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 171025845 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.29 12.29 171025852 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 6.8 12.8 171025881 N 2/28 6 Mo LIBOR ARM First Lien 8.35 14.35 171025884 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 171025894 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 171025901 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 171025916 U 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 171025923 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 171025934 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 171025982 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 171026008 U 2/28 6 Mo LIBOR ARM First Lien 8.49 14.49 171026009 U 2/28 6 Mo LIBOR ARM First Lien 10.55 16.55 171026042 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 171026045 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 6.35 12.35 171026050 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 171026055 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 171026067 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 171026070 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.9 11.9 171026090 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 171026094 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 171026099 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 171026110 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 171026126 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 171026127 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 171026128 U 2/28 6 Mo LIBOR ARM First Lien 9.5 15.5 171026132 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 171026147 U 2/28 6 Mo LIBOR ARM First Lien 7.79 13.79 171026148 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 171026154 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 171026174 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 171026195 U 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 171026219 0 Fixed Rate 30 Yr First Lien 0 0 171026225 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 171026251 U 2/28 6 Mo LIBOR ARM First Lien 8 14 171026253 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 171026261 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 171026269 0 Fixed Rate 30 Yr Rate ReductioFirst Lien 0 0 171026288 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 171026327 U 2/28 6 Mo LIBOR ARM First Lien 8.19 14.19 171026330 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 171026337 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 171026373 U 2/28 6 Mo LIBOR ARM First Lien 5.6 11.6 171026388 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 171026400 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 171026406 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 171026411 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 171026416 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 171026430 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 171026454 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 171026480 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 171026533 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 171026645 U 2/28 6 Mo LIBOR ARM First Lien 8 14 171026654 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 191023716 U 2/28 6 Mo LIBOR ARM First Lien 8.9 14.9 191023857 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 191024176 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 191024290 0 Fixed Rate 30 Yr First Lien 0 0 191024466 N 2/28 6 Mo LIBOR ARM First Lien 8.9 14.9 191024551 0 Fixed Rate 30 Yr First Lien 0 0 191024583 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 191024687 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 191024701 0 Fixed Rate 30 Yr First Lien 0 0 191024713 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 191024736 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 191024738 N 2/28 6 Mo LIBOR ARM First Lien 8.19 14.19 191024748 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 191024838 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7 13 191024887 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 191024901 U 2/28 6 Mo LIBOR ARM First Lien 7.19 13.19 191024908 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 191024938 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 191024996 U 2/28 6 Mo LIBOR ARM First Lien 9.45 15.45 191025025 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 191025047 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 191025054 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 191025058 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 191025066 U 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 191025080 U 2/28 6 Mo LIBOR ARM First Lien 10.05 16.05 191025121 0 Fixed Rate 30 Yr First Lien 0 0 191025149 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 191025153 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 191025166 0 Fixed Rate 30 Yr Second Lien 0 0 191025176 U 2/28 6 Mo LIBOR ARM First Lien 7 13 191025209 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 191025227 N 2/28 6 Mo LIBOR ARM First Lien 9.8 15.8 191025241 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 191025250 0 Fixed Rate 30 Yr First Lien 0 0 191025278 U 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 191025287 U 2/28 6 Mo LIBOR ARM First Lien 8.9 14.9 191025289 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.55 11.55 191025290 U 2/28 6 Mo LIBOR ARM First Lien 7.74 13.74 191025305 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 191025317 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 191025323 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 191025324 0 Fixed Rate 30 Yr Second Lien 0 0 191025337 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7 13 191025358 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 191025363 0 Fixed Rate 30 Yr Second Lien 0 0 191025369 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 191025371 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 191025372 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 191025384 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 191025398 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 191025457 U 2/28 6 Mo LIBOR ARM First Lien 7.59 13.59 191025464 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 211028133 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 211028342 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 211028362 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 211028436 N 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 211028533 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 211028550 0 Fixed Rate 15 Yr First Lien 0 0 211028556 U 2/28 6 Mo LIBOR ARM First Lien 5.85 11.85 211028662 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 211028679 0 Fixed Rate 30 Yr First Lien 0 0 211028724 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 211028810 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 211028871 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 211028949 U 2/28 6 Mo LIBOR ARM First Lien 8.35 14.35 211028975 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 211029036 0 Fixed Rate 30 Yr First Lien 0 0 211029170 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 211029214 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 211029247 N 2/28 6 Mo LIBOR ARM First Lien 10.35 16.35 211029256 U 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 211029280 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 211029329 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 211029370 0 Fixed Rate 30 Yr First Lien 0 0 211029390 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 211029472 U 2/28 6 Mo LIBOR ARM First Lien 8.99 14.99 211029475 U 2/28 6 Mo LIBOR ARM First Lien 9.6 15.6 211029511 0 Fixed Rate 30 Yr First Lien 0 0 211029543 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 211029550 U 2/28 6 Mo LIBOR ARM First Lien 7.24 13.24 211029566 U 2/28 6 Mo LIBOR ARM First Lien 8.9 14.9 211029583 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 211029589 U 2/28 6 Mo LIBOR ARM First Lien 8.29 14.29 211029602 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 211029603 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 211029636 0 Fixed Rate 30 Yr First Lien 0 0 211029638 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 211029686 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 211029705 U 2/28 6 Mo LIBOR ARM First Lien 8 14 211029711 X 0/00 0 Xx XXXXX XXX Xxxxx Xxxx 8.2 14.2 211029724 0 Fixed Rate 30 Yr First Lien 0 0 211029726 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 211029733 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 211029742 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 211029806 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 211029819 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 211029820 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 211029887 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 211029898 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 211029923 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 211029947 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 211029949 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 211029972 U 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 211029977 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 211029980 0 Fixed Rate 30 Yr First Lien 0 0 211029990 U 3/27 6 Mo LIBOR ARM First Lien 7.75 13.75 211029998 U 2/28 6 Mo LIBOR ARM First Lien 9.4 15.4 211030000 N 2/28 6 Mo LIBOR ARM First Lien 9.4 15.4 211030004 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 211030015 0 Fixed Rate 30 Yr 5YR IO First Lien 0 0 211030028 0 Fixed Rate 30 Yr First Lien 0 0 211030051 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 211030082 N 2/28 6 Mo LIBOR ARM First Lien 8.35 14.35 211030087 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 211030090 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 211030121 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 211030131 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 211030141 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 211030156 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 211030161 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 211030193 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 211030205 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 211030210 0 Fixed Rate 30 Yr First Lien 0 0 211030251 U 2/28 6 Mo LIBOR ARM First Lien 9.4 15.4 211030286 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 211030287 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 211030303 U 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 211030322 0 Fixed Rate 30 Yr First Lien 0 0 211030333 U 2/28 6 Mo LIBOR ARM First Lien 8.7 14.7 211030336 N 2/28 6 Mo LIBOR ARM First Lien 9.44 15.44 211030347 N 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 211030352 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 211030359 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 211030360 0 Fixed Rate 30 Yr First Lien 0 0 211030367 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 211030392 0 Fixed Rate 30 Yr First Lien 0 0 211030400 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 211030429 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 211030433 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 211030456 U 2/28 6 Mo LIBOR ARM First Lien 8.7 14.7 211030496 N 2/28 6 Mo LIBOR ARM First Lien 7.37 13.37 211030497 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 211030503 U 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 211030521 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 211030532 U 2/28 6 Mo LIBOR ARM First Lien 9.7 15.7 211030553 N 2/28 6 Mo LIBOR ARM First Lien 10.15 16.15 211030557 U 2/28 6 Mo LIBOR ARM First Lien 8.35 14.35 211030589 N 2/28 6 Mo LIBOR ARM First Lien 8.49 14.49 211030592 U 2/28 6 Mo LIBOR ARM First Lien 9.55 15.55 211030611 U 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 211030650 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 211030683 U 2/28 6 Mo LIBOR ARM First Lien 9.99 15.99 211030688 0 Fixed Rate 30 Yr First Lien 0 0 211030714 N 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 211030776 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 211030782 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 211030796 U 2/28 6 Mo LIBOR ARM First Lien 9.75 15.75 211030819 0 Fixed Rate 30 Yr First Lien 0 0 211030856 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 211030871 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 211030913 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 211030976 U 2/28 6 Mo LIBOR ARM First Lien 6 12 211030987 0 Fixed Rate 15 Yr First Lien 0 0 211031007 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 211031034 0 Fixed Rate 30 Yr First Lien 0 0 211031045 U 2/28 6 Mo LIBOR ARM First Lien 9.7 15.7 211031164 U 2/28 6 Mo LIBOR ARM First Lien 8.01 14.01 211031187 0 Fixed Rate 30 Yr First Lien 0 0 211031193 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 211031211 N 2/28 6 Mo LIBOR ARM First Lien 8 14 211031441 0 Fixed Rate 15 Yr First Lien 0 0 211031523 0 Fixed Rate 30 Yr First Lien 0 0 231062976 0 Fixed Rate 30 Yr First Lien 0 0 231063004 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 231063316 0 Fixed Rate 15 Yr First Lien 0 0 231063424 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 231063554 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 231063758 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 231063885 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 231064222 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 231064374 U 2/28 6 Mo LIBOR ARM First Lien 8.19 14.19 231064526 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 231064600 U 2/28 6 Mo LIBOR ARM First Lien 7.21 13.21 231064604 U 2/28 6 Mo LIBOR ARM First Lien 7 13 231064636 0 Fixed Rate 30 Yr First Lien 0 0 231064965 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 231064977 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 231065021 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 231065156 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 231065215 0 Fixed Rate 30 Yr First Lien 0 0 231065232 U 2/28 6 Mo LIBOR ARM First Lien 7 13 231065245 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 231065314 0 Fixed Rate 30 Yr First Lien 0 0 231065403 U 2/28 6 Mo LIBOR ARM First Lien 9.15 15.15 231065488 0 Fixed Rate 30 Yr First Lien 0 0 231065494 0 Fixed Rate 30 Yr First Lien 0 0 231065518 U 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 231065567 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 231065615 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.3 11.3 231065617 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 231065636 U 2/28 6 Mo LIBOR ARM First Lien 9.85 15.85 231065642 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 231065657 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 231065704 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 231065709 U 3/27 6 Mo LIBOR ARM First Lien 7.75 13.75 231065718 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 231065740 U 2/28 6 Mo LIBOR ARM First Lien 8.99 14.99 231065797 U 2/28 6 Mo LIBOR ARM First Lien 6.64 12.64 231065870 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.9 11.9 231065900 U 2/28 6 Mo LIBOR ARM First Lien 8.85 14.85 231065901 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 231065902 U 2/28 6 Mo LIBOR ARM First Lien 8.7 14.7 231065942 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 231065950 U 2/28 6 Mo LIBOR ARM First Lien 5.8 11.8 231065968 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 8.15 14.15 231066095 0 Fixed Rate 30 Yr First Lien 0 0 231066101 U 2/28 6 Mo LIBOR ARM First Lien 8.85 14.85 231066110 U 2/28 6 Mo LIBOR ARM First Lien 8.85 14.85 231066123 0 Fixed Rate 30 Yr First Lien 0 0 231066137 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 231066156 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 231066166 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 231066172 0 Fixed Rate 30 Yr First Lien 0 0 231066175 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 231066226 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 231066238 U 2/28 6 Mo LIBOR ARM First Lien 8.99 14.99 231066247 0 Fixed Rate 30 Yr First Lien 0 0 231066292 0 Fixed Rate 30 Yr Rate ReductioFirst Lien 0 0 231066306 0 Fixed Rate 30 Yr First Lien 0 0 231066307 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 231066352 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 231066373 U 2/28 6 Mo LIBOR ARM First Lien 9.25 15.25 231066385 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 231066394 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 231066421 U 2/28 6 Mo LIBOR ARM First Lien 6.2 12.2 231066455 U 2/28 6 Mo LIBOR ARM First Lien 6.2 12.2 231066471 0 Fixed Rate 30 Yr First Lien 0 0 231066547 U 2/28 6 Mo LIBOR ARM First Lien 8.9 14.9 231066557 U 2/28 6 Mo LIBOR ARM First Lien 7 13 231066562 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 231066595 U 2/28 6 Mo LIBOR ARM First Lien 9.99 15.99 231066620 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 231066622 U 2/28 6 Mo LIBOR ARM First Lien 9.15 15.15 231066655 0 Fixed Rate 30 Yr Rate ReductioFirst Lien 0 0 231066661 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 231066686 U 2/28 6 Mo LIBOR ARM First Lien 10.5 16.5 231066692 U 2/28 6 Mo LIBOR ARM First Lien 5.6 11.6 231066711 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 231066751 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 231066757 U 2/28 6 Mo LIBOR ARM First Lien 8 14 231066777 U 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 231066795 U 2/28 6 Mo LIBOR ARM First Lien 10 16 231066825 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 231066826 U 3/27 6 Mo LIBOR ARM First Lien 8.95 14.95 231066848 U 2/28 6 Mo LIBOR ARM First Lien 7.19 13.19 231066854 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 231066861 U 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 231066866 U 2/28 6 Mo LIBOR ARM First Lien 7.89 13.89 231066885 0 Fixed Rate 30 Yr Second Lien 0 0 231066900 X 0/00 0 Xx XXXXX XXX Xxxxx Xxxx 7.4 13.4 231066924 0 Fixed Rate 30 Yr First Lien 0 0 231066930 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 231066950 U 3/27 6 Mo LIBOR ARM First Lien 7.2 13.2 231066984 U 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 231066991 0 Fixed Rate 30 Yr First Lien 0 0 231067012 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 231067062 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 231067067 U 2/28 6 Mo LIBOR ARM First Lien 8.7 14.7 231067116 U 2/28 6 Mo LIBOR ARM First Lien 7.14 13.14 231067170 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 231067185 0 Fixed Rate 30 Yr First Lien 0 0 231067198 U 2/28 6 Mo LIBOR ARM First Lien 8.9 14.9 231067204 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 231067235 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 231067255 U 2/28 6 Mo LIBOR ARM First Lien 8.525 14.525 231067260 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 8.9 14.9 231067277 U 3/27 6 Mo LIBOR ARM First Lien 7.2 13.2 231067278 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 231067285 U 2/28 6 Mo LIBOR ARM First Lien 8 14 231067297 X 0/00 0 Xx XXXXX XXX Xxxxx Xxxx 5.7 11.7 231067328 0 Fixed Rate 30 Yr First Lien 0 0 231067344 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 231067351 U 2/28 6 Mo LIBOR ARM First Lien 6.05 12.05 231067358 U 2/28 6 Mo LIBOR ARM First Lien 9.75 15.75 231067366 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 231067370 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 231067374 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 231067393 U 2/28 6 Mo LIBOR ARM First Lien 6.15 12.15 231067394 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 231067408 0 Fixed Rate 30 Yr First Lien 0 0 231067411 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 231067418 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 231067450 U 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 231067472 U 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 231067491 0 Fixed Rate 30 Yr First Lien 0 0 231067494 U 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 231067508 U 2/28 6 Mo LIBOR ARM First Lien 8.84 14.84 231067510 0 Fixed Rate 30 Yr First Lien 0 0 231067531 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 231067579 U 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 231067607 0 Fixed Rate 30 Yr First Lien 0 0 231067633 0 Fixed Rate 30 Yr First Lien 0 0 231067666 0 Fixed Rate 30 Yr First Lien 0 0 231067679 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 231067682 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 231067693 0 Fixed Rate 30 Yr First Lien 0 0 231067779 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 231067810 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 231067824 0 Fixed Rate 30 Yr First Lien 0 0 231067829 U 2/28 6 Mo LIBOR ARM First Lien 6.89 12.89 231067834 U 2/28 6 Mo LIBOR ARM First Lien 5.6 11.6 231067870 U 2/28 6 Mo LIBOR ARM First Lien 6.19 12.19 231067892 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 231067901 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 231067909 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 6.975 12.975 231067949 0 Fixed Rate 30 Yr First Lien 0 0 231067950 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 231067972 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 231068018 0 Fixed Rate 30 Yr Rate ReductioFirst Lien 0 0 231068024 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 231068030 U 2/28 6 Mo LIBOR ARM First Lien 8.9 14.9 231068040 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 231068074 0 Fixed Rate 30 Yr First Lien 0 0 231068092 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 231068104 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 231068158 0 Fixed Rate 30 Yr First Lien 0 0 231068239 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 231068248 U 2/28 6 Mo LIBOR ARM First Lien 8.49 14.49 231068285 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 231068297 0 Fixed Rate 30 Yr Rate ReductioFirst Lien 0 0 231068329 U 2/28 6 Mo LIBOR ARM First Lien 6.74 12.74 231068351 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 231068375 U 3/27 6 Mo LIBOR ARM First Lien 7.75 13.75 231068550 0 Fixed Rate 30 Yr First Lien 0 0 231068710 0 Fixed Rate 30 Yr First Lien 0 0 231068736 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 251036117 0 Fixed Rate 20 Yr First Lien 0 0 251036205 0 Fixed Rate 30 Yr First Lien 0 0 251036485 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 251036553 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 251036736 U 3/27 6 Mo LIBOR ARM First Lien 7.04 13.04 251036780 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 251036805 U 2/28 6 Mo LIBOR ARM First Lien 6.79 12.79 251036861 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 251036870 U 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 251036922 U 2/28 6 Mo LIBOR ARM First Lien 6.79 12.79 251036929 U 2/28 6 Mo LIBOR ARM First Lien 6 12 261051767 0 Fixed Rate 30 Yr First Lien 0 0 261051929 0 Fixed Rate 20 Yr First Lien 0 0 261051937 U 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 261051940 0 Fixed Rate 15 Yr First Lien 0 0 261051993 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 261052002 U 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 261052051 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 261052068 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 261052115 U 2/28 6 Mo LIBOR ARM First Lien 7 13 261052122 U 2/28 6 Mo LIBOR ARM First Lien 9.95 15.95 261052155 U 2/28 6 Mo LIBOR ARM First Lien 8.85 14.85 261052158 U 2/28 6 Mo LIBOR ARM First Lien 11.9 17.9 261052189 0 Fixed Rate 30 Yr First Lien 0 0 261052196 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 261052261 U 2/28 6 Mo LIBOR ARM First Lien 10.1 16.1 261052271 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 261052357 U 6 Mo LIBOR ARM 30 Yr First Lien 6.4 12.4 261052359 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 261052392 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 261052397 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 261052408 U 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 261052457 U 2/28 6 Mo LIBOR ARM First Lien 9.29 15.29 261052461 U 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 261052472 0 Fixed Rate 30 Yr First Lien 0 0 261052475 0 Fixed Rate 15 Yr First Lien 0 0 261052486 U 2/28 6 Mo LIBOR ARM First Lien 7.79 13.79 261052494 U 2/13 6 Mo LIBOR ARM First Lien 6.9 12.9 261052495 U 2/13 6 Mo LIBOR ARM First Lien 6.9 12.9 261052501 U 2/13 6 Mo LIBOR ARM First Lien 6.9 12.9 261052517 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 261052530 U 2/28 6 Mo LIBOR ARM First Lien 9.7 15.7 261052536 U 2/28 6 Mo LIBOR ARM First Lien 7.29 13.29 261052553 0 Fixed Rate 30 Yr First Lien 0 0 261052555 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 261052559 U 2/28 6 Mo LIBOR ARM First Lien 8 14 261052560 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 261052562 0 Fixed Rate 30 Yr First Lien 0 0 261052563 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 261052564 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 261052586 0 Fixed Rate 30 Yr First Lien 0 0 261052588 0 Fixed Rate 30 Yr First Lien 0 0 261052597 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 261052601 U 2/28 6 Mo LIBOR ARM First Lien 8.87 14.87 261052602 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 261052603 0 Fixed Rate 15 Yr First Lien 0 0 261052612 U 2/28 6 Mo LIBOR ARM First Lien 8.35 14.35 261052645 0 Fixed Rate 30 Yr First Lien 0 0 261052653 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 261052654 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 261052807 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 261052837 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 271021479 U 2/28 6 Mo LIBOR ARM First Lien 8.9 14.9 271021821 U 2/28 6 Mo LIBOR ARM First Lien 8.7 14.7 271021862 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.7 11.7 271021879 U 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 271021889 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 271021911 U 2/28 6 Mo LIBOR ARM First Lien 6.975 12.975 271021965 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6 12 271021986 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 271022013 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 271022017 0 Fixed Rate 30 Yr First Lien 0 0 271022021 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 271022024 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 271022074 U 2/28 6 Mo LIBOR ARM First Lien 7.19 13.19 271022077 U 2/28 6 Mo LIBOR ARM First Lien 7.525 13.525 271022080 U 2/28 6 Mo LIBOR ARM First Lien 8.44 14.44 271022093 U 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 271022106 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 271022126 U 2/28 6 Mo LIBOR ARM First Lien 7.69 13.69 271022130 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 271022168 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 271022179 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 271022225 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 271022229 U 2/28 6 Mo LIBOR ARM First Lien 6.34 12.34 271022238 U 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 271022239 U 2/28 6 Mo LIBOR ARM First Lien 9.1 15.1 271022260 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 271022266 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 271022312 U 2/28 6 Mo LIBOR ARM First Lien 5.94 11.94 271022320 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 271022323 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 271022346 0 Fixed Rate 30 Yr Second Lien 0 0 271022360 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 271022364 U 2/28 6 Mo LIBOR ARM First Lien 8 14 271022366 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 271022383 U 2/28 6 Mo LIBOR ARM First Lien 6.15 12.15 271022384 U 2/28 6 Mo LIBOR ARM First Lien 6 12 271022394 U 2/28 6 Mo LIBOR ARM First Lien 9.55 15.55 271022398 U 2/28 6 Mo LIBOR ARM First Lien 8.7 14.7 271022403 U 2/28 6 Mo LIBOR ARM First Lien 5.95 11.95 271022408 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 271022421 U 2/28 6 Mo LIBOR ARM First Lien 5.94 11.94 271022447 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 271022448 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 271022456 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 271022461 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 271022475 0 Fixed Rate 20 Yr Second Lien 0 0 271022493 U 2/28 6 Mo LIBOR ARM First Lien 7.475 13.475 271022508 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 271022519 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 271022521 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 271022530 0 Fixed Rate 30 Yr First Lien 0 0 271022540 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 271022542 U 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 271022565 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 271022592 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6 12 271022635 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 271022667 0 Fixed Rate 30 Yr Second Lien 0 0 271022680 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 271022687 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 281015040 U 2/28 6 Mo LIBOR ARM First Lien 8.7 14.7 281015069 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.05 14.05 281015216 U 2/28 6 Mo LIBOR ARM First Lien 10.2 16.2 281015223 0 Fixed Rate 30 Yr First Lien 0 0 281015241 U 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 281015392 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 281015396 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 281015423 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 281015458 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 281015479 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 281015480 0 Fixed Rate 20 Yr First Lien 0 0 281015491 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 281015493 U 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 281015498 U 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 281015516 0 Fixed Rate 15 Yr First Lien 0 0 281015524 0 Fixed Rate 15 Yr First Lien 0 0 281015527 0 Fixed Rate 30 Yr First Lien 0 0 281015529 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 281015561 U 2/28 6 Mo LIBOR ARM First Lien 8.9 14.9 281015594 U 2/28 6 Mo LIBOR ARM First Lien 9.55 15.55 281015601 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 281015619 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 281015622 0 Fixed Rate 30 Yr First Lien 0 0 281015642 0 Fixed Rate 30 Yr First Lien 0 0 281015657 0 Fixed Rate 30 Yr First Lien 0 0 281015663 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 281015668 U 2/28 6 Mo LIBOR ARM First Lien 7.875 13.875 281015672 0 Fixed Rate 20 Yr First Lien 0 0 281015719 0 Fixed Rate 20 Yr First Lien 0 0 281015789 U 2/28 6 Mo LIBOR ARM First Lien 8.79 14.79 291000354 0 Fixed Rate 30 Yr First Lien 0 0 291000383 U 2/28 6 Mo LIBOR ARM First Lien 6.2 12.2 291000399 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.25 11.25 291000557 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 291000569 0 Fixed Rate 30 Yr First Lien 0 0 291000587 U 2/28 6 Mo LIBOR ARM First Lien 6.19 12.19 291000606 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 291000661 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 291000676 U 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 291000687 0 Fixed Rate 30 Yr First Lien 0 0 291000703 0 Fixed Rate 30 Yr First Lien 0 0 291000717 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 291000745 U 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 291000759 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 291000770 0 Fixed Rate 30 Yr First Lien 0 0 291000789 U 2/28 6 Mo LIBOR ARM First Lien 6.05 12.05 291000816 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 291000838 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 291000840 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.44 12.44 291000847 U 2/28 6 Mo LIBOR ARM First Lien 8.85 14.85 291000850 U 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 291000862 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 301000751 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 301000980 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 301001190 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 301001220 0 Fixed Rate 30 Yr First Lien 0 0 301001254 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 301001276 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 301001278 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 301001286 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 301001359 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 301001384 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 301001403 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 301001458 0 Fixed Rate 30 Yr First Lien 0 0 301001490 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 301001510 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 301001538 U 2/28 6 Mo LIBOR ARM First Lien 8.35 14.35 301001543 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 301001546 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.9 14.9 301001586 0 Fixed Rate 30 Yr First Lien 0 0 301001642 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 301001671 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 301001703 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 301001729 N 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 301001737 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 301001780 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 301001787 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 301001866 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 301001871 0 Fixed Rate 30 Yr First Lien 0 0 301001933 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 311026969 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 311027014 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 311027063 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 311027070 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 311027097 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 311027136 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 311027150 U 2/28 6 Mo LIBOR ARM First Lien 9.15 15.15 311027153 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 311027187 U 2/28 6 Mo LIBOR ARM First Lien 8.99 14.99 311027193 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 311027224 0 Fixed Rate 30 Yr First Lien 0 0 311027304 0 Fixed Rate 30 Yr First Lien 0 0 311027307 U 2/28 6 Mo LIBOR ARM First Lien 9.35 15.35 311027313 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 311027318 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 311027324 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 311027326 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 311027361 U 2/28 6 Mo LIBOR ARM First Lien 9.45 15.45 311027368 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 311027370 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 311027383 U 3/27 6 Mo LIBOR ARM First Lien 7.8 13.8 311027384 U 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 311027390 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 311027400 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 311027402 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 311027407 U 2/28 6 Mo LIBOR ARM First Lien 9.45 15.45 311027408 0 Fixed Rate 30 Yr First Lien 0 0 311027423 U 2/28 6 Mo LIBOR ARM First Lien 8.85 14.85 311027428 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 311027439 U 2/28 6 Mo LIBOR ARM First Lien 6.15 12.15 311027441 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 311027457 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 311027458 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 311027459 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 311027460 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 311027465 0 Fixed Rate 30 Yr First Lien 0 0 311027479 0 Fixed Rate 30 Yr First Lien 0 0 311027481 U 2/28 6 Mo LIBOR ARM First Lien 5.5 11.5 311027496 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 311027516 0 Fixed Rate 30 Yr First Lien 0 0 311027523 U 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 321025438 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 321025757 0 Fixed Rate 30 Yr First Lien 0 0 321025843 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 321025852 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 321025868 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.24 13.24 321025975 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.65 11.65 321026048 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 321026067 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 321026084 U 3/27 6 Mo LIBOR ARM First Lien 6.54 12.54 321026098 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 321026138 0 Fixed Rate 30 Yr First Lien 0 0 321026173 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 321026235 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 321026268 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.24 12.24 321026279 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.74 12.74 321026295 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 321026334 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 321026337 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 321026390 0 Fixed Rate 30 Yr First Lien 0 0 321026405 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 321026426 U 2/28 6 Mo LIBOR ARM First Lien 7.39 13.39 321026427 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.39 12.39 321026439 U 2/28 6 Mo LIBOR ARM First Lien 8.85 14.85 321026445 0 Fixed Rate 30 Yr First Lien 0 0 321026460 U 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 321026478 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 321026480 0 Fixed Rate 30 Yr First Lien 0 0 321026515 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 321026516 0 Fixed Rate 30 Yr First Lien 0 0 321026518 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 321026533 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 321026557 U 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 321026583 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 321026587 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.39 13.39 321026589 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 321026591 U 2/28 6 Mo LIBOR ARM First Lien 7.09 13.09 321026622 U 2/28 6 Mo LIBOR ARM First Lien 9.1 15.1 321026625 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 321026694 0 Fixed Rate 30 Yr First Lien 0 0 321026699 U 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 321026744 U 3/27 6 Mo LIBOR ARM First Lien 6.225 12.225 321026746 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 321026747 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 321026759 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 321026762 U 2/28 6 Mo LIBOR ARM First Lien 7.29 13.29 321026765 U 2/28 6 Mo LIBOR ARM First Lien 7.44 13.44 321026771 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 321026787 U 2/28 6 Mo LIBOR ARM First Lien 6.39 12.39 321026796 0 Fixed Rate 30 Yr First Lien 0 0 321026811 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 321026814 U 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 321026818 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.64 11.64 321026820 U 2/28 6 Mo LIBOR ARM First Lien 9 15 321026821 U 3/27 6 Mo LIBOR ARM First Lien 5.8 11.8 321026822 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 321026830 0 Fixed Rate 30 Yr First Lien 0 0 321026831 0 Fixed Rate 30 Yr First Lien 0 0 321026834 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 321026871 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 321026879 U 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 321026887 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 321026904 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 321026915 U 2/28 6 Mo LIBOR ARM First Lien 7.29 13.29 321026919 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 321026937 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 321026942 0 Fixed Rate 30 Yr First Lien 0 0 321026945 0 Fixed Rate 30 Yr First Lien 0 0 321026956 U 2/28 6 Mo LIBOR ARM First Lien 10.9 16.9 321026985 0 Fixed Rate 30 Yr First Lien 0 0 321027038 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 321027050 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 321027052 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 321027083 U 2/28 6 Mo LIBOR ARM First Lien 7.79 13.79 321027099 0 Fixed Rate 30 Yr First Lien 0 0 321027105 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 321027108 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 321027163 U 2/28 6 Mo LIBOR ARM First Lien 7.84 13.84 321027182 U 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 331035464 0 Fixed Rate 30 Yr First Lien 0 0 331035727 0 Fixed Rate 15 Yr First Lien 0 0 331035778 U 2/28 6 Mo LIBOR ARM First Lien 6.05 12.05 331035906 0 Fixed Rate 30 Yr First Lien 0 0 331036016 U 2/28 6 Mo LIBOR ARM First Lien 8.35 14.35 331036290 U 2/28 6 Mo LIBOR ARM First Lien 9.8 15.8 331036457 0 Fixed Rate 30 Yr First Lien 0 0 331036464 0 Fixed Rate 30 Yr First Lien 0 0 331036471 U 3/27 6 Mo LIBOR ARM First Lien 6.56 12.56 331036507 0 Fixed Rate 30 Yr First Lien 0 0 331036622 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 331036671 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 331036677 U 3/27 6 Mo LIBOR ARM First Lien 6 12 331036678 U Fixed Rate 30 Yr Second Lien 0 0 331036685 U 2/28 6 Mo LIBOR ARM First Lien 9.75 15.75 331036698 U 2/28 6 Mo LIBOR ARM First Lien 9.9 15.9 331036724 0 Fixed Rate 30 Yr First Lien 0 0 331036736 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 331036738 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 7.25 13.25 331036799 0 Fixed Rate 20 Yr First Lien 0 0 331036830 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 331036832 U 3/27 6 Mo LIBOR ARM First Lien 7.5 13.5 331036838 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 331036847 U 3/27 6 Mo LIBOR ARM First Lien 7.5 13.5 331036864 0 Fixed Rate 30 Yr First Lien 0 0 331036936 U 3/27 6 Mo LIBOR ARM First Lien 7.2 13.2 331036944 0 Fixed Rate 30 Yr First Lien 0 0 331036959 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 331036962 0 Fixed Rate 30 Yr First Lien 0 0 331036976 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 331036980 U 3/27 6 Mo LIBOR ARM First Lien 6.25 12.25 331037006 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 331037023 U 2/28 6 Mo LIBOR ARM First Lien 8.35 14.35 331037037 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 331037088 0 Fixed Rate 30 Yr First Lien 0 0 331037106 0 Fixed Rate 30 Yr First Lien 0 0 331037110 0 Fixed Rate 30 Yr First Lien 0 0 331037127 0 Fixed Rate 30 Yr First Lien 0 0 331037128 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 331037134 U 2/28 6 Mo LIBOR ARM First Lien 9.99 15.99 331037149 U 2/28 6 Mo LIBOR ARM First Lien 8.19 14.19 331037160 0 Fixed Rate 30 Yr First Lien 0 0 331037216 0 Fixed Rate 30 Yr First Lien 0 0 331037237 0 Fixed Rate 15 Yr First Lien 0 0 331037246 0 Fixed Rate 30 Yr First Lien 0 0 331037255 0 Fixed Rate 30 Yr First Lien 0 0 331037266 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 331037292 U 3/27 6 Mo LIBOR ARM First Lien 7.9 13.9 331037316 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 331037320 U 3/27 6 Mo LIBOR ARM First Lien 8.4 14.4 331037350 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 331037353 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 331037367 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 331037371 0 Fixed Rate 15 Yr Second Lien 0 0 331037395 0 Fixed Rate 30 Yr First Lien 0 0 331037417 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 331037422 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 331037466 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 331037485 U 2/28 6 Mo LIBOR ARM First Lien 8.99 14.99 331037497 U 2/28 6 Mo LIBOR ARM First Lien 9.4 15.4 331037501 0 Fixed Rate 30 Yr First Lien 0 0 331037509 U 2/28 6 Mo LIBOR ARM First Lien 11.2 17.2 331037513 U 2/28 6 Mo LIBOR ARM First Lien 8.59 14.59 331037528 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 331037532 0 Fixed Rate 30 Yr First Lien 0 0 331037533 0 Fixed Rate 30 Yr First Lien 0 0 331037535 0 Fixed Rate 30 Yr Rate ReductioFirst Lien 0 0 331037564 U 3/27 6 Mo LIBOR ARM First Lien 6.79 12.79 331037582 0 Fixed Rate 30 Yr First Lien 0 0 331037591 0 Fixed Rate 30 Yr First Lien 0 0 331037594 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 331037626 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 331037629 0 Fixed Rate 30 Yr 5YR IO First Lien 0 0 331037630 0 Fixed Rate 30 Yr Rate ReductioFirst Lien 0 0 331037631 0 Fixed Rate 30 Yr First Lien 0 0 331037633 0 Fixed Rate 30 Yr First Lien 0 0 331037655 U 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 331037656 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 331037663 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 331037665 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 331037674 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 331037676 0 Fixed Rate 30 Yr First Lien 0 0 331037681 U 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 331037684 U Fixed Rate 30 Yr First Lien 0 0 331037693 0 Fixed Rate 30 Yr First Lien 0 0 331037697 0 Fixed Rate 30 Yr First Lien 0 0 331037707 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 331037735 U 2/28 6 Mo LIBOR ARM First Lien 8.59 14.59 331037740 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 331037748 0 Fixed Rate 30 Yr First Lien 0 0 331037750 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 331037781 0 Fixed Rate 30 Yr First Lien 0 0 331037810 0 Fixed Rate 30 Yr First Lien 0 0 331037826 0 Fixed Rate 30 Yr First Lien 0 0 331037829 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 331037830 0 Fixed Rate 30 Yr First Lien 0 0 331037833 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 331037834 U 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 331037839 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 331037875 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 331037890 0 Fixed Rate 30 Yr First Lien 0 0 331037906 U 2/28 6 Mo LIBOR ARM First Lien 8.7 14.7 331037911 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 331037918 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 331037927 0 Fixed Rate 20 Yr First Lien 0 0 331037955 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 331037958 U 3/27 6 Mo LIBOR ARM First Lien 5.99 11.99 331037962 0 Fixed Rate 30 Yr Second Lien 0 0 331038052 U 2/28 6 Mo LIBOR ARM First Lien 6.375 12.375 331038054 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 331038062 U 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 331038073 0 Fixed Rate 30 Yr First Lien 0 0 331038104 0 Fixed Rate 30 Yr First Lien 0 0 331038135 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 331038167 0 Fixed Rate 30 Yr First Lien 0 0 331038210 0 Fixed Rate 30 Yr First Lien 0 0 331038242 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 331038294 0 Fixed Rate 30 Yr First Lien 0 0 341022209 0 Fixed Rate 30 Yr First Lien 0 0 341022484 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 341022715 N 2/28 6 Mo LIBOR ARM First Lien 9.1 15.1 341023099 U 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 341023510 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 341023530 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 341023588 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 341023729 U 2/28 6 Mo LIBOR ARM First Lien 8.35 14.35 341023857 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 341024128 U 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 341024131 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 341024170 0 Fixed Rate 30 Yr First Lien 0 0 341024175 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 341024204 U 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 341024207 0 Fixed Rate 30 Yr First Lien 0 0 341024293 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 341024294 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 341024338 U 3/27 6 Mo LIBOR ARM First Lien 8.49 14.49 341024352 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.59 13.59 341024380 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 341024398 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 341024407 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 341024409 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 341024425 N 3/27 6 Mo LIBOR ARM First Lien 9.2 15.2 341024430 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 341024440 U 2/28 6 Mo LIBOR ARM First Lien 9.55 15.55 341024442 U 2/28 6 Mo LIBOR ARM First Lien 7.64 13.64 341024458 U 2/28 6 Mo LIBOR ARM First Lien 10 16 341024463 U 2/28 6 Mo LIBOR ARM First Lien 8 14 341024465 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 341024472 U 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 341024474 0 Fixed Rate 30 Yr First Lien 0 0 341024514 0 Fixed Rate 30 Yr First Lien 0 0 341024567 U 2/28 6 Mo LIBOR ARM First Lien 6.49 12.49 341024574 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 341024578 U 2/28 6 Mo LIBOR ARM First Lien 8.85 14.85 341024633 U 2/28 6 Mo LIBOR ARM First Lien 10.15 16.15 341024636 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 341024659 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 341024668 U 2/28 6 Mo LIBOR ARM First Lien 6.59 12.59 341024686 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 341024688 U 2/28 6 Mo LIBOR ARM First Lien 7.24 13.24 341024713 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 341024715 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 341024730 N 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 341024761 U 2/28 6 Mo LIBOR ARM First Lien 8.7 14.7 341024780 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 341024790 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 341024802 U 2/28 6 Mo LIBOR ARM First Lien 8.9 14.9 341024817 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 341024843 U 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 341024848 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 341024866 U 3/27 6 Mo LIBOR ARM First Lien 7.99 13.99 341024874 U 3/27 6 Mo LIBOR ARM First Lien 8.2 14.2 341024878 U 3/27 6 Mo LIBOR ARM First Lien 8.2 14.2 341024881 U 3/27 6 Mo LIBOR ARM First Lien 7.95 13.95 341024882 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 341024896 0 Fixed Rate 30 Yr First Lien 0 0 341024899 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 341024908 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 341024922 U 2/28 6 Mo LIBOR ARM First Lien 8.35 14.35 341024927 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 341024943 U 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 341024958 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 341024974 0 Fixed Rate 30 Yr First Lien 0 0 341024985 U 2/28 6 Mo LIBOR ARM First Lien 9.55 15.55 341024986 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 341024996 0 Fixed Rate 30 Yr First Lien 0 0 341025002 0 Fixed Rate 30 Yr First Lien 0 0 341025009 U 2/28 6 Mo LIBOR ARM First Lien 7.24 13.24 341025011 U 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 341025013 U 2/28 6 Mo LIBOR ARM First Lien 8.85 14.85 341025049 U 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 341025057 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 341025062 0 Fixed Rate 20 Yr First Lien 0 0 341025064 U 2/28 6 Mo LIBOR ARM First Lien 10 16 341025066 X 0/00 0 Xx XXXXX XXX Xxxxx Xxxx 9.9 15.9 341025074 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 341025076 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 341025077 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 341025079 0 Fixed Rate 30 Yr First Lien 0 0 341025091 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 341025095 U 2/28 6 Mo LIBOR ARM First Lien 8.44 14.44 341025118 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 341025119 0 Fixed Rate 30 Yr First Lien 0 0 341025121 U 2/28 6 Mo LIBOR ARM First Lien 10.2 16.2 341025132 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 341025138 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 341025139 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 341025144 U 2/28 6 Mo LIBOR ARM First Lien 6.94 12.94 341025152 U 2/28 6 Mo LIBOR ARM First Lien 10.2 16.2 341025153 U 2/28 6 Mo LIBOR ARM First Lien 7.59 13.59 341025160 U 2/28 6 Mo LIBOR ARM First Lien 9.5 15.5 341025162 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 341025167 0 Fixed Rate 30 Yr First Lien 0 0 341025171 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 341025180 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 341025186 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 341025189 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 341025206 U 2/28 6 Mo LIBOR ARM First Lien 7.69 13.69 341025220 U 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 341025231 U 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 341025250 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.34 13.34 341025253 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 341025256 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 341025273 U 2/28 6 Mo LIBOR ARM First Lien 7.69 13.69 341025293 0 Fixed Rate 30 Yr First Lien 0 0 341025294 0 Fixed Rate 15 Yr First Lien 0 0 341025308 0 Fixed Rate 30 Yr First Lien 0 0 341025334 0 Fixed Rate 30 Yr Rate ReductioFirst Lien 0 0 341025336 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 341025351 0 Fixed Rate 30 Yr First Lien 0 0 341025376 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 341025384 U 2/28 6 Mo LIBOR ARM First Lien 9.59 15.59 341025406 U 2/28 6 Mo LIBOR ARM First Lien 5.65 11.65 341025411 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 341025415 U 2/28 6 Mo LIBOR ARM First Lien 8.85 14.85 341025428 U 2/28 6 Mo LIBOR ARM First Lien 9.05 15.05 341025431 U 2/28 6 Mo LIBOR ARM First Lien 7.59 13.59 341025443 0 Fixed Rate 30 Yr First Lien 0 0 341025454 0 Fixed Rate 30 Yr First Lien 0 0 341025455 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 341025465 U 2/28 6 Mo LIBOR ARM First Lien 7.59 13.59 341025496 0 Fixed Rate 30 Yr First Lien 0 0 341025498 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 341025509 U 2/28 6 Mo LIBOR ARM First Lien 5.9 11.9 341025520 0 Fixed Rate 30 Yr First Lien 0 0 341025564 0 Fixed Rate 30 Yr First Lien 0 0 341025579 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 351025078 0 Fixed Rate 30 Yr First Lien 0 0 351025492 0 Fixed Rate 30 Yr First Lien 0 0 351025504 0 Fixed Rate 15 Yr First Lien 0 0 351025529 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 351025802 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 351025811 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 351025866 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 351026099 U 2/28 6 Mo LIBOR ARM First Lien 9.05 15.05 351026133 0 Fixed Rate 30 Yr 5YR IO First Lien 0 0 351026150 0 Fixed Rate 30 Yr First Lien 0 0 351026188 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 351026248 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 351026321 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 351026334 N 2/28 6 Mo LIBOR ARM First Lien 6.05 12.05 351026369 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 351026384 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 351026429 N 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 351026448 N 2/28 6 Mo LIBOR ARM First Lien 11.8 17.8 351026470 0 Fixed Rate 30 Yr First Lien 0 0 351026475 0 Fixed Rate 30 Yr First Lien 0 0 351026480 U 3/27 6 Mo LIBOR ARM First Lien 7.3 13.3 351026527 0 Fixed Rate 30 Yr First Lien 0 0 351026540 U 2/28 6 Mo LIBOR ARM First Lien 9.99 15.99 351026542 0 Fixed Rate 15 Yr First Lien 0 0 351026557 N 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 351026570 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 351026587 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 351026599 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 351026602 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 351026605 U 2/28 6 Mo LIBOR ARM First Lien 6.2 12.2 351026633 0 Fixed Rate 30 Yr First Lien 0 0 351026636 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 351026639 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 351026640 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 351026658 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 351026678 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 351026706 0 Fixed Rate 30 Yr Rate ReductioFirst Lien 0 0 351026707 0 Fixed Rate 30 Yr First Lien 0 0 351026709 U Fixed Rate 30 Yr First Lien 0 0 351026742 0 Fixed Rate 30 Yr First Lien 0 0 351026744 U 2/28 6 Mo LIBOR ARM First Lien 8.05 14.05 351026753 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 351026762 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 351026764 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 351026766 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 351026767 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 351026771 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.7 11.7 351026785 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 351026799 U 2/28 6 Mo LIBOR ARM First Lien 11.99 17.99 351026800 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 351026802 0 Fixed Rate 30 Yr First Lien 0 0 351026827 0 Fixed Rate 30 Yr First Lien 0 0 351026828 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 351026851 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 351026861 0 Fixed Rate 30 Yr First Lien 0 0 351026868 0 Fixed Rate 30 Yr First Lien 0 0 351026886 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 351026890 N 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 351026898 0 Fixed Rate 15 Yr First Lien 0 0 351026899 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 351026903 0 Fixed Rate 30 Yr First Lien 0 0 351026915 U 2/28 6 Mo LIBOR ARM First Lien 10.99 16.99 351026931 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 351026937 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 351026940 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 351026941 0 Fixed Rate 30 Yr First Lien 0 0 351026946 0 Fixed Rate 30 Yr First Lien 0 0 351026947 U 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 351026951 N 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 351026981 N 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 351026991 0 Fixed Rate 30 Yr First Lien 0 0 351027012 0 Fixed Rate 30 Yr First Lien 0 0 351027016 0 Fixed Rate 30 Yr First Lien 0 0 351027029 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 351027037 0 Fixed Rate 30 Yr First Lien 0 0 351027041 0 Fixed Rate 30 Yr First Lien 0 0 351027043 0 Fixed Rate 30 Yr First Lien 0 0 351027060 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 351027061 0 Fixed Rate 30 Yr First Lien 0 0 351027091 0 Fixed Rate 30 Yr First Lien 0 0 351027093 0 Fixed Rate 30 Yr First Lien 0 0 351027103 0 Fixed Rate 30 Yr First Lien 0 0 351027113 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 351027116 U 2/28 6 Mo LIBOR ARM First Lien 5.7 11.7 351027125 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 351027128 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 351027131 N 3/27 6 Mo LIBOR ARM First Lien 7 13 351027138 X 0/00 0 Xx XXXXX XXX Xxxxx Xxxx 8.5 14.5 351027142 0 Fixed Rate 30 Yr First Lien 0 0 351027146 N 2/28 6 Mo LIBOR ARM First Lien 7 13 351027151 0 Fixed Rate 30 Yr First Lien 0 0 351027164 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 351027165 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 351027204 0 Fixed Rate 30 Yr First Lien 0 0 351027207 U 2/28 6 Mo LIBOR ARM First Lien 8.69 14.69 351027216 0 Fixed Rate 30 Yr First Lien 0 0 351027226 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 351027232 0 Fixed Rate 30 Yr First Lien 0 0 351027262 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 351027265 U 3/27 6 Mo LIBOR ARM First Lien 9.7 15.7 351027279 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 351027298 0 Fixed Rate 30 Yr First Lien 0 0 351027328 0 Fixed Rate 30 Yr First Lien 0 0 351027331 U 3/27 6 Mo LIBOR ARM First Lien 6.84 12.84 351027336 0 Fixed Rate 15 Yr First Lien 0 0 351027355 U 2/28 6 Mo LIBOR ARM First Lien 9.25 15.25 351027361 0 Fixed Rate 30 Yr First Lien 0 0 351027367 0 Fixed Rate 30 Yr First Lien 0 0 351027400 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 351027405 U 2/28 6 Mo LIBOR ARM First Lien 11.3 17.3 351027429 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 351027452 0 Fixed Rate 30 Yr First Lien 0 0 351027455 0 Fixed Rate 30 Yr First Lien 0 0 351027459 U 2/28 6 Mo LIBOR ARM First Lien 8.04 14.04 351027461 0 Fixed Rate 30 Yr First Lien 0 0 351027490 U Fixed Rate 30 Yr First Lien 0 0 351027529 0 Fixed Rate 30 Yr First Lien 0 0 351027573 0 Fixed Rate 15 Yr First Lien 0 0 351027576 0 Fixed Rate 30 Yr First Lien 0 0 351027608 0 Fixed Rate 30 Yr First Lien 0 0 361022539 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 361022651 0 Fixed Rate 30 Yr First Lien 0 0 361024402 U 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 361024438 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 361024485 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 361024547 U 3/27 6 Mo LIBOR ARM First Lien 7.34 13.34 361024593 U 2/28 6 Mo LIBOR ARM First Lien 7.19 13.19 361024615 U 2/28 6 Mo LIBOR ARM First Lien 8.79 14.79 361024645 U 3/27 6 Mo LIBOR ARM First Lien 9.54 15.54 361024687 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 361024694 U 2/28 6 Mo LIBOR ARM First Lien 8.05 14.05 361024744 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 361024751 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 361024762 U 2/28 6 Mo LIBOR ARM First Lien 10.9 16.9 361024785 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 361024793 U 3/27 6 Mo LIBOR ARM First Lien 11.2 17.2 361024797 U 2/28 6 Mo LIBOR ARM First Lien 9.95 15.95 361024799 U 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 361024821 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 361024829 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 361024907 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 361024930 U 2/28 6 Mo LIBOR ARM First Lien 10.19 16.19 361024936 0 Fixed Rate 30 Yr First Lien 0 0 361024948 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 361024958 0 Fixed Rate 30 Yr First Lien 0 0 361025017 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 361025027 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 361025045 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 361025055 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 361025071 U 2/28 6 Mo LIBOR ARM First Lien 8.05 14.05 361025087 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 361025093 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 361025120 U 2/28 6 Mo LIBOR ARM First Lien 6.59 12.59 361025142 U 2/28 6 Mo LIBOR ARM First Lien 6.89 12.89 361025158 U 3/27 6 Mo LIBOR ARM First Lien 6.175 12.175 361025161 U 2/28 6 Mo LIBOR ARM First Lien 8.49 14.49 361025162 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 361025178 0 Fixed Rate 30 Yr First Lien 0 0 361025181 0 Fixed Rate 30 Yr First Lien 0 0 361025200 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 361025222 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 361025229 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 361025231 U 2/28 6 Mo LIBOR ARM First Lien 7 13 361025234 U 2/28 6 Mo LIBOR ARM First Lien 7.59 13.59 361025249 U 3/27 6 Mo LIBOR ARM First Lien 6.84 12.84 361025260 U 2/28 6 Mo LIBOR ARM First Lien 7.59 13.59 361025267 U 2/28 6 Mo LIBOR ARM First Lien 9.34 15.34 361025270 U 3/27 6 Mo LIBOR ARM First Lien 9.8 15.8 361025278 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 361025291 U 2/28 6 Mo LIBOR ARM First Lien 9.65 15.65 361025307 U 2/28 6 Mo LIBOR ARM First Lien 8.7 14.7 361025310 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 361025311 U 3/27 6 Mo LIBOR ARM First Lien 8.8 14.8 361025312 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 361025315 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 361025321 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 361025324 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 361025333 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 361025335 U 2/28 6 Mo LIBOR ARM First Lien 9.6 15.6 361025338 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 361025352 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 361025359 0 Fixed Rate 30 Yr First Lien 0 0 361025378 U 2/28 6 Mo LIBOR ARM First Lien 8.49 14.49 361025394 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 361025403 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 361025409 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 361025417 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 361025419 U 2/28 6 Mo LIBOR ARM First Lien 7.29 13.29 361025431 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 361025432 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 361025436 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 361025479 U 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 361025569 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 361025577 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 371024968 U 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 371025110 U 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 371025149 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 371025300 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 371025358 U 2/28 6 Mo LIBOR ARM First Lien 7.09 13.09 371025501 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.6 11.6 371025507 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 371025508 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 371025519 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 371025575 U 2/28 6 Mo LIBOR ARM First Lien 9.3 15.3 371025611 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 371025617 0 Fixed Rate 30 Yr First Lien 0 0 371025619 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 371025637 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.85 11.85 371025732 U 2/28 6 Mo LIBOR ARM First Lien 7 13 371025749 0 Fixed Rate 30 Yr First Lien 0 0 371025768 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7 13 371025789 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 371025802 U 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 371025847 U 2/28 6 Mo LIBOR ARM First Lien 8.35 14.35 371025853 U 2/28 6 Mo LIBOR ARM First Lien 10.99 16.99 371025879 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 371025896 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 371025908 U 3/27 6 Mo LIBOR ARM First Lien 9.7 15.7 371025916 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 371025962 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 371025973 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 371025998 U 2/28 6 Mo LIBOR ARM First Lien 7 13 371026002 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 371026005 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 371026019 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 371026020 N 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 371026032 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 371026033 U 2/28 6 Mo LIBOR ARM First Lien 8.85 14.85 371026034 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 371026055 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 371026090 0 Fixed Rate 30 Yr First Lien 0 0 371026091 U 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 371026094 U 2/28 6 Mo LIBOR ARM First Lien 8 14 371026106 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 371026126 N 2/28 6 Mo LIBOR ARM First Lien 7.89 13.89 371026172 0 Fixed Rate 30 Yr First Lien 0 0 371026196 U 2/28 6 Mo LIBOR ARM First Lien 7.89 13.89 371026218 0 Fixed Rate 30 Yr Second Lien 0 0 371026243 U 2/28 6 Mo LIBOR ARM First Lien 9.05 15.05 371026280 0 Fixed Rate 30 Yr First Lien 0 0 371026307 0 Fixed Rate 30 Yr First Lien 0 0 371026333 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 371026346 0 Fixed Rate 30 Yr First Lien 0 0 371026348 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 371026355 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 371026361 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 371026376 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 371026426 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 371026438 0 Fixed Rate 30 Yr First Lien 0 0 371026445 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 371026474 U 3/27 6 Mo LIBOR ARM First Lien 8.15 14.15 371026490 U 2/28 6 Mo LIBOR ARM First Lien 7.39 13.39 371026501 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 371026507 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 371026512 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 371026514 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 371026515 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 371026520 0 Fixed Rate 20 Yr First Lien 0 0 371026532 0 Fixed Rate 30 Yr First Lien 0 0 371026540 U 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 371026546 0 Fixed Rate 30 Yr First Lien 0 0 371026547 0 Fixed Rate 30 Yr First Lien 0 0 371026573 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 371026585 U 2/28 6 Mo LIBOR ARM First Lien 8 14 371026610 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 371026629 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 371026747 U 3/27 6 Mo LIBOR ARM First Lien 7.35 13.35 371026803 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 371026834 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 381019989 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 381020477 U 2/28 6 Mo LIBOR ARM First Lien 5.95 11.95 381020625 U 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 381020727 U 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 381021003 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 381021143 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 381021161 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 381021169 0 Fixed Rate 30 Yr First Lien 0 0 381021238 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 381021250 0 Fixed Rate 30 Yr 5YR IO First Lien 0 0 381021261 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 381021276 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 381021319 U 3/27 6 Mo LIBOR ARM First Lien 6.813 12.813 381021321 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 381021415 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 381021477 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 381021492 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 381021495 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 381021507 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 381021574 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 381021642 0 Fixed Rate 30 Yr 5YR IO First Lien 0 0 381021661 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 381021663 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 381021675 N 2/28 6 Mo LIBOR ARM First Lien 6.05 12.05 381021679 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 381021681 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 381021683 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 381021717 0 Fixed Rate 30 Yr First Lien 0 0 381021725 0 Fixed Rate 30 Yr First Lien 0 0 381021742 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 381021750 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 381021773 0 Fixed Rate 30 Yr First Lien 0 0 381021793 0 Fixed Rate 30 Yr First Lien 0 0 381021804 U 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 381021832 0 Fixed Rate 30 Yr First Lien 0 0 381021838 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 381021848 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 381021879 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 381021884 0 Fixed Rate 30 Yr First Lien 0 0 381021894 0 Fixed Rate 30 Yr First Lien 0 0 381021902 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 381021912 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 381021919 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 381021929 0 Fixed Rate 30 Yr First Lien 0 0 381021935 0 Fixed Rate 30 Yr First Lien 0 0 381021938 U 2/28 6 Mo LIBOR ARM First Lien 7.39 13.39 381021964 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 381021972 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 381021976 U 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 381021977 U 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 381021979 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 381021984 0 Fixed Rate 30 Yr First Lien 0 0 381021989 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 381021997 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 381022000 U 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 381022017 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 381022018 U 2/28 6 Mo LIBOR ARM First Lien 5.6 11.6 381022019 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 381022021 0 Fixed Rate 30 Yr First Lien 0 0 381022025 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 381022030 U 2/28 6 Mo LIBOR ARM First Lien 9.3 15.3 381022032 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 381022034 0 Fixed Rate 30 Yr First Lien 0 0 381022037 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 381022038 0 Fixed Rate 30 Yr First Lien 0 0 381022039 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 381022049 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 381022051 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 381022060 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 381022071 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 381022085 0 Fixed Rate 30 Yr First Lien 0 0 381022088 0 Fixed Rate 30 Yr First Lien 0 0 381022092 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 381022094 U 2/28 6 Mo LIBOR ARM First Lien 9.19 15.19 381022097 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 381022106 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 381022108 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 381022112 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 381022123 U 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 381022139 U 3/27 6 Mo LIBOR ARM First Lien 8.35 14.35 381022140 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 381022143 U 2/28 6 Mo LIBOR ARM First Lien 9.75 15.75 381022154 0 Fixed Rate 30 Yr First Lien 0 0 381022155 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 381022159 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 381022165 0 Fixed Rate 30 Yr First Lien 0 0 381022167 U 3/27 6 Mo LIBOR ARM First Lien 7.15 13.15 381022169 0 Fixed Rate 30 Yr First Lien 0 0 381022174 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 381022177 U 2/28 6 Mo LIBOR ARM First Lien 9.55 15.55 381022178 0 Fixed Rate 30 Yr First Lien 0 0 381022184 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 381022185 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 381022196 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 381022207 0 Fixed Rate 30 Yr Second Lien 0 0 381022213 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 381022215 U 3/27 6 Mo LIBOR ARM First Lien 6.95 12.95 381022216 U 2/28 6 Mo LIBOR ARM First Lien 10.05 16.05 381022227 U 2/28 6 Mo LIBOR ARM First Lien 5.89 11.89 381022228 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 381022229 0 Fixed Rate 30 Yr First Lien 0 0 381022231 0 Fixed Rate 30 Yr First Lien 0 0 381022239 U 2/28 6 Mo LIBOR ARM First Lien 6.15 12.15 381022242 0 Fixed Rate 30 Yr First Lien 0 0 381022247 0 Fixed Rate 30 Yr First Lien 0 0 381022257 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 381022258 U 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 381022264 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 381022267 U 3/27 6 Mo LIBOR ARM First Lien 5.99 11.99 381022274 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 6.5 12.5 381022280 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 381022281 0 Fixed Rate 30 Yr First Lien 0 0 381022289 U 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 381022295 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 381022300 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 381022304 U 2/28 6 Mo LIBOR ARM First Lien 6.69 12.69 381022307 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 381022316 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 381022317 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 381022322 U 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 381022325 U 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 381022326 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 381022327 U 3/27 6 Mo LIBOR ARM First Lien 7.4 13.4 381022329 0 Fixed Rate 30 Yr First Lien 0 0 381022333 U 2/28 6 Mo LIBOR ARM First Lien 6.79 12.79 381022341 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 381022342 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 381022350 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 381022357 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 381022364 U 2/28 6 Mo LIBOR ARM First Lien 5.95 11.95 381022370 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 381022403 U 2/28 6 Mo LIBOR ARM First Lien 5.5 11.5 381022421 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 381022443 0 Fixed Rate 30 Yr Second Lien 0 0 391010480 0 Fixed Rate 30 Yr First Lien 0 0 391011310 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 391011534 U 2/28 6 Mo LIBOR ARM First Lien 9.45 15.45 391011837 U 3/27 6 Mo LIBOR ARM First Lien 9.9 15.9 391011879 U 2/28 6 Mo LIBOR ARM First Lien 5.74 11.74 391011898 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 391011942 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 391011984 N 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 391012004 0 Fixed Rate 30 Yr First Lien 0 0 391012053 U 2/28 6 Mo LIBOR ARM First Lien 9.55 15.55 391012115 U 2/28 6 Mo LIBOR ARM First Lien 8 14 391012122 U 2/28 6 Mo LIBOR ARM First Lien 8 14 391012148 0 Fixed Rate 30 Yr First Lien 0 0 391012170 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 391012214 0 Fixed Rate 30 Yr First Lien 0 0 391012215 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.95 11.95 391012228 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 391012244 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 391012259 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 391012265 U 2/28 6 Mo LIBOR ARM First Lien 11.5 17.5 391012309 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 391012311 U 3/27 6 Mo LIBOR ARM First Lien 6.95 12.95 391012313 U 3/27 6 Mo LIBOR ARM First Lien 8.05 14.05 391012318 U 2/28 6 Mo LIBOR ARM First Lien 7 13 391012320 U 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 391012338 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 391012385 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 391012405 U 2/28 6 Mo LIBOR ARM First Lien 8 14 391012413 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 391012436 U 2/28 6 Mo LIBOR ARM First Lien 9.45 15.45 391012443 0 Fixed Rate 30 Yr First Lien 0 0 391012462 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 391012463 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 391012488 U 2/28 6 Mo LIBOR ARM First Lien 10.85 16.85 391012495 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 391012527 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 391012529 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 391012537 U 2/28 6 Mo LIBOR ARM First Lien 9.15 15.15 391012544 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 391012558 N 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 391012591 0 Fixed Rate 30 Yr First Lien 0 0 391012600 U 2/28 6 Mo LIBOR ARM First Lien 9.85 15.85 391012610 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 391012616 N 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 391012629 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 391012630 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 391012657 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 391012665 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 391012670 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 391012674 0 Fixed Rate 30 Yr First Lien 0 0 391012678 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 391012725 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 391012729 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 391012735 0 Fixed Rate 30 Yr First Lien 0 0 391012745 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 391012754 U 2/28 6 Mo LIBOR ARM First Lien 6 12 391012755 U 2/28 6 Mo LIBOR ARM First Lien 9.75 15.75 391012760 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 391012766 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 391012770 0 Fixed Rate 30 Yr First Lien 0 0 391012771 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 391012791 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 391012808 U 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 391012818 0 Fixed Rate 30 Yr First Lien 0 0 391012826 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 391012830 0 Fixed Rate 30 Yr First Lien 0 0 391012835 N 3/27 6 Mo LIBOR ARM First Lien 8.35 14.35 391012839 U 2/28 6 Mo LIBOR ARM First Lien 8.89 14.89 391012840 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 391012842 U 2/28 6 Mo LIBOR ARM First Lien 8.898 14.898 391012850 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 391012873 U 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 391012875 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 391012877 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 391012893 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 391012898 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 391012900 0 Fixed Rate 30 Yr First Lien 0 0 391012928 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 391012941 U 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 391012967 0 Fixed Rate 30 Yr First Lien 0 0 391012969 U 2/28 6 Mo LIBOR ARM First Lien 8.35 14.35 391012985 U 2/28 6 Mo LIBOR ARM First Lien 5.95 11.95 391012990 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 391012992 U 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 391013006 N 2/28 6 Mo LIBOR ARM First Lien 9.35 15.1 391013009 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 391013031 U 2/28 6 Mo LIBOR ARM First Lien 9.8 15.8 391013048 0 Fixed Rate 15 Yr First Lien 0 0 391013063 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 391013066 0 Fixed Rate 30 Yr First Lien 0 0 391013079 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 391013106 U 2/28 6 Mo LIBOR ARM First Lien 6.69 12.69 391013152 0 Fixed Rate 30 Yr First Lien 0 0 391013229 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 401000873 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 401001261 0 Fixed Rate 20 Yr First Lien 0 0 401001285 U 2/28 6 Mo LIBOR ARM First Lien 5.95 11.95 401001337 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.84 13.84 401001467 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 401001478 U 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 401001498 0 Fixed Rate 15 Yr First Lien 0 0 401001526 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 401001551 U 2/28 6 Mo LIBOR ARM First Lien 7 13 401001556 0 Fixed Rate 30 Yr First Lien 0 0 401001557 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 401001560 U 2/28 6 Mo LIBOR ARM First Lien 7.79 13.79 401001564 U 2/28 6 Mo LIBOR ARM First Lien 8.54 14.54 401001591 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.8 11.8 401001609 U 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 401001647 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 401001683 U 2/28 6 Mo LIBOR ARM First Lien 9.1 15.1 401001689 U 2/28 6 Mo LIBOR ARM First Lien 8.85 14.85 401001695 U 2/28 6 Mo LIBOR ARM First Lien 10.43 16.43 401001708 U 2/28 6 Mo LIBOR ARM First Lien 10.3 16.3 401001746 U 2/28 6 Mo LIBOR ARM First Lien 9.344 15.344 401001772 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 401001776 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 401001787 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 401001792 0 Fixed Rate 30 Yr Second Lien 0 0 401001794 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 401001801 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 401001822 U 2/28 6 Mo LIBOR ARM First Lien 9.7 15.7 401001844 U 2/28 6 Mo LIBOR ARM First Lien 8 14 401001901 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.15 12.15 401001908 U 2/28 6 Mo LIBOR ARM First Lien 9.6 15.6 401001918 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 401001919 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 401001920 0 Fixed Rate 30 Yr First Lien 0 0 401001922 U 2/28 6 Mo LIBOR ARM First Lien 12.3 18.3 401001923 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 401001928 0 Fixed Rate 30 Yr First Lien 0 0 401001929 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 401001940 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 401001954 U 2/28 6 Mo LIBOR ARM First Lien 8 14 401001961 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 401001965 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 401001967 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 401001971 0 Fixed Rate 30 Yr First Lien 0 0 401001987 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 401001988 U 2/28 6 Mo LIBOR ARM First Lien 9.5 15.5 401001990 U 2/28 6 Mo LIBOR ARM First Lien 8 14 401001993 U 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 401002001 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.08 12.08 401002004 U 2/28 6 Mo LIBOR ARM First Lien 9.065 15.065 401002023 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 401002028 U 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 401002029 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 401002032 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 401002040 U 2/28 6 Mo LIBOR ARM First Lien 10.15 16.15 401002044 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 401002082 U 2/28 6 Mo LIBOR ARM First Lien 7.19 13.19 401002088 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 401002100 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 401002106 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.44 12.44 401002107 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 401002109 0 Fixed Rate 30 Yr First Lien 0 0 401002139 U 3/27 6 Mo LIBOR ARM First Lien 7.5 13.5 401002143 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 401002152 U 2/28 6 Mo LIBOR ARM First Lien 9.35 15.35 401002179 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 401002180 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 401002188 0 Fixed Rate 30 Yr First Lien 0 0 401002189 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 401002190 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 401002192 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 401002220 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 401002222 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 401002224 0 Fixed Rate 30 Yr First Lien 0 0 401002248 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 401002294 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 401002295 U 2/28 6 Mo LIBOR ARM First Lien 5.05 11.05 401002360 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 511034365 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 511035043 0 Fixed Rate 30 Yr First Lien 0 0 511035457 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 511035483 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 511035558 U 2/28 6 Mo LIBOR ARM First Lien 7 13 511035560 X 0/00 0 Xx XXXXX XXX Xxxxx Xxxx 5.9 11.9 511035576 0 Fixed Rate 30 Yr First Lien 0 0 511035586 0 Fixed Rate 30 Yr First Lien 0 0 511035607 U 2/28 6 Mo LIBOR ARM First Lien 8.7 14.7 511035611 U 2/28 6 Mo LIBOR ARM First Lien 5.64 11.64 511035650 U 2/28 6 Mo LIBOR ARM First Lien 9.4 15.4 511035691 U 3/27 6 Mo LIBOR ARM First Lien 6.65 12.65 511035736 U 3/27 6 Mo LIBOR ARM First Lien 7 13 511035770 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 511035859 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 511035911 U 2/28 6 Mo LIBOR ARM First Lien 6.19 12.19 511035955 U 2/28 6 Mo LIBOR ARM First Lien 7.09 13.09 511035960 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 511035961 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 511036003 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 511036033 U 2/28 6 Mo LIBOR ARM First Lien 8 14 511036079 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 511036088 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 511036104 0 Fixed Rate 30 Yr First Lien 0 0 511036115 0 Fixed Rate 30 Yr First Lien 0 0 511036121 0 Fixed Rate 30 Yr First Lien 0 0 511036129 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 511036200 U 2/28 6 Mo LIBOR ARM First Lien 9.75 15.75 511036205 0 Fixed Rate 30 Yr First Lien 0 0 511036211 0 Fixed Rate 30 Yr First Lien 0 0 511036239 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 511036246 0 Fixed Rate 30 Yr Second Lien 0 0 511036279 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 511036289 U 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 511036290 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 511036294 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 511036300 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 511036360 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 511036413 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 521023891 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 521023945 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 521024261 U 2/28 6 Mo LIBOR ARM First Lien 9.3 15.3 521024265 U 2/28 6 Mo LIBOR ARM First Lien 9.6 15.6 521024331 U 2/28 6 Mo LIBOR ARM First Lien 8.05 14.05 521024386 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 521024403 U 2/28 6 Mo LIBOR ARM First Lien 8.325 14.325 521024663 U 2/28 6 Mo LIBOR ARM First Lien 9.05 15.05 521024758 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 521024852 N 2/28 6 Mo LIBOR ARM First Lien 9.5 15.5 521024960 0 Fixed Rate 30 Yr First Lien 0 0 521025020 U 3/27 6 Mo LIBOR ARM First Lien 6.89 12.89 521025069 N 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 521025149 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 521025205 N 2/28 6 Mo LIBOR ARM First Lien 8.39 14.39 521025220 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 521025224 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 521025242 N 2/28 6 Mo LIBOR ARM First Lien 10.45 16.45 521025258 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 521025259 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 521025282 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 521025289 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 521025345 U 2/28 6 Mo LIBOR ARM First Lien 7.425 13.425 521025356 U 2/28 6 Mo LIBOR ARM First Lien 7.14 13.14 521025385 U 2/28 6 Mo LIBOR ARM First Lien 9.45 15.45 521025414 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 521025434 U 3/27 6 Mo LIBOR ARM First Lien 9.85 15.85 521025440 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 521025453 U 2/28 6 Mo LIBOR ARM First Lien 9.45 15.45 521025466 U 2/28 6 Mo LIBOR ARM First Lien 8.35 14.35 521025585 0 Fixed Rate 30 Yr First Lien 0 0 521025638 U 2/28 6 Mo LIBOR ARM First Lien 10.25 16.25 521025643 0 Fixed Rate 30 Yr First Lien 0 0 521025675 0 Fixed Rate 30 Yr First Lien 0 0 521025677 U 2/28 6 Mo LIBOR ARM First Lien 9.59 15.59 521025681 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 521025750 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 521025751 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 521025767 N 2/28 6 Mo LIBOR ARM First Lien 9.95 15.95 521025780 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 521025791 U 2/28 6 Mo LIBOR ARM First Lien 9.95 15.95 521025793 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 521025820 0 Fixed Rate 30 Yr First Lien 0 0 521025828 N 2/28 6 Mo LIBOR ARM First Lien 9.95 15.95 521025832 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 521025834 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 521025836 U 3/27 6 Mo LIBOR ARM First Lien 8.09 14.09 521025849 U 2/28 6 Mo LIBOR ARM First Lien 6.825 12.825 521025870 0 Fixed Rate 30 Yr First Lien 0 0 521025934 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 521025940 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 521025950 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 521025963 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 521025981 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 521025994 U 6 Mo LIBOR ARM 30 Yr First Lien 7.45 13.45 521026017 U 2/28 6 Mo LIBOR ARM First Lien 8.465 14.465 521026051 N 3/27 6 Mo LIBOR ARM First Lien 6.175 12.175 521026068 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 521026072 0 Fixed Rate 30 Yr First Lien 0 0 521026124 0 Fixed Rate 30 Yr First Lien 0 0 521026130 N 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 521026135 N 3/27 6 Mo LIBOR ARM First Lien 8.75 14.75 521026152 0 Fixed Rate 15 Yr First Lien 0 0 521026166 0 Fixed Rate 30 Yr First Lien 0 0 521026180 N 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 521026190 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 521026192 N 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 521026212 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 521026215 U 2/28 6 Mo LIBOR ARM First Lien 9.4 15.4 521026225 0 Fixed Rate 30 Yr First Lien 0 0 521026234 N 3/27 6 Mo LIBOR ARM First Lien 7.59 13.59 521026262 0 Fixed Rate 30 Yr First Lien 0 0 521026268 N 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 521026271 0 Fixed Rate 15 Yr First Lien 0 0 521026274 N 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 521026275 0 Fixed Rate 30 Yr First Lien 0 0 521026279 0 Fixed Rate 30 Yr First Lien 0 0 521026285 0 Fixed Rate 30 Yr First Lien 0 0 521026299 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 521026301 N 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 521026329 N 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 521026332 N 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 521026342 U 2/28 6 Mo LIBOR ARM First Lien 11.7 17.7 521026351 U 2/28 6 Mo LIBOR ARM First Lien 8 14 521026356 N 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 521026360 0 Fixed Rate 30 Yr First Lien 0 0 521026367 U 2/28 6 Mo LIBOR ARM First Lien 9 15 521026372 0 Fixed Rate 30 Yr First Lien 0 0 521026373 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 521026381 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 521026389 0 Fixed Rate 30 Yr First Lien 0 0 521026399 N 2/28 6 Mo LIBOR ARM First Lien 8.04 14.04 521026411 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 521026447 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 521026450 U 2/28 6 Mo LIBOR ARM First Lien 9.15 15.15 521026478 0 Fixed Rate 30 Yr First Lien 0 0 521026480 N 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 521026497 N 2/28 6 Mo LIBOR ARM First Lien 6.875 12.875 521026504 N 2/28 6 Mo LIBOR ARM First Lien 6.625 12.625 521026512 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 521026542 N 3/27 6 Mo LIBOR ARM First Lien 6.7 12.7 521026547 N 2/28 6 Mo LIBOR ARM First Lien 9.79 15.79 521026550 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 521026561 0 Fixed Rate 30 Yr First Lien 0 0 521026589 N 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 521026594 N 3/27 6 Mo LIBOR ARM First Lien 9.55 15.55 521026597 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 521026608 0 Fixed Rate 30 Yr First Lien 0 0 521026629 N 3/27 6 Mo LIBOR ARM First Lien 6.8 12.8 521026634 U 2/28 6 Mo LIBOR ARM First Lien 7.94 13.94 521026646 N 2/28 6 Mo LIBOR ARM First Lien 6.625 12.625 521026684 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 521026696 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 521026753 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 521026759 U 2/28 6 Mo LIBOR ARM First Lien 8.05 14.05 521026791 0 Fixed Rate 30 Yr First Lien 0 0 551004463 U 2/28 6 Mo LIBOR ARM First Lien 8 14 551005663 U 2/28 6 Mo LIBOR ARM First Lien 6.49 12.49 551005814 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 551005862 0 Fixed Rate 30 Yr First Lien 0 0 551005956 0 Fixed Rate 30 Yr First Lien 0 0 551005973 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 551005999 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 551006099 U 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 551006110 0 Fixed Rate 30 Yr Rate ReductioFirst Lien 0 0 551006174 0 Fixed Rate 30 Yr First Lien 0 0 551006196 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 551006206 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 551006222 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 551006257 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 551006287 0 Fixed Rate 30 Yr First Lien 0 0 551006288 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 551006311 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 551006322 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 551006343 0 Fixed Rate 30 Yr First Lien 0 0 551006369 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 551006374 0 Fixed Rate 30 Yr First Lien 0 0 551006416 U 2/28 6 Mo LIBOR ARM First Lien 7.59 13.59 551006437 U 2/28 6 Mo LIBOR ARM First Lien 8.99 14.99 551006453 0 Fixed Rate 30 Yr First Lien 0 0 551006456 0 Fixed Rate 30 Yr First Lien 0 0 551006461 U 2/28 6 Mo LIBOR ARM First Lien 11.9 17.9 551006465 0 Fixed Rate 30 Yr First Lien 0 0 551006543 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 551006561 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 551006564 U 2/28 6 Mo LIBOR ARM First Lien 8.24 14.24 551006596 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 551006617 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 551006625 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 551006632 U 2/28 6 Mo LIBOR ARM First Lien 9.8 15.8 551006636 U 2/28 6 Mo LIBOR ARM First Lien 9.99 15.99 551006637 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 551006666 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 551006692 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 551006693 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 551006696 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 551006719 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 551006727 U 2/28 6 Mo LIBOR ARM First Lien 9.79 15.79 551006754 U 2/28 6 Mo LIBOR ARM First Lien 5.95 11.95 551006891 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 551006893 U 2/28 6 Mo LIBOR ARM First Lien 10.15 16.15 551006894 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 551006898 U 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 551006907 U 2/28 6 Mo LIBOR ARM First Lien 9.05 15.05 551006951 0 Fixed Rate 30 Yr First Lien 0 0 551007008 0 Fixed Rate 30 Yr First Lien 0 0 551007038 0 Fixed Rate 30 Yr First Lien 0 0 551007093 U 2/28 6 Mo LIBOR ARM First Lien 9.19 15.19 561001621 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 561001995 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 561002109 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 561002152 0 Fixed Rate 30 Yr First Lien 0 0 561002177 0 Fixed Rate 30 Yr First Lien 0 0 561002290 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 561002303 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 561002344 U 2/28 6 Mo LIBOR ARM First Lien 9.1 15.1 561002362 U 2/28 6 Mo LIBOR ARM First Lien 7.49 13.49 561002367 U 2/28 6 Mo LIBOR ARM First Lien 5.6 11.6 561002381 U 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 561002387 U 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 561002409 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 561002421 U 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 561002432 U 2/28 6 Mo LIBOR ARM First Lien 5.74 11.74 561002433 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 561002442 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 561002445 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 561002456 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 561002476 0 Fixed Rate 30 Yr First Lien 0 0 561002479 0 Fixed Rate 30 Yr First Lien 0 0 561002488 U 2/28 6 Mo LIBOR ARM First Lien 10.35 16.35 561002499 U 2/28 6 Mo LIBOR ARM First Lien 6.375 12.375 561002503 0 Fixed Rate 30 Yr First Lien 0 0 561002509 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 561002522 0 Fixed Rate 30 Yr First Lien 0 0 561002533 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 561002534 U 2/28 6 Mo LIBOR ARM First Lien 6.15 12.15 561002542 U 3/27 6 Mo LIBOR ARM First Lien 6.69 12.69 561002548 U 2/28 6 Mo LIBOR ARM First Lien 6.2 12.2 561002571 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 561002589 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 561002598 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 561002609 U 2/28 6 Mo LIBOR ARM First Lien 8.05 14.05 561002617 U 2/28 6 Mo LIBOR ARM First Lien 7 13 561002622 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 561002627 0 Fixed Rate 15 Yr First Lien 0 0 561002629 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 561002634 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 561002635 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 561002658 U 2/28 6 Mo LIBOR ARM First Lien 6.89 12.89 561002664 U 2/28 6 Mo LIBOR ARM First Lien 8.59 14.59 561002704 0 Fixed Rate 30 Yr First Lien 0 0 581000475 N 2/28 6 Mo LIBOR ARM First Lien 8.85 14.85 581000492 U 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 581000530 U 2/28 6 Mo LIBOR ARM First Lien 9.45 15.45 581000599 0 Fixed Rate 30 Yr First Lien 0 0 581000686 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 581000782 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 581000818 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.59 13.59 581000827 U 2/28 6 Mo LIBOR ARM First Lien 8.35 14.35 581000831 0 Fixed Rate 30 Yr First Lien 0 0 581000854 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 581000860 0 Fixed Rate 30 Yr First Lien 0 0 581000903 U 2/28 6 Mo LIBOR ARM First Lien 8.99 14.99 581000909 U 2/28 6 Mo LIBOR ARM First Lien 9.85 15.85 581000936 N 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 581000938 U 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 581000943 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 581000954 N 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 581000977 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 581001005 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 581001039 U 2/28 6 Mo LIBOR ARM First Lien 9 15 581001059 0 Fixed Rate 30 Yr First Lien 0 0 581001065 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 581001071 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 581001082 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 581001083 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 581001116 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 581001123 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.69 12.69 581001134 U 2/28 6 Mo LIBOR ARM First Lien 7 13 581001142 0 Fixed Rate 30 Yr First Lien 0 0 581001145 U 3/27 6 Mo LIBOR ARM First Lien 7.15 13.15 581001148 U 2/28 6 Mo LIBOR ARM First Lien 9.15 15.15 581001154 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 591000224 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 591000264 U 2/28 6 Mo LIBOR ARM First Lien 9.4 15.4 591000267 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 591000310 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 591000313 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 591000320 U 2/28 6 Mo LIBOR ARM First Lien 8.19 14.19 591000340 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 591000358 U 2/28 6 Mo LIBOR ARM First Lien 7 13 591000373 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 591000376 U 2/28 6 Mo LIBOR ARM First Lien 9.8 15.8 611015859 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 611015872 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 611015879 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 611015942 0 Fixed Rate 30 Yr First Lien 0 0 611016012 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 611016063 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 611016067 0 Fixed Rate 30 Yr First Lien 0 0 611016123 0 Fixed Rate 30 Yr First Lien 0 0 611016125 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 611016185 U 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 611016187 0 Fixed Rate 30 Yr First Lien 0 0 611016261 U 2/28 6 Mo LIBOR ARM First Lien 7.19 13.19 611016268 U 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 611016270 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.05 14.05 611016286 0 Fixed Rate 30 Yr First Lien 0 0 611016359 0 Fixed Rate 30 Yr First Lien 0 0 611016382 0 Fixed Rate 30 Yr First Lien 0 0 611016416 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 611016420 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.75 11.75 611016457 0 Fixed Rate 30 Yr Second Lien 0 0 611016460 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 611016463 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 611016481 0 Fixed Rate 30 Yr First Lien 0 0 611016483 U 3/27 6 Mo LIBOR ARM First Lien 7.6 13.6 611016500 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 611016508 U 2/28 6 Mo LIBOR ARM First Lien 7.19 13.19 611016548 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 611016582 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 611016599 0 Fixed Rate 30 Yr Second Lien 0 0 611016601 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 611016602 U 2/28 6 Mo LIBOR ARM First Lien 9.1 15.1 611016616 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 611016634 0 Fixed Rate 30 Yr First Lien 0 0 611016657 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 6.1 12.1 611016658 U 3/27 6 Mo LIBOR ARM First Lien 6.99 12.99 611016663 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 611016670 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 611016671 0 Fixed Rate 30 Yr First Lien 0 0 611016680 U 2/28 6 Mo LIBOR ARM First Lien 6.89 12.89 611016684 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 611016688 U 2/28 6 Mo LIBOR ARM First Lien 10.65 16.65 611016690 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 611016702 0 Fixed Rate 30 Yr First Lien 0 0 611016704 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 611016707 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 611016734 0 Fixed Rate 30 Yr First Lien 0 0 611016747 0 Fixed Rate 30 Yr First Lien 0 0 611016750 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 611016782 0 Fixed Rate 30 Yr First Lien 0 0 611016784 0 Fixed Rate 30 Yr First Lien 0 0 611016793 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 611016799 U 2/28 6 Mo LIBOR ARM First Lien 5.35 11.35 611016804 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 611016826 U 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 611016830 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 611016848 0 Fixed Rate 30 Yr First Lien 0 0 611016857 U 3/27 6 Mo LIBOR ARM First Lien 5.99 11.99 611016864 0 Fixed Rate 30 Yr First Lien 0 0 611016873 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 611016879 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 611016903 0 Fixed Rate 30 Yr First Lien 0 0 611016907 U 2/28 6 Mo LIBOR ARM First Lien 6.05 12.05 611016918 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 611016922 0 Fixed Rate 30 Yr First Lien 0 0 611016924 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 611016933 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 611016936 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 611016946 0 Fixed Rate 30 Yr First Lien 0 0 611016966 0 Fixed Rate 30 Yr First Lien 0 0 611016977 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 611016998 U 2/28 6 Mo LIBOR ARM First Lien 5.9 11.9 611017000 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 611017001 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 611017005 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 611017021 0 Fixed Rate 30 Yr First Lien 0 0 611017026 U 2/28 6 Mo LIBOR ARM First Lien 8.69 14.69 611017055 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 621006315 U 2/28 6 Mo LIBOR ARM First Lien 8 14 621007384 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.33 13.33 621007560 U 3/27 6 Mo LIBOR ARM First Lien 7.9 13.9 621007763 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 621007964 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 621007979 U 2/28 6 Mo LIBOR ARM First Lien 8.24 14.24 621007988 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 621007992 0 Fixed Rate 30 Yr First Lien 0 0 621008035 0 Fixed Rate 15 Yr First Lien 0 0 621008037 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 621008058 N 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 621008078 0 Fixed Rate 30 Yr Second Lien 0 0 621008093 X 0/00 0 Xx XXXXX XXX Xxxxx Xxxx 8.5 14.5 621008135 0 Fixed Rate 30 Yr First Lien 0 0 621008143 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 621008178 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 621008189 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 621008205 0 Fixed Rate 30 Yr First Lien 0 0 621008271 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 621008284 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 621008291 0 Fixed Rate 30 Yr First Lien 0 0 621008336 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 621008359 N 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 621008385 U 2/28 6 Mo LIBOR ARM First Lien 9.7 15.7 621008388 U 2/13 6 Mo LIBOR ARM First Lien 7.15 13.15 621008399 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 621008448 0 Fixed Rate 30 Yr First Lien 0 0 621008480 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 7 13 621008524 N 2/28 6 Mo LIBOR ARM First Lien 9.9 15.9 621008527 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 621008528 N 2/28 6 Mo LIBOR ARM First Lien 8.9 14.9 621008556 U 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 621008566 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 621008586 U 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 621008596 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 621008615 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 6.9 12.9 621008636 0 Fixed Rate 30 Yr First Lien 0 0 621008664 U 3/27 6 Mo LIBOR ARM First Lien 9.65 15.65 621008668 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 621008675 U 3/27 6 Mo LIBOR ARM First Lien 6.7 12.7 621008681 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.15 12.15 621008683 U 2/28 6 Mo LIBOR ARM First Lien 9.15 15.15 621008691 0 Fixed Rate 30 Yr First Lien 0 0 621008708 0 Fixed Rate 15 Yr First Lien 0 0 621008746 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 621008749 U 2/28 6 Mo LIBOR ARM First Lien 7 13 621008765 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 621008778 U 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 621008789 0 Fixed Rate 30 Yr First Lien 0 0 621008790 U 2/28 6 Mo LIBOR ARM First Lien 8.05 14.05 621008794 0 Fixed Rate 30 Yr Second Lien 0 0 621008805 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 621008823 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 621008843 0 Fixed Rate 30 Yr First Lien 0 0 621008845 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 621008848 0 Fixed Rate 30 Yr First Lien 0 0 621008851 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.39 13.39 621008861 0 Fixed Rate 30 Yr First Lien 0 0 621008875 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 621008888 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 621008895 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 7.15 13.15 621008908 U 2/28 6 Mo LIBOR ARM First Lien 8.74 14.74 621008912 0 Fixed Rate 30 Yr Second Lien 0 0 621008915 U 2/28 6 Mo LIBOR ARM First Lien 9 15 621008923 N 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 621008930 U 2/28 6 Mo LIBOR ARM First Lien 7.19 13.19 621008933 U 2/28 6 Mo LIBOR ARM First Lien 6.1 12.1 621008934 0 Fixed Rate 30 Yr First Lien 0 0 621008939 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 621008952 0 Fixed Rate 30 Yr First Lien 0 0 621008957 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 621008959 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 621008975 U 2/28 6 Mo LIBOR ARM First Lien 9.15 15.15 621008976 0 Fixed Rate 30 Yr First Lien 0 0 621008980 0 Fixed Rate 30 Yr First Lien 0 0 621008990 U 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 621008991 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 621008995 0 Fixed Rate 30 Yr First Lien 0 0 621009001 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7 13 621009005 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.8 11.8 621009014 U 3/27 6 Mo LIBOR ARM First Lien 6.99 12.99 621009016 U 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 621009027 U 2/28 6 Mo LIBOR ARM First Lien 7.89 13.89 621009035 U 2/28 6 Mo LIBOR ARM First Lien 9.05 15.05 621009062 U 2/28 6 Mo LIBOR ARM First Lien 9.15 15.15 621009066 U 2/28 6 Mo LIBOR ARM First Lien 9.55 15.55 621009072 0 Fixed Rate 30 Yr First Lien 0 0 621009076 0 Fixed Rate 30 Yr First Lien 0 0 621009084 0 Fixed Rate 30 Yr First Lien 0 0 621009106 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 621009118 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 621009128 U 2/28 6 Mo LIBOR ARM First Lien 11.35 17.35 621009136 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 621009137 U 2/28 6 Mo LIBOR ARM First Lien 8.99 14.99 621009149 0 Fixed Rate 30 Yr First Lien 0 0 621009154 0 Fixed Rate 30 Yr First Lien 0 0 621009158 0 Fixed Rate 30 Yr First Lien 0 0 621009164 0 Fixed Rate 30 Yr First Lien 0 0 621009172 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 621009185 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 621009203 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 621009206 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 621009226 U 2/28 6 Mo LIBOR ARM First Lien 11.85 17.85 621009227 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 621009228 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 621009231 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 621009309 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 631006381 N 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 631006658 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 631006989 N 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 631007094 N 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 631007132 U 2/28 6 Mo LIBOR ARM First Lien 10.1 16.1 631007135 N 2/28 6 Mo LIBOR ARM First Lien 5.625 11.625 631007165 N 3/27 6 Mo LIBOR ARM First Lien 8.65 14.65 631007328 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.75 11.75 631007352 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.15 12.15 631007363 N 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 631007445 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 631007454 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.8 11.8 631007482 N 2/28 6 Mo LIBOR ARM First Lien 10.3 16.3 631007485 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7 13 631007494 U 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 631007507 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 631007552 U 2/28 6 Mo LIBOR ARM First Lien 5.7 11.7 631007583 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 631007585 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 631007586 U 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 631007589 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.7 11.7 631007593 0 Fixed Rate 30 Yr Second Lien 0 0 631007609 U 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 631007614 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.05 14.05 631007616 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 631007617 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 631007626 U 2/28 6 Mo LIBOR ARM First Lien 10.15 16.15 631007646 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 631007651 0 Fixed Rate 30 Yr First Lien 0 0 631007663 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 631007675 U 2/28 6 Mo LIBOR ARM First Lien 5.85 11.85 631007681 N 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 631007685 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 631007695 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 631007703 U 2/28 6 Mo LIBOR ARM First Lien 5.15 11.15 631007712 0 Fixed Rate 30 Yr First Lien 0 0 631007729 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 631007734 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 631007762 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.75 11.75 631007764 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6 12 631007772 U 2/28 6 Mo LIBOR ARM First Lien 6 12 631007777 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 631007778 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 631007789 N 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 631007800 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 631007807 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 631007822 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 631007826 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 631007843 U 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 631007854 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.9 11.9 631007864 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.2 12.2 631007878 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 631007888 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 631007890 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.59 12.59 631007896 N 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 631007903 U 2/28 6 Mo LIBOR ARM First Lien 9.05 15.05 631007906 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 631007913 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 631007914 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 631007915 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 631007928 N 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 631007934 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 631007936 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 631007952 0 Fixed Rate 30 Yr First Lien 0 0 631007961 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 631007988 0 Fixed Rate 30 Yr First Lien 0 0 631007994 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 631008061 0 Fixed Rate 30 Yr Second Lien 0 0 641007356 U 2/28 6 Mo LIBOR ARM First Lien 9.45 15.45 641008371 U 2/28 6 Mo LIBOR ARM First Lien 9.05 15.05 641008505 U 2/28 6 Mo LIBOR ARM First Lien 9.8 15.8 641008530 U 2/28 6 Mo LIBOR ARM First Lien 8.05 14.05 641008603 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 641008627 U 2/28 6 Mo LIBOR ARM First Lien 7.01 13.01 641008679 N 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 641008734 0 Fixed Rate 30 Yr First Lien 0 0 641008744 N 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 641008761 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 641008767 0 Fixed Rate 30 Yr First Lien 0 0 641008785 0 Fixed Rate 30 Yr First Lien 0 0 641008808 0 Fixed Rate 30 Yr First Lien 0 0 641008870 0 Fixed Rate 30 Yr First Lien 0 0 641008893 0 Fixed Rate 30 Yr First Lien 0 0 641008933 U 3/27 6 Mo LIBOR ARM First Lien 8.75 14.75 641008940 N 3/27 6 Mo LIBOR ARM First Lien 7 12.8 641008948 0 Fixed Rate 30 Yr Rate ReductioFirst Lien 0 0 641008974 0 Fixed Rate 30 Yr First Lien 0 0 641008979 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 5.5 11.5 641009002 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 641009058 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 641009135 N 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 641009144 0 Fixed Rate 30 Yr First Lien 0 0 641009177 0 Fixed Rate 30 Yr First Lien 0 0 641009189 N 2/28 6 Mo LIBOR ARM First Lien 8.85 14.85 641009194 0 Fixed Rate 30 Yr First Lien 0 0 641009197 0 Fixed Rate 30 Yr First Lien 0 0 641009209 N 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 641009221 U 2/28 6 Mo LIBOR ARM First Lien 8.74 14.74 641009246 N 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 641009297 0 Fixed Rate 15 Yr First Lien 0 0 641009313 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 641009317 0 Fixed Rate 30 Yr First Lien 0 0 641009331 0 Fixed Rate 30 Yr First Lien 0 0 641009335 U 2/28 6 Mo LIBOR ARM First Lien 8.99 14.99 641009363 U 2/28 6 Mo LIBOR ARM First Lien 8 14 641009381 0 Fixed Rate 30 Yr First Lien 0 0 641009382 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 641009397 U 2/28 6 Mo LIBOR ARM First Lien 9.75 15.75 641009408 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 641009410 N 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 641009435 U 2/28 6 Mo LIBOR ARM First Lien 9.8 15.8 641009437 0 Fixed Rate 30 Yr First Lien 0 0 641009467 0 Fixed Rate 30 Yr First Lien 0 0 641009473 U 2/28 6 Mo LIBOR ARM First Lien 9 15 641009478 0 Fixed Rate 30 Yr First Lien 0 0 641009504 0 Fixed Rate 30 Yr First Lien 0 0 641009521 U 3/27 6 Mo LIBOR ARM First Lien 11.2 17.2 641009524 U 2/28 6 Mo LIBOR ARM First Lien 8.99 14.99 641009530 0 Fixed Rate 15 Yr First Lien 0 0 641009550 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 641009560 N 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 641009574 0 Fixed Rate 30 Yr First Lien 0 0 641009603 U 2/28 6 Mo LIBOR ARM First Lien 8.35 14.35 641009640 U 2/28 6 Mo LIBOR ARM First Lien 9.3 15.3 641009644 0 Fixed Rate 30 Yr First Lien 0 0 641009646 N 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 641009672 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 641009681 0 Fixed Rate 15 Yr First Lien 0 0 641009687 0 Fixed Rate 30 Yr First Lien 0 0 641009692 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 641009713 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 641009720 N 2/28 6 Mo LIBOR ARM First Lien 8.99 14.99 641009740 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 641009743 0 Fixed Rate 30 Yr First Lien 0 0 641009744 0 Fixed Rate 30 Yr First Lien 0 0 641009752 0 Fixed Rate 30 Yr First Lien 0 0 641009760 U 3/27 6 Mo LIBOR ARM First Lien 6.65 12.65 641009779 N 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 641009780 0 Fixed Rate 30 Yr First Lien 0 0 641009784 0 Fixed Rate 30 Yr First Lien 0 0 641009845 0 Fixed Rate 30 Yr First Lien 0 0 641009863 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 641009905 0 Fixed Rate 30 Yr First Lien 0 0 641009906 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 641009925 N 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 641009934 U 2/28 6 Mo LIBOR ARM First Lien 10.15 16.15 641009955 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 641010068 U 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 651008543 U 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 651008598 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 651008663 U 2/28 6 Mo LIBOR ARM First Lien 7.84 13.84 651008713 N 2/28 6 Mo LIBOR ARM First Lien 9.7 15.7 651008830 0 Fixed Rate 30 Yr First Lien 0 0 651009081 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 651009365 U 2/28 6 Mo LIBOR ARM First Lien 10.3 16.3 651009417 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 651009620 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.625 13.625 651009681 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 651009709 0 Fixed Rate 30 Yr First Lien 0 0 651009715 N 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 651009734 0 Fixed Rate 30 Yr First Lien 0 0 651009751 N 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 651009792 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 651009808 N 2/28 6 Mo LIBOR ARM First Lien 9.15 15.15 651009826 U 2/28 6 Mo LIBOR ARM First Lien 10.8 16.8 651009851 N 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 651009879 U 2/28 6 Mo LIBOR ARM First Lien 9.4 15.4 651009888 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 651009925 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 651009947 0 Fixed Rate 30 Yr First Lien 0 0 651009957 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7 13 651009958 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 651009969 N 2/28 6 Mo LIBOR ARM First Lien 10.75 16.75 651009982 0 Fixed Rate 30 Yr First Lien 0 0 651010018 N 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 651010058 U 3/27 6 Mo LIBOR ARM First Lien 10.8 16.8 651010059 0 Fixed Rate 30 Yr First Lien 0 0 651010062 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 651010067 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 651010071 N 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 651010108 0 Fixed Rate 15 Yr First Lien 0 0 651010113 N 2/28 6 Mo LIBOR ARM First Lien 6.88 12.88 651010119 U 2/28 6 Mo LIBOR ARM First Lien 8.9 14.9 651010120 U 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 651010137 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 651010192 U Fixed Rate 30 Yr First Lien 0 0 651010215 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.7 14.7 651010219 U 2/28 6 Mo LIBOR ARM First Lien 9.6 15.6 651010275 0 Fixed Rate 30 Yr First Lien 0 0 651010277 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 651010289 U 2/28 6 Mo LIBOR ARM First Lien 5.5 11.5 651010297 U 2/28 6 Mo LIBOR ARM First Lien 8 14 651010300 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 651010318 U 2/28 6 Mo LIBOR ARM First Lien 9.55 15.55 651010331 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 651010334 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 651010343 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 651010348 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 651010351 U 2/28 6 Mo LIBOR ARM First Lien 5.75 11.75 651010355 U 2/28 6 Mo LIBOR ARM First Lien 9.8 15.8 651010362 0 Fixed Rate 30 Yr First Lien 0 0 651010378 U 2/28 6 Mo LIBOR ARM First Lien 5.9 11.9 651010394 U Fixed Rate 30 Yr First Lien 0 0 651010396 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 651010402 N 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 651010428 U Fixed Rate 30 Yr First Lien 0 0 651010447 U 2/28 6 Mo LIBOR ARM First Lien 10.4 16.4 651010494 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 651010500 0 Fixed Rate 30 Yr First Lien 0 0 651010503 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 651010513 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 651010516 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 651010523 U Fixed Rate 20 Yr First Lien 0 0 651010532 U 2/28 6 Mo LIBOR ARM First Lien 10.15 16.15 651010552 0 Fixed Rate 30 Yr First Lien 0 0 651010553 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 651010559 0 Fixed Rate 30 Yr First Lien 0 0 651010586 0 Fixed Rate 30 Yr First Lien 0 0 651010620 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 651010843 U 2/28 6 Mo LIBOR ARM First Lien 10.25 16.25 661006145 0 Fixed Rate 30 Yr First Lien 0 0 661006195 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 661006578 N 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 661006579 0 Fixed Rate 30 Yr 5YR IO First Lien 0 0 661006628 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 661006729 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 661006861 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.9 11.9 661006890 U 2/28 6 Mo LIBOR ARM First Lien 9.5 15.5 661006898 0 Fixed Rate 30 Yr 5YR IO First Lien 0 0 661006915 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 661006919 N 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 661006939 N 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 661007032 0 Fixed Rate 30 Yr First Lien 0 0 661007033 N 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 661007052 0 Fixed Rate 30 Yr First Lien 0 0 661007078 N 2/28 6 Mo LIBOR ARM First Lien 8.7 14.7 661007081 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 661007084 U 3/27 6 Mo LIBOR ARM First Lien 8.48 14.48 661007101 0 Fixed Rate 30 Yr First Lien 0 0 661007103 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 661007126 N 5YR IO 3/27 6 Mo LIBOR ARM First Lien 6.95 12.95 661007127 N 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 661007136 U 2/28 6 Mo LIBOR ARM First Lien 6.19 12.19 661007140 0 Fixed Rate 15 Yr First Lien 0 0 661007152 U 2/28 6 Mo LIBOR ARM First Lien 5.1 11.1 661007156 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 661007157 N 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 661007178 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 661007180 U 2/28 6 Mo LIBOR ARM First Lien 7 13 661007186 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 661007204 0 Fixed Rate 30 Yr 5YR IO First Lien 0 0 661007211 U 2/28 6 Mo LIBOR ARM First Lien 5.35 11.35 661007213 N 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 661007231 0 Fixed Rate 30 Yr First Lien 0 0 661007242 U 2/28 6 Mo LIBOR ARM First Lien 5.75 11.75 661007245 0 Fixed Rate 30 Yr First Lien 0 0 661007247 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.08 13.08 661007248 U 2/28 6 Mo LIBOR ARM First Lien 5.75 11.75 661007253 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 661007267 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.95 11.95 661007279 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 661007281 N 2/28 6 Mo LIBOR ARM First Lien 9.1 15.1 661007282 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 661007302 0 Fixed Rate 30 Yr First Lien 0 0 661007305 N 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 661007312 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 661007320 U 2/28 6 Mo LIBOR ARM First Lien 5.45 11.45 661007327 0 Fixed Rate 30 Yr First Lien 0 0 661007333 N 2/28 6 Mo LIBOR ARM First Lien 9.6 15.6 661007335 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 661007338 U 2/28 6 Mo LIBOR ARM First Lien 7 13 661007349 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.85 11.85 661007366 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 661007367 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 661007370 U 3/27 6 Mo LIBOR ARM First Lien 7.75 13.75 661007371 U 2/28 6 Mo LIBOR ARM First Lien 8.14 14.14 661007384 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 661007410 U 2/28 6 Mo LIBOR ARM First Lien 5.65 11.65 661007412 U 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 661007416 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 661007421 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 661007429 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.55 11.55 661007436 U 2/28 6 Mo LIBOR ARM First Lien 8 14 661007437 N 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 661007458 U 2/28 6 Mo LIBOR ARM First Lien 6.2 12.2 661007459 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 661007462 N 2/28 6 Mo LIBOR ARM First Lien 7.59 13.59 661007469 0 Fixed Rate 30 Yr First Lien 0 0 661007478 N 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 661007480 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 661007482 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 661007485 U 2/28 6 Mo LIBOR ARM First Lien 5.8 11.8 661007486 0 Fixed Rate 30 Yr First Lien 0 0 661007488 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6 12 661007495 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.6 11.6 661007497 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 661007512 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 661007514 U 2/28 6 Mo LIBOR ARM First Lien 10.34 16.34 661007518 U 2/28 6 Mo LIBOR ARM First Lien 5.85 11.85 661007519 U 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 661007520 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 661007524 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 661007528 N 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 661007536 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 661007542 0 Fixed Rate 30 Yr First Lien 0 0 661007543 0 Fixed Rate 15 Yr First Lien 0 0 661007546 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.2 12.2 661007559 N 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 661007562 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 661007569 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.84 11.84 661007584 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 661007585 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 661007590 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 661007609 0 Fixed Rate 30 Yr First Lien 0 0 661007613 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.85 11.85 661007616 U 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 661007617 N 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 661007642 U 2/28 6 Mo LIBOR ARM First Lien 8.05 14.05 661007655 0 Fixed Rate 30 Yr First Lien 0 0 661007659 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 661007661 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 661007665 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 661007672 N 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 661007674 N 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 661007676 U 2/28 6 Mo LIBOR ARM First Lien 5.95 11.95 661007694 0 Fixed Rate 30 Yr Second Lien 0 0 661007718 U 2/28 6 Mo LIBOR ARM First Lien 8.19 14.19 661007721 N 2/28 6 Mo LIBOR ARM First Lien 8.79 14.79 661007730 U 2/28 6 Mo LIBOR ARM First Lien 6.15 12.15 661007732 N 2/28 6 Mo LIBOR ARM First Lien 9.2 15.2 661007734 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 661007744 N 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 661007775 U 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 661007788 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 661007789 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 6.9 12.9 671003122 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 671003460 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 671003472 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.35 14.35 671003566 U Fixed Rate 30 Yr First Lien 0 0 671003658 U 2/28 6 Mo LIBOR ARM First Lien 5.7 11.7 671003818 N 2/28 6 Mo LIBOR ARM First Lien 8.125 14.125 671003834 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 671003883 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 5.5 11.5 671003909 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 671003913 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 671003945 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 671004015 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 671004069 0 Fixed Rate 30 Yr First Lien 0 0 671004123 0 Fixed Rate 30 Yr First Lien 0 0 671004178 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 671004202 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.25 11.25 671004210 0 Fixed Rate 30 Yr First Lien 0 0 671004252 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.05 12.05 671004297 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.95 11.95 671004302 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 671004354 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.6 11.6 671004357 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.65 11.65 671004364 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.19 12.19 671004391 N 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 671004400 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.5 11.5 671004417 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 6.2 12.2 671004424 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 671004427 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 671004431 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 671004446 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.84 12.84 671004453 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.8 11.8 671004466 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 671004477 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 671004505 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 671004523 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.5 11.5 671004529 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 671004533 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 671004545 U 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 671004546 U 2/28 6 Mo LIBOR ARM First Lien 6.34 12.34 671004591 U 2/28 6 Mo LIBOR ARM First Lien 7.69 13.69 671004642 U 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 671004669 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 681005341 U 3/27 6 Mo LIBOR ARM First Lien 7.875 13.875 681005524 U 3/27 6 Mo LIBOR ARM First Lien 7.4 13.4 681005543 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 681005568 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 681005640 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 681005661 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 681005667 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 681005716 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 681005833 0 Fixed Rate 30 Yr First Lien 0 0 681005867 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 681005892 0 Fixed Rate 30 Yr First Lien 0 0 681005905 U 3/27 6 Mo LIBOR ARM First Lien 6.95 12.95 681005907 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 681005987 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 681005990 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 681006013 U 2/28 6 Mo LIBOR ARM First Lien 5.36 11.36 681006038 U 2/28 6 Mo LIBOR ARM First Lien 7 13 681006043 U 2/28 6 Mo LIBOR ARM First Lien 12.15 18.15 681006045 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 681006048 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 681006056 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 681006079 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 681006089 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 681006090 U 2/28 6 Mo LIBOR ARM First Lien 8.19 14.19 681006106 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 681006118 0 Fixed Rate 20 Yr First Lien 0 0 681006121 U 2/28 6 Mo LIBOR ARM First Lien 5.7 11.7 681006141 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 681006146 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 681006173 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 681006175 U 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 681006206 U 2/28 6 Mo LIBOR ARM First Lien 8.9 14.9 681006208 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 681006215 0 Fixed Rate 30 Yr First Lien 0 0 681006218 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 681006221 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 681006238 0 Fixed Rate 30 Yr First Lien 0 0 681006322 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 681006332 0 Fixed Rate 30 Yr First Lien 0 0 681006336 U 2/28 6 Mo LIBOR ARM First Lien 8.35 14.35 681006365 U 2/28 6 Mo LIBOR ARM First Lien 8 14 681006366 U 2/28 6 Mo LIBOR ARM First Lien 6.84 12.84 681006368 U 2/28 6 Mo LIBOR ARM First Lien 9.65 15.65 681006405 0 Fixed Rate 30 Yr First Lien 0 0 681006415 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 681006424 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 681006448 0 Fixed Rate 30 Yr First Lien 0 0 681006451 U 2/28 6 Mo LIBOR ARM First Lien 8.19 14.19 681006453 U 2/28 6 Mo LIBOR ARM First Lien 8.7 14.7 681006455 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 681006461 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 681006470 U 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 681006481 0 Fixed Rate 30 Yr First Lien 0 0 681006490 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 681006496 0 Fixed Rate 30 Yr First Lien 0 0 681006500 U 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 681006509 U 2/28 6 Mo LIBOR ARM First Lien 9.05 15.05 681006516 U 2/28 6 Mo LIBOR ARM First Lien 8.9 14.9 681006517 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 681006522 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 681006524 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 681006529 0 Fixed Rate 30 Yr First Lien 0 0 681006530 0 Fixed Rate 30 Yr First Lien 0 0 681006531 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 681006537 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 681006542 0 Fixed Rate 30 Yr First Lien 0 0 681006557 0 Fixed Rate 30 Yr First Lien 0 0 681006558 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 681006573 0 Fixed Rate 30 Yr First Lien 0 0 681006574 U 2/28 6 Mo LIBOR ARM First Lien 7.24 13.24 681006582 U 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 681006586 0 Fixed Rate 15 Yr First Lien 0 0 681006587 0 Fixed Rate 30 Yr Second Lien 0 0 681006591 X 0/00 0 Xx XXXXX XXX Xxxxx Xxxx 7.1 13.1 681006600 0 Fixed Rate 30 Yr First Lien 0 0 681006615 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 681006618 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 681006624 U 3/27 6 Mo LIBOR ARM First Lien 5.95 11.95 681006626 0 Fixed Rate 30 Yr First Lien 0 0 681006631 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 681006652 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 681006659 U 2/28 6 Mo LIBOR ARM First Lien 5.75 11.75 681006674 0 Fixed Rate 30 Yr First Lien 0 0 681006689 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 681006703 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 681006705 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 681006713 U 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 681006766 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 681006804 0 Fixed Rate 30 Yr First Lien 0 0 691002872 U 3/27 6 Mo LIBOR ARM First Lien 10.35 16.35 691003003 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 691003134 N 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 691003227 0 Fixed Rate 30 Yr First Lien 0 0 691003465 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 691003514 N 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 691003538 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 691003581 0 Fixed Rate 30 Yr First Lien 0 0 691003597 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 691003650 0 Fixed Rate 30 Yr First Lien 0 0 691003687 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 691003716 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.6 11.6 691003739 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 691003782 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 691003785 N 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 691003810 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.05 14.05 691003818 U 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 691003819 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 691003823 N 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 691003830 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 691003869 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 691003870 U 2/28 6 Mo LIBOR ARM First Lien 9.25 15.25 691003887 U 2/28 6 Mo LIBOR ARM First Lien 6.15 12.15 691003893 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 691003911 N 2/28 6 Mo LIBOR ARM First Lien 6.19 12.19 691003912 N 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 691003923 U 2/28 6 Mo LIBOR ARM First Lien 9.15 15.15 691003947 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 691003948 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 691003958 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 691003967 U 2/28 6 Mo LIBOR ARM First Lien 5.65 11.65 691003981 U 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 691003990 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 691003998 N 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 691004000 N 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 691004015 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 691004016 U 2/28 6 Mo LIBOR ARM First Lien 6.15 12.15 691004032 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 691004043 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 691004053 U 2/28 6 Mo LIBOR ARM First Lien 9.4 15.4 691004054 U 2/28 6 Mo LIBOR ARM First Lien 7 13 691004057 U 2/28 6 Mo LIBOR ARM First Lien 9.35 15.35 691004059 U 2/28 6 Mo LIBOR ARM First Lien 8.29 14.29 691004098 N 2/28 6 Mo LIBOR ARM First Lien 8.84 14.84 691004121 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 691004176 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 691004186 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 701000231 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 701000370 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 701000707 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.075 13.075 701000768 0 Fixed Rate 30 Yr First Lien 0 0 701000775 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 701000892 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 701000916 0 Fixed Rate 30 Yr First Lien 0 0 701000986 U 3/27 6 Mo LIBOR ARM First Lien 7.45 13.45 701000994 U 2/28 6 Mo LIBOR ARM First Lien 9.25 15.25 701000999 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 701001001 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 701001009 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.04 12.04 701001013 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 701001016 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 701001026 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 701001047 U 2/28 6 Mo LIBOR ARM First Lien 7.54 13.54 701001049 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 701001051 U 6 Mo LIBOR ARM 30 Yr First Lien 5.4 11.4 701001053 U 2/28 6 Mo LIBOR ARM First Lien 6.525 12.525 701001077 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 701001080 U 6 Mo LIBOR ARM 30 Yr First Lien 6.35 12.35 701001097 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 711006618 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 711006733 0 Fixed Rate 30 Yr First Lien 0 0 711006821 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 711006920 0 Fixed Rate 30 Yr First Lien 0 0 711006947 U 6 Mo LIBOR ARM 30 Yr First Lien 8.8 14.8 711007070 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 711007071 U 2/28 6 Mo LIBOR ARM First Lien 6 12 711007072 U 2/28 6 Mo LIBOR ARM First Lien 5.75 11.75 711007092 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 711007095 U 2/28 6 Mo LIBOR ARM First Lien 7 13 711007104 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 711007122 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 711007140 U 2/28 6 Mo LIBOR ARM First Lien 5.95 11.95 711007196 0 Fixed Rate 30 Yr Second Lien 0 0 711007208 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 711007209 U 2/28 6 Mo LIBOR ARM First Lien 5.85 11.85 711007214 U 2/28 6 Mo LIBOR ARM First Lien 9.2 15.2 711007235 U 2/28 6 Mo LIBOR ARM First Lien 6.925 12.925 711007236 U 2/28 6 Mo LIBOR ARM First Lien 7.69 13.69 711007240 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 711007241 U 2/28 6 Mo LIBOR ARM First Lien 8.42 14.42 711007243 U 2/28 6 Mo LIBOR ARM First Lien 8.05 14.05 711007246 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 711007247 U 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 711007256 U 6 Mo LIBOR ARM 30 Yr First Lien 7.9 13.9 711007289 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 711007303 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 711007305 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 711007307 U 2/28 6 Mo LIBOR ARM First Lien 5.65 11.65 711007308 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 711007319 0 Fixed Rate 20 Yr First Lien 0 0 711007328 U 6 Mo LIBOR ARM 30 Yr First Lien 7.14 13.14 711007366 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 711007466 0 Fixed Rate 30 Yr First Lien 0 0 721006708 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 721006785 0 Fixed Rate 20 Yr First Lien 0 0 721006786 U 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 721006886 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 721006940 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 721006944 U 2/13 6 Mo LIBOR ARM First Lien 8.35 14.35 721007009 U 2/28 6 Mo LIBOR ARM First Lien 6.89 12.89 721007050 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 721007097 U 2/28 6 Mo LIBOR ARM First Lien 9.3 15.3 721007103 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 721007127 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 721007128 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 721007161 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.125 12.125 721007165 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 721007173 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 721007184 U 2/28 6 Mo LIBOR ARM First Lien 6.1 12.1 721007190 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 721007195 U 2/28 6 Mo LIBOR ARM First Lien 6.325 12.325 721007207 U 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 721007235 U 2/28 6 Mo LIBOR ARM First Lien 5.05 11.05 721007239 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 721007240 0 Fixed Rate 20 Yr First Lien 0 0 721007243 U 2/28 6 Mo LIBOR ARM First Lien 8.29 14.29 721007252 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 721007268 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 721007279 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 721007292 U 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 721007298 U 2/28 6 Mo LIBOR ARM First Lien 9.3 15.3 721007299 0 Fixed Rate 30 Yr First Lien 0 0 721007301 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 721007307 U 2/28 6 Mo LIBOR ARM First Lien 8.7 14.7 721007308 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 721007313 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 721007315 U 2/28 6 Mo LIBOR ARM First Lien 8 14 721007319 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 721007320 U 2/28 6 Mo LIBOR ARM First Lien 6.2 12.2 721007322 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 721007325 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 721007329 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 721007334 0 Fixed Rate 15 Yr First Lien 0 0 721007338 0 Fixed Rate 30 Yr First Lien 0 0 721007350 U 2/28 6 Mo LIBOR ARM First Lien 6.79 12.79 721007370 0 Fixed Rate 30 Yr Second Lien 0 0 721007378 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 721007384 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 721007392 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 721007403 U 2/28 6 Mo LIBOR ARM First Lien 6.79 12.79 721007439 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.15 12.15 731010082 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 731010185 U 2/28 6 Mo LIBOR ARM First Lien 8 14 731010191 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 731010237 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 731010433 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 731010447 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 731010514 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 731010561 0 Fixed Rate 30 Yr First Lien 0 0 731010562 0 Fixed Rate 30 Yr First Lien 0 0 731010578 U 2/28 6 Mo LIBOR ARM First Lien 9.3 15.3 731010588 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 731010628 0 Fixed Rate 30 Yr First Lien 0 0 731010634 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 731010687 U 2/28 6 Mo LIBOR ARM First Lien 8.875 14.875 731010700 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 731010702 0 Fixed Rate 20 Yr First Lien 0 0 731010752 U 2/28 6 Mo LIBOR ARM First Lien 9.75 15.75 731010778 0 Fixed Rate 15 Yr First Lien 0 0 731010779 U 2/28 6 Mo LIBOR ARM First Lien 7.79 13.79 731010817 U 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 731010850 U 2/28 6 Mo LIBOR ARM First Lien 9.29 15.29 731010915 U 2/28 6 Mo LIBOR ARM First Lien 8 14 731010932 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 731010982 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 731011066 U 2/13 6 Mo LIBOR ARM First Lien 8.6 14.6 731011152 0 Fixed Rate 30 Yr First Lien 0 0 741010432 U Fixed Rate 15 Yr First Lien 0 0 741010866 U 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 741010875 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 741010979 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 741011161 U 2/28 6 Mo LIBOR ARM First Lien 9 15 741011189 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 741011216 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 741011337 0 Fixed Rate 30 Yr First Lien 0 0 741011364 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 741011383 U 2/28 6 Mo LIBOR ARM First Lien 8 14 741011400 U 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 741011483 0 Fixed Rate 10 Yr First Lien 0 0 741011525 U 2/28 6 Mo LIBOR ARM First Lien 8.35 14.35 741011565 U 2/28 6 Mo LIBOR ARM First Lien 9.04 15.04 741011608 U 2/28 6 Mo LIBOR ARM First Lien 7.91 13.91 741011612 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 741011631 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 741011636 0 Fixed Rate 30 Yr First Lien 0 0 741011654 U 2/28 6 Mo LIBOR ARM First Lien 9.54 15.54 741011677 U 2/28 6 Mo LIBOR ARM First Lien 8.9 14.9 741011681 U 2/28 6 Mo LIBOR ARM First Lien 5.45 11.45 741011682 0 Fixed Rate 30 Yr Second Lien 0 0 741011691 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 741011701 U 2/28 6 Mo LIBOR ARM First Lien 9.45 15.45 741011727 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 741011733 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 741011754 U 2/28 6 Mo LIBOR ARM First Lien 7.29 13.29 741011818 U 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 741011839 0 Fixed Rate 30 Yr Second Lien 0 0 741011845 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 741011878 U 2/28 6 Mo LIBOR ARM First Lien 8.29 14.29 741011899 0 Fixed Rate 30 Yr First Lien 0 0 741011906 U 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 741011919 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 741011947 0 Fixed Rate 20 Yr First Lien 0 0 741012036 0 Fixed Rate 15 Yr First Lien 0 0 761008530 U 2/28 6 Mo LIBOR ARM First Lien 10.74 16.74 761009045 U 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 761009329 U 2/28 6 Mo LIBOR ARM First Lien 9.65 15.65 761009634 U 2/28 6 Mo LIBOR ARM First Lien 10.19 16.19 761009843 U 2/28 6 Mo LIBOR ARM First Lien 10.14 16.14 761009890 0 Fixed Rate 10 Yr First Lien 0 0 761010012 U 2/28 6 Mo LIBOR ARM First Lien 10.64 16.64 761010075 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 761010090 U 2/28 6 Mo LIBOR ARM First Lien 11.2 17.2 761010162 U 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 761010179 U 3/27 6 Mo LIBOR ARM First Lien 8.95 14.95 761010189 U 2/28 6 Mo LIBOR ARM First Lien 10.69 16.69 761010285 0 Fixed Rate 15 Yr First Lien 0 0 761010328 U 2/28 6 Mo LIBOR ARM First Lien 10.6 16.6 761010335 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 761010405 U 2/28 6 Mo LIBOR ARM First Lien 9.69 15.69 761010434 U 6 Mo LIBOR ARM 30 Yr First Lien 8 14 761010470 U 6 Mo LIBOR ARM 15 Yr First Lien 9.9 15.9 761010474 U 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 761010478 U 2/28 6 Mo LIBOR ARM First Lien 9.25 15.25 761010513 U 2/28 6 Mo LIBOR ARM First Lien 9.4 15.4 761010545 U 2/28 6 Mo LIBOR ARM First Lien 10.5 16.5 761010547 U 2/28 6 Mo LIBOR ARM First Lien 10.29 16.29 761010548 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 761010552 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 761010557 U 2/28 6 Mo LIBOR ARM First Lien 8.69 14.69 761010561 U 2/28 6 Mo LIBOR ARM First Lien 7.79 13.79 761010585 U 2/28 6 Mo LIBOR ARM First Lien 6.825 12.825 761010623 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 761010718 U 2/28 6 Mo LIBOR ARM First Lien 9.85 15.85 761010743 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 761010744 U 2/13 6 Mo LIBOR ARM First Lien 9.33 15.33 761010754 U 2/28 6 Mo LIBOR ARM First Lien 8 14 761010755 U 2/28 6 Mo LIBOR ARM First Lien 10.4 16.4 761010759 U 2/28 6 Mo LIBOR ARM First Lien 10.4 16.4 761010808 U 2/28 6 Mo LIBOR ARM First Lien 9.3 15.3 761010813 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 761010827 U 2/28 6 Mo LIBOR ARM First Lien 10.3 16.3 761010842 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 761011013 U 2/28 6 Mo LIBOR ARM First Lien 10.25 16.25 771005111 0 Fixed Rate 15 Yr First Lien 0 0 771005130 0 Fixed Rate 30 Yr First Lien 0 0 771005182 U 3/27 6 Mo LIBOR ARM First Lien 8 14 771005198 U 2/28 6 Mo LIBOR ARM First Lien 10.25 16.25 771005270 U 2/28 6 Mo LIBOR ARM First Lien 8.05 14.05 771005282 0 Fixed Rate 30 Yr First Lien 0 0 771005341 U 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 771005365 U 2/28 6 Mo LIBOR ARM First Lien 9.2 15.2 771005371 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 771005425 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 771005428 U 2/13 6 Mo LIBOR ARM First Lien 10.6 16.6 771005492 U 3/12 6 Mo LIBOR ARM First Lien 8.4 14.4 771005495 0 Fixed Rate 30 Yr First Lien 0 0 771005497 U 2/28 6 Mo LIBOR ARM First Lien 10.7 16.7 771005515 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 771005552 0 Fixed Rate 10 Yr First Lien 0 0 771005570 U 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 771005604 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 771005623 0 Fixed Rate 20 Yr First Lien 0 0 771005635 0 Fixed Rate 30 Yr Rate ReductioFirst Lien 0 0 771005637 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 771005652 0 Fixed Rate 30 Yr First Lien 0 0 771005667 U 3/27 6 Mo LIBOR ARM First Lien 8.1 14.1 771005679 0 Fixed Rate 30 Yr First Lien 0 0 771005690 0 Fixed Rate 30 Yr First Lien 0 0 771005695 0 Fixed Rate 30 Yr First Lien 0 0 771005703 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 771005705 U 2/28 6 Mo LIBOR ARM First Lien 9.2 15.2 771005706 U 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 771005728 0 Fixed Rate 20 Yr First Lien 0 0 771005729 U 3/27 6 Mo LIBOR ARM First Lien 7.85 13.85 771005734 U 2/28 6 Mo LIBOR ARM First Lien 9.4 15.4 771005742 0 Fixed Rate 20 Yr First Lien 0 0 771005789 0 Fixed Rate 10 Yr First Lien 0 0 771005805 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 771005829 U Fixed Rate 30 Yr First Lien 0 0 781003064 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 781003158 U 2/28 6 Mo LIBOR ARM First Lien 9.2 15.2 781003307 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 781003325 0 Fixed Rate 30 Yr First Lien 0 0 781003359 0 Fixed Rate 30 Yr First Lien 0 0 781003374 U 2/28 6 Mo LIBOR ARM First Lien 8.975 14.975 781003481 0 Fixed Rate 30 Yr First Lien 0 0 781003496 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 781003538 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 781003540 U 2/28 6 Mo LIBOR ARM First Lien 8.35 14.35 781003545 U 2/28 6 Mo LIBOR ARM First Lien 9.29 15.29 781003577 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 781003599 0 Fixed Rate 15 Yr First Lien 0 0 781003609 0 Fixed Rate 30 Yr First Lien 0 0 781003677 U 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 781003687 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 781003719 U 2/28 6 Mo LIBOR ARM First Lien 5.8 11.8 781003736 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 781003847 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 791002266 U 2/28 6 Mo LIBOR ARM First Lien 8.19 14.19 791002317 0 Fixed Rate 30 Yr 5YR IO First Lien 0 0 791002523 0 Fixed Rate 30 Yr First Lien 0 0 791002611 U 2/28 6 Mo LIBOR ARM First Lien 9.89 15.89 791002612 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 791002647 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 791002660 U 2/28 6 Mo LIBOR ARM First Lien 10.75 16.75 791002677 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 791002749 U 2/28 6 Mo LIBOR ARM First Lien 8.05 14.05 791002761 U 2/28 6 Mo LIBOR ARM First Lien 9 15 791002786 U 2/28 6 Mo LIBOR ARM First Lien 8.04 14.04 791002850 U 2/28 6 Mo LIBOR ARM First Lien 9.25 15.25 791002884 U 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 791002935 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 791002938 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 791002960 U 2/28 6 Mo LIBOR ARM First Lien 8.9 14.9 791002966 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 791002993 U 15/15 6 Mo LIBOR ARM First Lien 8.5 14.5 791003015 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 791003020 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 791003027 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 791003046 U 2/28 6 Mo LIBOR ARM First Lien 8 14 791003072 U 2/28 6 Mo LIBOR ARM First Lien 9.04 15.04 791003076 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 791003078 U 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 791003085 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 791003089 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 791003091 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 791003138 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 791003148 U 2/28 6 Mo LIBOR ARM First Lien 8.7 14.7 791003196 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 831032634 N 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 831038842 N 2/28 6 Mo LIBOR ARM First Lien 6.875 12.875 831039342 N 2/28 6 Mo LIBOR ARM First Lien 8.75 15.25 831039347 N 2/28 6 Mo LIBOR ARM First Lien 7.9 14.4 831039986 N 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 831039988 0 Fixed Rate 30 Yr First Lien 0 0 831040856 N 2/28 6 Mo LIBOR ARM First Lien 7.3 13.8 831041316 N 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 831041330 N 3/27 6 Mo LIBOR ARM First Lien 7.5 13.5 831041573 N 5YR IO 3/27 6 Mo LIBOR ARM First Lien 6.5 12.5 831041574 N 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 831041575 N 2/28 6 Mo LIBOR ARM First Lien 6.29 12.29 831041576 N 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 831041603 N 2/28 6 Mo LIBOR ARM First Lien 7.5 14.625 831041708 N 2/28 6 Mo LIBOR ARM First Lien 11 17 831041711 N 2/28 6 Mo LIBOR ARM First Lien 8.99 14.99 831041793 N 2/28 6 Mo LIBOR ARM First Lien 7.99 12.99 831041795 N 2/28 6 Mo LIBOR ARM First Lien 7.6 12.6 831041800 N 2/28 6 Mo LIBOR ARM First Lien 8.6 13.6 831041802 N 2/28 6 Mo LIBOR ARM First Lien 8.85 13.85 831041807 0 Fixed Rate 30 Yr Second Lien 0 0 831041812 N 2/28 6 Mo LIBOR ARM First Lien 8.65 13.65 831041813 N 2/28 6 Mo LIBOR ARM First Lien 7.5 12.5 831042151 N 2/28 6 Mo LIBOR ARM First Lien 8 14 831042152 N 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 831042155 N 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 831042158 N 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 831042161 N 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 831042364 N 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 831042365 N 3/27 6 Mo LIBOR ARM First Lien 7.875 13.875 831042366 N 2/28 6 Mo LIBOR ARM First Lien 7.875 13.875 831042368 N 2/28 6 Mo LIBOR ARM First Lien 7.875 13.875 831042370 0 Fixed Rate 15 Yr First Lien 0 0 831042372 N 2/28 6 Mo LIBOR ARM First Lien 8.99 14.99 831042375 N 2/28 6 Mo LIBOR ARM First Lien 6.625 12.625 831042376 N 2/28 6 Mo LIBOR ARM First Lien 6.875 12.875 831042535 N 2/28 6 Mo LIBOR ARM First Lien 8.42 14.42 831042537 N 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 831042540 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 831042542 0 Fixed Rate 30 Yr First Lien 0 0 831042543 0 Fixed Rate 30 Yr First Lien 0 0 831042545 0 Fixed Rate 30 Yr First Lien 0 0 831042549 N 3/27 6 Mo LIBOR ARM First Lien 6.2 13.2 831042550 N 2/28 6 Mo LIBOR ARM First Lien 5.3 12.3 831042554 N 2/28 6 Mo LIBOR ARM First Lien 7.5 14.5 831042555 N 2/28 6 Mo LIBOR ARM First Lien 8.45 15.45 831042556 N 2/28 6 Mo LIBOR ARM First Lien 8.5 15.5 831042557 N 2/28 6 Mo LIBOR ARM First Lien 8.65 15.65 831042559 N 2/28 6 Mo LIBOR ARM First Lien 9.65 16.65 831042560 N 6 Mo LIBOR ARM 30 Yr First Lien 5.5 11.5 831042718 N 5YR IO 3/27 6 Mo LIBOR ARM First Lien 7.6 13.6 831042719 N 2/28 6 Mo LIBOR ARM First Lien 6.9 13.4 831042721 0 Fixed Rate 30 Yr First Lien 0 0 831042724 N 2/28 6 Mo LIBOR ARM First Lien 7.8 14.3 831043120 N 2/28 6 Mo LIBOR ARM First Lien 8.99 18.99 831043133 N 6 Mo LIBOR ARM 30 Yr First Lien 8.25 14.25 831043187 0 Fixed Rate 30 Yr First Lien 0 0 831043215 0 Fixed Rate 30 Yr First Lien 0 0 831043302 N 2/28 6 Mo LIBOR ARM First Lien 8.05 15.05 831043555 N 2/28 6 Mo LIBOR ARM First Lien 6.75 14 831043557 N 2/28 6 Mo LIBOR ARM First Lien 6 12 841003509 N 2/28 6 Mo LIBOR ARM First Lien 10.45 16.45 841004581 0 Fixed Rate 30 Yr Rate ReductioFirst Lien 0 0 841004618 U 2/28 6 Mo LIBOR ARM First Lien 8.85 14.85 841004667 U 2/28 6 Mo LIBOR ARM First Lien 9.99 15.99 841004791 0 Fixed Rate 30 Yr First Lien 0 0 841004798 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 841005059 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 841005079 U 2/28 6 Mo LIBOR ARM First Lien 10.05 16.05 841005180 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 841005196 0 Fixed Rate 30 Yr First Lien 0 0 841005255 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 841005304 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 841005318 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 841005324 N 2/28 6 Mo LIBOR ARM First Lien 10.05 16.05 841005363 U 2/28 6 Mo LIBOR ARM First Lien 9.9 15.9 841005380 0 Fixed Rate 30 Yr First Lien 0 0 841005425 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 841005438 0 Fixed Rate 30 Yr First Lien 0 0 841005479 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 841005488 U 2/28 6 Mo LIBOR ARM First Lien 9.99 15.99 841005528 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 841005538 U 2/28 6 Mo LIBOR ARM First Lien 8.24 14.24 841005564 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 841005565 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 841005578 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 841005594 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 841005598 U 2/28 6 Mo LIBOR ARM First Lien 9.25 15.25 841005605 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 841005620 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 841005675 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 841005690 0 Fixed Rate 30 Yr First Lien 0 0 841005691 N 2/28 6 Mo LIBOR ARM First Lien 8.49 14.49 841005711 U 3/27 6 Mo LIBOR ARM First Lien 8.95 14.95 841005714 U 2/28 6 Mo LIBOR ARM First Lien 8 14 841005728 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 841005742 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 841005750 U 2/28 6 Mo LIBOR ARM First Lien 9.05 15.05 841005752 0 Fixed Rate 30 Yr First Lien 0 0 841005755 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 841005792 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 841005794 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.5 11.5 841005813 U 2/28 6 Mo LIBOR ARM First Lien 10.3 16.3 841005815 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 841005834 U 2/28 6 Mo LIBOR ARM First Lien 11.95 17.95 841005855 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 841005881 0 Fixed Rate 30 Yr First Lien 0 0 841005893 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 841005896 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 841005912 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 841005921 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 841005931 U 2/28 6 Mo LIBOR ARM First Lien 8.99 14.99 841005954 U 2/28 6 Mo LIBOR ARM First Lien 7 13 841005983 U 2/28 6 Mo LIBOR ARM First Lien 9.5 15.5 841005988 U 2/28 6 Mo LIBOR ARM First Lien 8.19 14.19 841006003 0 Fixed Rate 30 Yr First Lien 0 0 841006012 U 2/28 6 Mo LIBOR ARM First Lien 6.05 12.05 841006014 U 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 841006015 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 841006017 0 Fixed Rate 30 Yr First Lien 0 0 841006021 U 2/28 6 Mo LIBOR ARM First Lien 8.89 14.89 841006039 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 841006043 U 2/28 6 Mo LIBOR ARM First Lien 9.69 15.69 841006049 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 841006059 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 841006062 U 2/28 6 Mo LIBOR ARM First Lien 9.15 15.15 841006063 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 841006065 U 2/28 6 Mo LIBOR ARM First Lien 9.95 15.95 841006066 U 2/28 6 Mo LIBOR ARM First Lien 8.9 14.9 841006068 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 841006071 U 2/28 6 Mo LIBOR ARM First Lien 5.45 11.45 841006073 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 841006074 U 2/28 6 Mo LIBOR ARM First Lien 10.4 16.4 841006088 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 841006091 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 841006094 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 841006097 U 2/28 6 Mo LIBOR ARM First Lien 6.39 12.39 841006098 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 841006100 U 3/27 6 Mo LIBOR ARM First Lien 6.99 12.99 841006101 U 2/28 6 Mo LIBOR ARM First Lien 9.1 15.1 841006108 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 841006113 U 2/28 6 Mo LIBOR ARM First Lien 10.3 16.3 841006130 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 841006133 U 2/28 6 Mo LIBOR ARM First Lien 9.65 15.65 841006135 U 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 841006153 U 2/28 6 Mo LIBOR ARM First Lien 8.99 14.99 841006155 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 841006165 0 Fixed Rate 30 Yr First Lien 0 0 841006172 U 2/28 6 Mo LIBOR ARM First Lien 8.05 14.05 841006175 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 841006189 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 841006190 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 841006195 U 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 841006200 U Fixed Rate 30 Yr First Lien 0 0 841006218 U 3/27 6 Mo LIBOR ARM First Lien 6.4 12.4 841006224 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 841006225 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 841006230 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 841006234 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 841006235 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 841006237 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 841006241 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 841006242 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 841006253 U 2/28 6 Mo LIBOR ARM First Lien 7 13 841006256 0 Fixed Rate 30 Yr First Lien 0 0 841006262 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 841006265 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 841006273 U 2/28 6 Mo LIBOR ARM First Lien 9.5 15.5 841006274 0 Fixed Rate 30 Yr First Lien 0 0 841006283 U 2/28 6 Mo LIBOR ARM First Lien 8.9 14.9 841006321 U 2/28 6 Mo LIBOR ARM First Lien 5.8 11.8 841006334 U 2/28 6 Mo LIBOR ARM First Lien 9.25 15.25 841006374 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 841006375 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 841006419 U 3/27 6 Mo LIBOR ARM First Lien 7.75 13.75 841006505 U 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 851000607 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 851000644 U 2/28 6 Mo LIBOR ARM First Lien 9.44 15.44 851000710 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 851000911 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 851000924 U 2/28 6 Mo LIBOR ARM First Lien 9.3 15.3 851000945 0 Fixed Rate 30 Yr First Lien 0 0 851000980 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 851000991 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 851001026 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 851001039 U 2/28 6 Mo LIBOR ARM First Lien 5.8 11.8 851001083 0 Fixed Rate 30 Yr First Lien 0 0 851001085 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 851001109 U 2/28 6 Mo LIBOR ARM First Lien 8 14 851001122 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.59 13.59 851001132 0 Fixed Rate 30 Yr First Lien 0 0 851001138 U 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 851001146 U 2/28 6 Mo LIBOR ARM First Lien 6.05 12.05 851001159 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 851001160 U 3/27 6 Mo LIBOR ARM First Lien 6.9 12.9 851001165 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 851001171 U 2/28 6 Mo LIBOR ARM First Lien 10.05 16.05 851001185 U 2/28 6 Mo LIBOR ARM First Lien 7.19 13.19 851001187 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 851001200 U 2/28 6 Mo LIBOR ARM First Lien 6.29 12.29 851001210 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 851001217 0 Fixed Rate 30 Yr First Lien 0 0 851001222 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 851001229 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 851001247 N 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 851001250 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 851001252 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 851001261 U 2/28 6 Mo LIBOR ARM First Lien 8.9 14.9 851001272 U 2/28 6 Mo LIBOR ARM First Lien 10.3 16.3 851001280 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 851001296 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 871000575 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 871000653 0 Fixed Rate 30 Yr First Lien 0 0 871000831 0 Fixed Rate 30 Yr First Lien 0 0 871000938 U 2/28 6 Mo LIBOR ARM First Lien 5.6 11.6 871000962 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 871000971 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 871000973 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 871000994 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 871000996 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 871001016 U 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 871001032 0 Fixed Rate 30 Yr First Lien 0 0 871001046 N 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 871001076 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 871001096 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 871001108 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 871001110 U 2/28 6 Mo LIBOR ARM First Lien 7.34 13.34 871001130 0 Fixed Rate 30 Yr 5YR IO First Lien 0 0 871001141 U 2/28 6 Mo LIBOR ARM First Lien 5.7 11.7 871001144 0 Fixed Rate 30 Yr First Lien 0 0 871001148 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 871001158 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 871001169 U 2/28 6 Mo LIBOR ARM First Lien 5.5 11.5 871001178 0 Fixed Rate 30 Yr First Lien 0 0 871001180 0 Fixed Rate 30 Yr First Lien 0 0 871001188 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 871001199 U 2/28 6 Mo LIBOR ARM First Lien 7 13 871001209 U 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 871001216 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 871001219 0 Fixed Rate 30 Yr First Lien 0 0 871001232 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 871001253 0 Fixed Rate 30 Yr First Lien 0 0 871001261 U 2/28 6 Mo LIBOR ARM First Lien 8 14 871001275 0 Fixed Rate 30 Yr First Lien 0 0 871001276 0 Fixed Rate 30 Yr First Lien 0 0 871001281 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 871001282 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 871001284 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 871001286 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 871001293 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 871001300 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 871001313 U 2/28 6 Mo LIBOR ARM First Lien 7.19 13.19 871001315 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 871001326 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 871001327 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 871001330 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 871001356 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 871001358 0 Fixed Rate 30 Yr First Lien 0 0 871001366 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 911000339 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 911000349 N 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 911000364 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 911000370 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 ------------------------------------------------------------------------------ 4,386 ------------------------------------------------------------------------------ 011074337 U 2/28 6 Mo LIBOR ARM First Lien 9.15 15.15 011074652 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 011074732 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.85 11.85 011074776 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.2 12.2 011074810 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.2 11.2 011074871 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 011074924 U 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 011074926 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 5.75 11.75 011075083 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.64 12.64 011075105 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.25 11.25 011075107 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.6 11.6 011075126 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.2 12.2 011075179 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 011075199 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 011075296 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 011075315 0 Fixed Rate 20 Yr Second Lien 0 0 011075319 U 2/28 6 Mo LIBOR ARM First Lien 6.375 12.375 011075348 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 011075375 U 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 011075391 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 011075424 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 011075426 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 011075457 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 011075514 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 011075553 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 011075564 0 Fixed Rate 30 Yr Second Lien 0 0 011075571 0 Fixed Rate 30 Yr Second Lien 0 0 011075577 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 011075587 0 Fixed Rate 30 Yr Second Lien 0 0 011075712 0 Fixed Rate 30 Yr Second Lien 0 0 021063046 0 Fixed Rate 30 Yr 5YR IO First Lien 0 0 021063652 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.1 12.1 021063699 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 021063802 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 021064053 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 021064099 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 021064101 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 021064134 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 021064232 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 021064258 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 021064285 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.1 12.1 021064297 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.5 11.5 021064312 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.3 11.3 021064333 0 Fixed Rate 30 Yr First Lien 0 0 021064353 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 4.99 10.99 021064366 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.2 12.2 021064444 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 021064461 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.75 11.75 021064472 0 Fixed Rate 30 Yr Second Lien 0 0 021064494 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.75 11.75 021064525 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.15 12.15 021064527 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 021064561 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.6 11.6 021064593 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 6.55 12.55 021064599 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.05 12.05 021064605 U 2/28 6 Mo LIBOR ARM First Lien 8.9 14.9 021064616 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.45 11.45 021064621 0 Fixed Rate 30 Yr First Lien 0 0 021064651 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7 13 021064682 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 021064686 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 021064723 U 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 021064751 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 021064755 U 2/28 6 Mo LIBOR ARM First Lien 6 12 021064787 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 021064817 U 2/28 6 Mo LIBOR ARM First Lien 5.59 11.59 021064836 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 021064897 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.95 11.95 021064903 U 2/28 6 Mo LIBOR ARM First Lien 10.95 16.95 021064919 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 021064957 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 021064962 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 021064966 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 021064983 U 2/28 6 Mo LIBOR ARM First Lien 6 12 021064987 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 021064993 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 021065013 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 021065045 U 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 021065116 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 021065132 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 021065149 0 Fixed Rate 30 Yr Second Lien 0 0 021065167 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.7 11.7 021065205 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.84 13.84 021065209 U 2/28 6 Mo LIBOR ARM First Lien 8.99 14.99 021065265 0 Fixed Rate 30 Yr First Lien 0 0 021065275 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 021065277 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 021065279 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 5.75 11.75 021065294 0 Fixed Rate 30 Yr Second Lien 0 0 031033004 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 031033011 U 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 031033302 0 Fixed Rate 30 Yr Second Lien 0 0 031033394 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.24 12.24 031033546 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 031033725 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 031033745 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.746 12.746 031033854 0 Fixed Rate 30 Yr First Lien 0 0 031033857 U 2/28 6 Mo LIBOR ARM First Lien 6.2 12.2 031033869 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 031033887 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 031033904 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 031033989 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.1 12.1 031033991 U 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 031033998 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 031034008 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.9 11.9 031034017 N 2/28 6 Mo LIBOR ARM First Lien 10.45 16.45 031034038 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 031034106 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.85 11.85 031034124 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 031034142 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 031034168 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 031034213 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.75 11.75 031034234 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 031034243 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 031034247 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 031034261 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 031034297 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 031034299 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 031034301 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 6.25 12.25 031034305 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 031034390 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.45 11.45 031034394 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 031034428 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 031034457 0 Fixed Rate 30 Yr Second Lien 0 0 031034463 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 031034467 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.65 11.65 031034478 0 Fixed Rate 30 Yr First Lien 0 0 031034490 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 031034551 0 Fixed Rate 30 Yr Second Lien 0 0 031034553 0 Fixed Rate 30 Yr Second Lien 0 0 031034554 N 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 031034603 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 031034609 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.79 13.79 031034656 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 031034676 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 031034684 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 031034715 U 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 031034735 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 031034738 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 031034740 N 2/28 6 Mo LIBOR ARM First Lien 9.2 15.2 031034747 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 031034788 U 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 031034808 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 031034883 U 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 031034884 0 Fixed Rate 30 Yr Second Lien 0 0 031034926 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 031034933 0 Fixed Rate 30 Yr Second Lien 0 0 031034935 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 031034967 0 Fixed Rate 30 Yr Second Lien 0 0 031035009 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.14 13.14 031035017 U 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 031035018 N 5YR IO 3/27 6 Mo LIBOR ARM First Lien 6.75 12.75 031035039 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.2 12.2 031035066 0 Fixed Rate 30 Yr First Lien 0 0 031035069 N 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 031035089 U 2/28 6 Mo LIBOR ARM First Lien 7.475 13.475 031035115 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 031035125 0 Fixed Rate 30 Yr Second Lien 0 0 031035144 U 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 041062638 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 041066297 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 041066555 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 041066868 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 041066953 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 041067506 U 2/28 6 Mo LIBOR ARM First Lien 9.25 15.25 041067513 U 3/27 6 Mo LIBOR ARM First Lien 5.6 11.6 041067515 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 041067679 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 041067691 U 2/28 6 Mo LIBOR ARM First Lien 8.355 14.355 041067707 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7 13 041067775 U 3/27 6 Mo LIBOR ARM First Lien 7.125 13.125 041067803 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 041067837 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 041067862 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 041067873 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 041068069 U 2/28 6 Mo LIBOR ARM First Lien 8.35 14.35 041068127 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 041068421 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 051057001 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 051057092 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 051057134 0 Fixed Rate 30 Yr First Lien 0 0 051057195 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 051057971 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 7.55 13.55 051057980 U 2/28 6 Mo LIBOR ARM First Lien 8.35 14.35 051058081 0 Fixed Rate 30 Yr First Lien 0 0 051058134 U 3/27 6 Mo LIBOR ARM First Lien 7.65 13.65 051058143 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 051058344 U 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 051058367 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 061056430 U 3/27 6 Mo LIBOR ARM First Lien 8.85 14.85 061057570 U 2/28 6 Mo LIBOR ARM First Lien 10.6 16.6 061057633 U 2/28 6 Mo LIBOR ARM First Lien 10.45 16.45 061058329 U 2/28 6 Mo LIBOR ARM First Lien 10.8 16.8 061058613 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 061058645 N 2/28 6 Mo LIBOR ARM First Lien 10.8 16.8 061058687 0 Fixed Rate 20 Yr First Lien 0 0 061058711 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 061058751 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 061058811 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 061059145 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 061059157 0 Fixed Rate 20 Yr First Lien 0 0 061059234 U 2/28 6 Mo LIBOR ARM First Lien 9.6 15.6 061059484 U 2/28 6 Mo LIBOR ARM First Lien 8 14 061059510 U 2/28 6 Mo LIBOR ARM First Lien 8.85 14.85 071065546 U 2/28 6 Mo LIBOR ARM First Lien 8.05 14.05 071065969 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 071066066 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 071066099 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 071066231 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 071066324 0 Fixed Rate 30 Yr First Lien 0 0 071066398 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 071066408 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 071066416 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.625 12.625 071066438 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 071066453 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 071066477 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 071066510 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 071066532 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 071066533 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 071066562 0 Fixed Rate 30 Yr First Lien 0 0 071066587 0 Fixed Rate 30 Yr First Lien 0 0 071066599 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 071066630 U 2/28 6 Mo LIBOR ARM First Lien 9.95 15.95 071066640 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 071066718 U 2/28 6 Mo LIBOR ARM First Lien 9.2 15.2 071066725 U 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 071066749 U 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 071066849 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 071066879 U 3/27 6 Mo LIBOR ARM First Lien 7.6 13.6 071066893 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 071066955 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 071066974 0 Fixed Rate 30 Yr First Lien 0 0 071067011 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 071067016 0 Fixed Rate 30 Yr First Lien 0 0 071067068 U 2/28 6 Mo LIBOR ARM First Lien 6.94 12.94 071067102 U 3/27 6 Mo LIBOR ARM First Lien 7.4 13.4 071067145 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 071067147 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 071067271 U 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 081054655 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 081054964 0 Fixed Rate 30 Yr First Lien 0 0 081054970 U 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 081055146 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 081055183 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.95 11.95 081055432 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 6.95 12.95 081055607 U 2/28 6 Mo LIBOR ARM First Lien 5.9 11.9 081055655 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.9 11.9 081055722 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 6.95 12.95 081055785 U 2/28 6 Mo LIBOR ARM First Lien 8.9 14.9 081055806 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 081055818 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 081055831 U 2/28 6 Mo LIBOR ARM First Lien 9.55 15.55 081055954 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 081055965 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 081056080 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 081056084 0 Fixed Rate 30 Yr Second Lien 0 0 081056205 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 081056243 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 081056256 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 081056319 U 2/28 6 Mo LIBOR ARM First Lien 8.99 14.99 081056363 U 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 081056411 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 081056475 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 081056477 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 101047566 U 2/28 6 Mo LIBOR ARM First Lien 10.7 16.7 101047647 0 Fixed Rate 30 Yr First Lien 0 0 101047671 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.05 14.05 101047690 0 Fixed Rate 30 Yr First Lien 0 0 101047935 0 Fixed Rate 30 Yr First Lien 0 0 101048057 N 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 101048099 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 101048119 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 101048127 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.24 13.24 101048172 U 2/28 6 Mo LIBOR ARM First Lien 9.95 15.95 101048232 0 Fixed Rate 30 Yr First Lien 0 0 101048300 N 3/27 6 Mo LIBOR ARM First Lien 6 12 101048365 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 101048395 N 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 101048456 N 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 111000026 U 2/28 6 Mo LIBOR ARM First Lien 5.6 11.6 111000106 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 121038676 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 121039372 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 121039386 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 121039466 0 Fixed Rate 30 Yr First Lien 0 0 121039628 U 2/28 6 Mo LIBOR ARM First Lien 7.84 13.84 121039630 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 121039710 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 121039893 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 7.815 13.815 121039975 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7 13 121040107 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 121040335 U 2/28 6 Mo LIBOR ARM First Lien 9.15 15.15 121040370 U 2/28 6 Mo LIBOR ARM First Lien 7 13 121040384 U 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 131032549 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 131032710 U 3/27 6 Mo LIBOR ARM First Lien 7.3 13.3 131032928 U 2/28 6 Mo LIBOR ARM First Lien 6.64 12.64 131032945 U 2/28 6 Mo LIBOR ARM First Lien 10.15 16.15 131032994 0 Fixed Rate 30 Yr First Lien 0 0 131033142 U 2/28 6 Mo LIBOR ARM First Lien 6.2 12.2 131033203 U 2/28 6 Mo LIBOR ARM First Lien 6.1 12.1 141046269 0 Fixed Rate 30 Yr First Lien 0 0 141046552 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.05 11.05 141046823 0 Fixed Rate 30 Yr First Lien 0 0 141046949 0 Fixed Rate 30 Yr Second Lien 0 0 141047215 U 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 141047289 U 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 141047351 0 Fixed Rate 30 Yr First Lien 0 0 141047373 U 2/28 6 Mo LIBOR ARM First Lien 8.19 14.19 141047404 U 2/28 6 Mo LIBOR ARM First Lien 5.8 11.8 141047472 U 2/28 6 Mo LIBOR ARM First Lien 6.2 12.2 141047487 U 2/28 6 Mo LIBOR ARM First Lien 6.59 12.59 141047552 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 5.99 11.99 141047599 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 141047606 0 Fixed Rate 30 Yr First Lien 0 0 141047620 U 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 141047624 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.15 12.15 141047681 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.15 12.15 141047696 0 Fixed Rate 30 Yr Second Lien 0 0 141047756 X 0/00 0 Xx XXXXX XXX Xxxxx Xxxx 6.7 12.7 141047818 0 Fixed Rate 15 Yr Second Lien 0 0 141047849 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.74 11.74 141047850 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 141047878 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 141047925 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 141047938 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 141047984 0 Fixed Rate 30 Yr First Lien 0 0 141048113 0 Fixed Rate 30 Yr Second Lien 0 0 141048169 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 151028221 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 151028321 U 2/28 6 Mo LIBOR ARM First Lien 5.79 11.79 151028464 0 Fixed Rate 30 Yr First Lien 0 0 151028512 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 5.4 11.4 151028561 U 2/28 6 Mo LIBOR ARM First Lien 6.1 12.1 151028614 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 151028661 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 151028671 0 Fixed Rate 15 Yr Second Lien 0 0 151028704 0 Fixed Rate 30 Yr First Lien 0 0 151028707 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 151028738 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 151028863 U 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 151028925 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 151029075 0 Fixed Rate 15 Yr Second Lien 0 0 151029118 0 Fixed Rate 30 Yr First Lien 0 0 151029133 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 151029164 U 2/28 6 Mo LIBOR ARM First Lien 6.15 12.15 161040801 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 161040994 0 Fixed Rate 30 Yr Second Lien 0 0 161041019 0 Fixed Rate 30 Yr First Lien 0 0 161041061 U 2/28 6 Mo LIBOR ARM First Lien 6.875 12.875 161041256 U 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 161041268 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 161041331 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.7 11.7 161041337 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 161041377 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 161041391 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 161041424 U 3/27 6 Mo LIBOR ARM First Lien 8 14 161041486 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 161041487 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 161041521 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 161041522 U 2/28 6 Mo LIBOR ARM First Lien 7 13 161041523 U 2/28 6 Mo LIBOR ARM First Lien 6.89 12.89 161041596 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 161041601 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 161041638 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.39 13.39 161041721 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 161041735 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 161041819 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 161041835 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7 13 161041871 U 2/28 6 Mo LIBOR ARM First Lien 7 13 161041900 0 Fixed Rate 30 Yr First Lien 0 0 161041931 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 161041934 U 2/28 6 Mo LIBOR ARM First Lien 6.2 12.2 161041941 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 161041956 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 161041968 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 161041969 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 161041996 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 161042001 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8 14 161042056 U 2/28 6 Mo LIBOR ARM First Lien 8.05 14.05 161042091 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 161042111 0 Fixed Rate 20 Yr Second Lien 0 0 161042139 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 161042214 U 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 161042244 U 2/28 6 Mo LIBOR ARM First Lien 7 13 161042261 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 161042279 U 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 161042309 U 2/28 6 Mo LIBOR ARM First Lien 5.95 11.95 161042312 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 161042330 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 161042397 0 Fixed Rate 30 Yr First Lien 0 0 161042509 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 161042546 U 2/28 6 Mo LIBOR ARM First Lien 5.89 11.89 161042595 0 Fixed Rate 30 Yr Second Lien 0 0 171025207 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 171025459 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 171025480 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 171025501 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 171025584 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.45 11.45 171025606 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.8 11.8 171025685 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 171025721 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.19 13.19 171025774 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 171025825 U 3/27 6 Mo LIBOR ARM First Lien 7.35 13.35 171025827 0 Fixed Rate 30 Yr First Lien 0 0 171025873 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 6.625 12.625 171025899 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 171025902 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 171025949 U 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 171026043 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.24 12.24 171026061 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 171026065 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 171026280 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 171026363 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 171026539 0 Fixed Rate 30 Yr Second Lien 0 0 191024325 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 191024506 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 191024645 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.875 12.875 191024655 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 6.4 12.4 191024718 N 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 191024783 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 191024797 0 Fixed Rate 30 Yr First Lien 0 0 191025000 U 3/27 6 Mo LIBOR ARM First Lien 6.95 12.95 191025003 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 191025076 0 Fixed Rate 30 Yr Second Lien 0 0 191025142 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 191025329 U 2/28 6 Mo LIBOR ARM First Lien 9.5 15.5 191025334 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.95 11.95 191025366 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 211027716 U 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 211027859 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 211028328 N 2/28 6 Mo LIBOR ARM First Lien 10.74 16.74 211028454 U 3/27 6 Mo LIBOR ARM First Lien 7.84 13.84 211028872 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 211029017 U 2/28 6 Mo LIBOR ARM First Lien 7 13 211029389 U 2/28 6 Mo LIBOR ARM First Lien 8.19 14.19 211029451 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 211029468 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 211029632 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 211029709 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 211029801 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 211029807 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 211029843 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 211029876 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 211029893 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 211029926 U 2/28 6 Mo LIBOR ARM First Lien 10.1 16.1 211029940 N 2/28 6 Mo LIBOR ARM First Lien 11.6 17.6 211030002 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 211030068 U 2/28 6 Mo LIBOR ARM First Lien 7.59 13.59 211030136 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 211030165 U 2/28 6 Mo LIBOR ARM First Lien 10.2 16.2 211030442 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 211030477 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 211030549 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 211030699 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 211030736 U 2/28 6 Mo LIBOR ARM First Lien 5.6 11.6 211030757 U 2/28 6 Mo LIBOR ARM First Lien 6.2 12.2 211030811 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 211031060 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 211031250 0 Fixed Rate 30 Yr Second Lien 0 0 211031357 N 2/28 6 Mo LIBOR ARM First Lien 10.25 16.25 211031733 0 Fixed Rate 30 Yr Second Lien 0 0 231063447 U 2/28 6 Mo LIBOR ARM First Lien 7.64 13.64 231063923 U 2/28 6 Mo LIBOR ARM First Lien 5.4 11.4 231064005 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 231064142 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 231064168 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 231064423 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 231064511 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5 11 231064519 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 231064852 U 3/27 6 Mo LIBOR ARM First Lien 7.55 13.55 231064985 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.375 12.375 231065320 U 3/27 6 Mo LIBOR ARM First Lien 6.35 12.35 231065409 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 231065468 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 231065491 U 2/28 6 Mo LIBOR ARM First Lien 11.7 17.7 231065633 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.8 11.8 231065653 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 231065666 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 231065742 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 231065773 U 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 231065808 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 231065811 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 231065821 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 231065837 U 2/28 6 Mo LIBOR ARM First Lien 8 14 231065861 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 231065991 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 231065992 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 231066010 0 Fixed Rate 30 Yr First Lien 0 0 231066023 0 Fixed Rate 30 Yr First Lien 0 0 231066138 U 2/28 6 Mo LIBOR ARM First Lien 8.19 14.19 231066158 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 231066186 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 231066245 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 231066309 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 231066348 U 3/27 6 Mo LIBOR ARM First Lien 6.525 12.525 231066516 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 231066545 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 231066604 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 231066615 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.39 13.39 231066637 U 3/27 6 Mo LIBOR ARM First Lien 7.7 13.7 231066714 U 2/28 6 Mo LIBOR ARM First Lien 7.49 13.49 231066765 U 3/27 6 Mo LIBOR ARM First Lien 7.9 13.9 231066770 U 2/28 6 Mo LIBOR ARM First Lien 7.89 13.89 231066773 0 Fixed Rate 30 Yr First Lien 0 0 231066780 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 231066803 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 231066851 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 231066893 U 2/28 6 Mo LIBOR ARM First Lien 5.85 11.85 231066922 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 231066948 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 231066967 U 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 231067030 U 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 231067166 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 231067202 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 231067231 U 2/28 6 Mo LIBOR ARM First Lien 5.5 11.5 231067272 U 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 231067389 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 231067498 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 231067515 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 231067645 U 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 231067808 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 231067822 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 231067841 U 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 231067971 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 231068009 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 231068212 0 Fixed Rate 30 Yr First Lien 0 0 231068276 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 231068498 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 251036778 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.15 11.15 261052037 U 2/28 6 Mo LIBOR ARM First Lien 11.75 17.75 271020969 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 271021083 0 Fixed Rate 30 Yr First Lien 0 0 271021327 0 Fixed Rate 30 Yr Second Lien 0 0 271021423 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 271021992 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 271022262 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 271022347 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 271022387 0 Fixed Rate 30 Yr Second Lien 0 0 271022415 0 Fixed Rate 30 Yr Second Lien 0 0 271022457 0 Fixed Rate 30 Yr Second Lien 0 0 271022474 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 271022664 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.7 11.7 281015176 0 Fixed Rate 30 Yr Second Lien 0 0 281015605 U 2/28 6 Mo LIBOR ARM First Lien 10.1 16.1 291000688 U 2/28 6 Mo LIBOR ARM First Lien 5.95 11.95 301000953 0 Fixed Rate 30 Yr First Lien 0 0 301001212 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.49 12.49 301001363 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 301001391 N 3/27 6 Mo LIBOR ARM First Lien 8.08 14.08 301001508 U 2/28 6 Mo LIBOR ARM First Lien 7 13 301001654 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.375 13.375 311026904 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 311027016 U 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 311027100 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 311027180 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 311027332 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 311027378 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 311027379 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 311027410 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 311027443 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 321024148 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.05 12.05 321025553 X 0/00 0 Xx XXXXX XXX Xxxxx Xxxx 7.3 13.3 321025807 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 321025933 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 321026019 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 321026052 0 Fixed Rate 30 Yr First Lien 0 0 321026110 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 321026144 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 321026204 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 321026251 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.85 11.85 321026270 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.9 11.9 321026277 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.7 11.7 321026455 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.15 12.15 321026471 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 321026539 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.55 11.55 321026541 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.05 12.05 321026610 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 321026685 0 Fixed Rate 30 Yr First Lien 0 0 321026799 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 331034363 U 2/28 6 Mo LIBOR ARM First Lien 5.85 11.85 331034859 U 2/28 6 Mo LIBOR ARM First Lien 8.5 14.5 331035120 U 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 331035612 U 3/27 6 Mo LIBOR ARM First Lien 7.5 13.5 331035989 U 3/27 6 Mo LIBOR ARM First Lien 6.775 12.775 331036007 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 331036093 0 Fixed Rate 30 Yr Second Lien 0 0 331036096 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 331036146 U 2/28 6 Mo LIBOR ARM First Lien 9.99 15.99 331036282 0 Fixed Rate 30 Yr Second Lien 0 0 331036286 0 Fixed Rate 30 Yr Second Lien 0 0 331036372 U 2/28 6 Mo LIBOR ARM First Lien 8.9 14.9 331036427 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 331036555 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.75 11.75 331036564 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 331036581 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 331036602 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 331036670 U 2/28 6 Mo LIBOR ARM First Lien 5.7 11.7 331036689 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 331036725 0 Fixed Rate 30 Yr Second Lien 0 0 331036776 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 331036811 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 331036814 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 331036815 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 331036843 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 5.6 11.6 331036877 0 Fixed Rate 30 Yr Second Lien 0 0 331036909 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 331037100 0 Fixed Rate 30 Yr First Lien 0 0 331037133 U 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 331037197 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 331037225 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 331037242 0 Fixed Rate 30 Yr Second Lien 0 0 331037329 0 Fixed Rate 30 Yr Rate ReductioFirst Lien 0 0 331037338 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 331037440 0 Fixed Rate 30 Yr Second Lien 0 0 331037449 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.95 11.95 331037455 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.05 12.05 331037474 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 331037505 U 2/28 6 Mo LIBOR ARM First Lien 8.4 14.4 331037508 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 331037517 0 Fixed Rate 30 Yr Second Lien 0 0 331037518 U 2/28 6 Mo LIBOR ARM First Lien 6.89 12.89 331037539 0 Fixed Rate 30 Yr First Lien 0 0 331037545 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 331037547 0 Fixed Rate 30 Yr First Lien 0 0 331037555 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 331037578 0 Fixed Rate 30 Yr First Lien 0 0 331037600 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 331037607 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 331037623 0 Fixed Rate 30 Yr Second Lien 0 0 331037685 0 Fixed Rate 30 Yr First Lien 0 0 331037726 0 Fixed Rate 20 Yr Second Lien 0 0 331037732 U 3/27 6 Mo LIBOR ARM First Lien 6.5 12.5 331037743 U 3/27 6 Mo LIBOR ARM First Lien 6.75 12.75 331037789 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 331037799 U 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 331037836 U 2/28 6 Mo LIBOR ARM First Lien 6.49 12.49 331037867 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 331037910 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 331037915 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 331038020 0 Fixed Rate 30 Yr Second Lien 0 0 331038025 X 0/00 0 Xx XXXXX XXX Xxxxx Xxxx 7.5 13.5 331038080 0 Fixed Rate 30 Yr Second Lien 0 0 331038178 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 331038180 0 Fixed Rate 30 Yr First Lien 0 0 331038215 U 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 331038297 U 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 331038323 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 341024135 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 341024217 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 7.75 13.75 341024245 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 6.475 12.475 341024520 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 341024733 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 341024819 U 2/28 6 Mo LIBOR ARM First Lien 10.95 16.95 341025038 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 341025040 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 341025056 U 6 Mo LIBOR ARM 30 Yr First Lien 9.9 15.9 341025111 U 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 341025639 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 351025718 0 Fixed Rate 30 Yr First Lien 0 0 351026471 N 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 351026538 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 351026567 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.04 13.04 351026866 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 351027073 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 351027102 U 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 351027171 0 Fixed Rate 30 Yr First Lien 0 0 351027263 0 Fixed Rate 30 Yr First Lien 0 0 351027297 U 2/28 6 Mo LIBOR ARM First Lien 11.6 17.6 351027393 U 2/28 6 Mo LIBOR ARM First Lien 8.65 14.65 351027423 U 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 361023462 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 361024028 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 361024519 0 Fixed Rate 30 Yr First Lien 0 0 361024525 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 361024653 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 361024798 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.59 12.59 361025009 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 361025264 0 Fixed Rate 30 Yr First Lien 0 0 361025370 U 2/28 6 Mo LIBOR ARM First Lien 5.45 11.45 361025492 U 2/28 6 Mo LIBOR ARM First Lien 7.49 13.49 361025514 U 2/28 6 Mo LIBOR ARM First Lien 9.49 15.49 361025526 0 Fixed Rate 30 Yr First Lien 0 0 361025653 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 371025072 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 371025297 0 Fixed Rate 30 Yr First Lien 0 0 371025364 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 371025553 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 371025585 0 Fixed Rate 30 Yr First Lien 0 0 371025587 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 371025642 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 371025726 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.85 11.85 371025735 0 Fixed Rate 30 Yr First Lien 0 0 371026051 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 371026178 U 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 371026187 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 371026202 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 371026207 0 Fixed Rate 30 Yr First Lien 0 0 371026256 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 371026287 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 371026312 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 371026364 U 2/28 6 Mo LIBOR ARM First Lien 8 14 371026410 0 Fixed Rate 30 Yr First Lien 0 0 371026454 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 371026574 0 Fixed Rate 30 Yr First Lien 0 0 371026631 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 371026633 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 381020168 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 381020500 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.7 11.7 381020905 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 381021060 U 3/27 6 Mo LIBOR ARM First Lien 5.715 11.715 381021083 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 381021134 0 Fixed Rate 15 Yr First Lien 0 0 381021192 U 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 381021244 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 381021391 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 381021510 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.71 11.71 381021522 U 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 381021534 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 381021546 U 2/28 6 Mo LIBOR ARM First Lien 9.5 15.5 381021560 U 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 381021571 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 381021586 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 381021600 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 381021610 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.19 13.19 381021669 U 2/28 6 Mo LIBOR ARM First Lien 5.8 11.8 381021676 U 3/27 6 Mo LIBOR ARM First Lien 5.725 11.725 381021760 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.15 12.15 381021776 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 381021830 U 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 381021873 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.95 11.95 381021890 U 2/28 6 Mo LIBOR ARM First Lien 5.65 11.65 381021915 U 2/28 6 Mo LIBOR ARM First Lien 6.2 12.2 381021917 0 Fixed Rate 30 Yr Second Lien 0 0 381021996 U 2/28 6 Mo LIBOR ARM First Lien 8.2 14.2 381022077 U 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 381022103 U 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 381022158 0 Fixed Rate 20 Yr Second Lien 0 0 381022160 U 2/28 6 Mo LIBOR ARM First Lien 6.1 12.1 381022183 U 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 381022201 U 2/28 6 Mo LIBOR ARM First Lien 9.25 15.25 381022292 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 381022367 U 2/28 6 Mo LIBOR ARM First Lien 6.2 12.2 381022419 0 Fixed Rate 30 Yr First Lien 0 0 391012427 0 Fixed Rate 30 Yr First Lien 0 0 391012438 0 Fixed Rate 30 Yr First Lien 0 0 391012482 U 2/28 6 Mo LIBOR ARM First Lien 9.15 15.15 391012656 0 Fixed Rate 30 Yr First Lien 0 0 391012738 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 391012950 0 Fixed Rate 30 Yr First Lien 0 0 391013046 U 2/28 6 Mo LIBOR ARM First Lien 11.75 17.75 401001252 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 6.875 12.875 401001369 U 2/28 6 Mo LIBOR ARM First Lien 6 12 401001623 U 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 401001758 U 2/28 6 Mo LIBOR ARM First Lien 6.94 12.94 401001763 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 401001861 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 8.7 14.7 401001886 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 6.5 12.5 401002035 0 Fixed Rate 30 Yr Second Lien 0 0 401002054 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 401002060 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 401002117 0 Fixed Rate 30 Yr Second Lien 0 0 401002170 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 401002254 0 Fixed Rate 30 Yr Second Lien 0 0 511034638 0 Fixed Rate 30 Yr First Lien 0 0 511035255 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 511035274 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 511035476 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 511035564 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 511035651 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.3 11.3 511035667 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 511035740 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 511035839 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.74 12.74 511035897 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 511035957 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.55 11.55 511035987 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 511036009 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 511036063 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 511036161 U 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 511036178 0 Fixed Rate 30 Yr Second Lien 0 0 511036214 X 0/00 0 Xx XXXXX XXX Xxxxx Xxxx 7.4 13.4 511036224 0 Fixed Rate 30 Yr Second Lien 0 0 511036357 0 Fixed Rate 15 Yr First Lien 0 0 511036371 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 511036373 0 Fixed Rate 30 Yr Second Lien 0 0 511036387 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 511036436 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.09 13.09 511036445 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.75 11.75 511036495 U 2/28 6 Mo LIBOR ARM First Lien 7 13 521023938 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 521024184 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 521025030 U 2/28 6 Mo LIBOR ARM First Lien 7.45 13.45 521025052 U 2/28 6 Mo LIBOR ARM First Lien 6.59 12.59 521025170 U 2/28 6 Mo LIBOR ARM First Lien 9.75 15.75 521025178 U 2/28 6 Mo LIBOR ARM First Lien 6 12 521025339 0 Fixed Rate 30 Yr First Lien 0 0 521025723 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.78 12.78 521025796 0 Fixed Rate 30 Yr First Lien 0 0 521025878 U 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 521025993 N 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 521026082 U 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 521026102 N 2/28 6 Mo LIBOR ARM First Lien 11.65 17.65 521026324 0 Fixed Rate 30 Yr First Lien 0 0 551005308 U 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 551006034 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 551006362 0 Fixed Rate 30 Yr First Lien 0 0 551006444 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 551006451 U 2/28 6 Mo LIBOR ARM First Lien 8 14 551006764 0 Fixed Rate 15 Yr First Lien 0 0 551006896 U 2/28 6 Mo LIBOR ARM First Lien 5.5 11.5 551006933 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 551007025 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 551007211 0 Fixed Rate 30 Yr First Lien 0 0 561001914 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7 13 561002102 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 561002117 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 561002203 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 561002317 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.59 13.59 561002338 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 561002447 U 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 561002463 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 561002505 0 Fixed Rate 30 Yr Second Lien 0 0 561002614 U 2/28 6 Mo LIBOR ARM First Lien 5.85 11.85 561002651 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 581000152 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 581000423 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 581000497 N 2/28 6 Mo LIBOR ARM First Lien 8 14 581000671 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.79 12.79 581000772 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 581000785 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 581000814 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 581000825 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 581000846 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6 12 581000857 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.9 11.9 581000961 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 581000963 U 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 581000993 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 581001104 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 581001114 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 591000099 U Fixed Rate 30 Yr First Lien 0 0 591000234 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 591000294 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 591000408 0 Fixed Rate 30 Yr First Lien 0 0 611016046 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 6.65 12.65 611016167 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.8 11.8 611016391 U 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 611016401 0 Fixed Rate 30 Yr First Lien 0 0 611016461 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.8 12.8 611016494 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 611016605 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 611016608 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 611016640 0 Fixed Rate 30 Yr Second Lien 0 0 611016667 U 2/28 6 Mo LIBOR ARM First Lien 6.39 12.39 611016668 U 3/27 6 Mo LIBOR ARM First Lien 8.5 14.5 611016673 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 611016691 U 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 611016717 0 Fixed Rate 30 Yr Second Lien 0 0 611016739 U 3/27 6 Mo LIBOR ARM First Lien 6.35 12.35 611016822 0 Fixed Rate 30 Yr 5YR IO First Lien 0 0 611016835 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 611016837 0 Fixed Rate 30 Yr First Lien 0 0 611016867 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 611016890 U 2/28 6 Mo LIBOR ARM First Lien 5.85 11.85 611016892 0 Fixed Rate 30 Yr First Lien 0 0 611016893 0 Fixed Rate 30 Yr Second Lien 0 0 611016896 U 3/27 6 Mo LIBOR ARM First Lien 6.99 12.99 611016955 U 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 611016964 0 Fixed Rate 30 Yr First Lien 0 0 611017020 0 Fixed Rate 30 Yr Second Lien 0 0 611017057 U 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 611017058 U 2/28 6 Mo LIBOR ARM First Lien 5.5 11.5 621007235 U 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 621007598 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 621007799 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.85 11.85 621007869 U 2/28 6 Mo LIBOR ARM First Lien 8.19 14.19 621007887 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 621007949 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 621008021 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 621008027 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 621008104 U 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 621008230 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.74 11.74 621008255 0 Fixed Rate 30 Yr 5YR IO First Lien 0 0 621008355 U 2/28 6 Mo LIBOR ARM First Lien 10.99 16.99 621008394 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 621008444 U 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 621008472 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 621008526 0 Fixed Rate 30 Yr Second Lien 0 0 621008534 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 621008549 U 2/28 6 Mo LIBOR ARM First Lien 7.59 13.59 621008580 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 621008603 U 2/28 6 Mo LIBOR ARM First Lien 7.49 13.49 621008674 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.35 11.35 621008713 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 621008748 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 621008753 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 621008772 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 621008795 0 Fixed Rate 30 Yr Second Lien 0 0 621008884 U 2/28 6 Mo LIBOR ARM First Lien 8.19 14.19 621008900 0 Fixed Rate 30 Yr Second Lien 0 0 621008902 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 621008956 U 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 621009023 U 2/28 6 Mo LIBOR ARM First Lien 8.19 14.19 621009057 0 Fixed Rate 30 Yr Second Lien 0 0 621009071 U 3/27 6 Mo LIBOR ARM First Lien 6.95 12.95 621009080 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 621009232 0 Fixed Rate 30 Yr Second Lien 0 0 621009241 U 2/28 6 Mo LIBOR ARM First Lien 7.89 13.89 621009338 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 631006733 0 Fixed Rate 30 Yr Second Lien 0 0 631007205 U 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 631007246 U 2/28 6 Mo LIBOR ARM First Lien 8.3 14.3 631007272 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 631007329 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 631007460 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 631007476 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 631007534 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 631007602 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 631007652 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.375 12.375 631007670 0 Fixed Rate 20 Yr Second Lien 0 0 631007676 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.9 13.9 631007686 U 2/28 6 Mo LIBOR ARM First Lien 9.85 15.85 631007694 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 631007699 0 Fixed Rate 30 Yr Second Lien 0 0 631007726 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 631007741 U 2/28 6 Mo LIBOR ARM First Lien 8.29 14.29 631007770 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 631007774 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7 13 631007779 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 631007840 U 2/28 6 Mo LIBOR ARM First Lien 9.15 15.15 631007841 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 631007851 0 Fixed Rate 30 Yr Second Lien 0 0 631007869 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.8 11.8 631007871 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 631007908 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.475 12.475 631007929 N 2/28 6 Mo LIBOR ARM First Lien 6.05 12.05 631007998 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.9 11.9 631008005 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 641008867 0 Fixed Rate 30 Yr First Lien 0 0 641008880 0 Fixed Rate 30 Yr First Lien 0 0 641009031 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.7 13.7 641009253 0 Fixed Rate 30 Yr First Lien 0 0 641009495 N 2/28 6 Mo LIBOR ARM First Lien 7.59 13.59 641009647 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 651009474 0 Fixed Rate 30 Yr First Lien 0 0 651009499 U 2/28 6 Mo LIBOR ARM First Lien 8.05 14.05 651009559 U 2/28 6 Mo LIBOR ARM First Lien 8.99 14.99 651009643 U 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 651009733 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.2 13.2 651009849 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 651009859 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 651009882 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.45 14.45 651009896 U 2/28 6 Mo LIBOR ARM First Lien 7 13 651009897 U 2/28 6 Mo LIBOR ARM First Lien 7 13 651009915 X 0/00 0 Xx XXXXX XXX Xxxxx Xxxx 7.9 13.9 651010057 0 Fixed Rate 30 Yr Second Lien 0 0 651010153 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.3 11.3 651010188 U 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 651010291 U 2/28 6 Mo LIBOR ARM First Lien 9.625 15.625 651010295 U 2/28 6 Mo LIBOR ARM First Lien 8.05 14.05 651010308 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 651010456 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 651010558 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 651010566 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 651010632 U 2/28 6 Mo LIBOR ARM First Lien 7.6 13.6 651010724 U 2/28 6 Mo LIBOR ARM First Lien 8.19 14.19 661003951 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.1 12.1 661005342 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.15 12.15 661006344 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.3 11.3 661006389 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.15 12.15 661006545 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 661006559 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.6 11.6 661006607 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 6.2 12.2 661006614 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.6 11.6 661006639 N 2/28 6 Mo LIBOR ARM First Lien 10.99 16.99 661006686 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 661006716 0 Fixed Rate 30 Yr First Lien 0 0 661006721 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 661006728 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 661006767 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.7 11.7 661006770 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 661006814 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.15 12.15 661006872 U 3/27 6 Mo LIBOR ARM First Lien 6.99 12.99 661006895 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.95 11.95 661006931 U 2/28 6 Mo LIBOR ARM First Lien 6.1 12.1 661006954 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 661006976 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 661007022 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.6 11.6 661007030 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 661007048 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.7 11.7 661007104 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 661007117 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6 12 661007190 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 661007220 0 Fixed Rate 30 Yr Second Lien 0 0 661007240 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 661007244 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 661007260 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 661007264 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 661007289 U 2/28 6 Mo LIBOR ARM First Lien 5.35 11.35 661007365 U 2/28 6 Mo LIBOR ARM First Lien 6.6 12.6 661007374 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 661007402 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 661007430 U 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 661007461 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.1 13.1 661007464 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 661007471 U 2/28 6 Mo LIBOR ARM First Lien 7 13 661007483 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 661007568 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 661007587 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 661007595 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 661007602 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.75 11.75 661007705 0 Fixed Rate 30 Yr Second Lien 0 0 661007776 N 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 661007803 U 2/28 6 Mo LIBOR ARM First Lien 7.8 13.8 671003280 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.9 11.9 671003427 0 Fixed Rate 30 Yr First Lien 0 0 671003593 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.3 11.3 671003744 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.25 11.25 671003753 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 671003849 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.95 11.95 671003925 0 Fixed Rate 30 Yr First Lien 0 0 671003988 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 671004082 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 671004127 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.85 11.85 671004157 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.13 12.13 671004191 0 Fixed Rate 30 Yr First Lien 0 0 671004211 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 671004253 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.225 12.225 671004365 0 Fixed Rate 30 Yr 5YR IO First Lien 0 0 671004471 0 Fixed Rate 30 Yr Second Lien 0 0 671004482 U 2/28 6 Mo LIBOR ARM First Lien 6.2 12.2 671004514 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.85 11.85 671004522 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 671004548 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 671004590 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 6.75 12.75 681005359 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.85 12.85 681005556 U 2/28 6 Mo LIBOR ARM First Lien 6.7 12.7 681005559 U 2/28 6 Mo LIBOR ARM First Lien 6.15 12.15 681005678 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.2 12.2 681005900 U 2/28 6 Mo LIBOR ARM First Lien 7.95 13.95 681005940 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 681005953 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 681006039 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 681006071 U 2/28 6 Mo LIBOR ARM First Lien 6.05 12.05 681006139 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 681006159 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 681006184 U 2/28 6 Mo LIBOR ARM First Lien 10.85 16.85 681006216 U 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 681006259 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 681006348 U 2/28 6 Mo LIBOR ARM First Lien 7.05 13.05 681006375 0 Fixed Rate 30 Yr Second Lien 0 0 681006386 U 2/28 6 Mo LIBOR ARM First Lien 6.45 12.45 681006419 U 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 681006449 0 Fixed Rate 30 Yr First Lien 0 0 681006456 U 2/28 6 Mo LIBOR ARM First Lien 7.89 13.89 681006477 U 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 681006501 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 681006565 0 Fixed Rate 30 Yr First Lien 0 0 681006639 U 2/28 6 Mo LIBOR ARM First Lien 6.3 12.3 681006717 U 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 681006730 0 Fixed Rate 30 Yr First Lien 0 0 681006782 0 Fixed Rate 30 Yr First Lien 0 0 691002849 0 Fixed Rate 15 Yr First Lien 0 0 691003175 0 Fixed Rate 15 Yr First Lien 0 0 691003422 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 691003466 0 Fixed Rate 30 Yr First Lien 0 0 691003480 U 3/27 6 Mo LIBOR ARM First Lien 6.55 12.55 691003619 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.5 13.5 691003627 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.75 11.75 691003648 N 2/28 6 Mo LIBOR ARM First Lien 5 11 691003674 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.3 13.3 691003843 U 2/28 6 Mo LIBOR ARM First Lien 8.55 14.55 691003886 U 2/28 6 Mo LIBOR ARM First Lien 9.1 15.1 691003905 U 3/27 6 Mo LIBOR ARM First Lien 8.01 14.01 691003906 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.625 11.625 691003922 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 691003933 0 Fixed Rate 30 Yr Second Lien 0 0 691003935 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.9 14.9 691003972 0 Fixed Rate 30 Yr Second Lien 0 0 691003978 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 691004001 U 2/28 6 Mo LIBOR ARM First Lien 8.7 14.7 691004005 0 Fixed Rate 30 Yr Second Lien 0 0 691004018 U 2/28 6 Mo LIBOR ARM First Lien 7.55 13.55 691004056 U 2/28 6 Mo LIBOR ARM First Lien 6.96 12.96 691004072 U 2/28 6 Mo LIBOR ARM First Lien 8.25 14.25 691004144 U 2/28 6 Mo LIBOR ARM First Lien 8.05 14.05 691004156 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 701000456 U 2/28 6 Mo LIBOR ARM First Lien 6.64 12.64 701000479 U 2/28 6 Mo LIBOR ARM First Lien 6.14 12.14 701000988 U 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 701001004 U 2/28 6 Mo LIBOR ARM First Lien 5.05 11.05 701001018 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.645 12.645 701001025 U 2/28 6 Mo LIBOR ARM First Lien 5.65 11.65 701001044 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 701001045 0 Fixed Rate 30 Yr First Lien 0 0 701001065 0 Fixed Rate 30 Yr Second Lien 0 0 701001112 U 2/28 6 Mo LIBOR ARM First Lien 5.25 11.25 711006946 U 2/28 6 Mo LIBOR ARM First Lien 7.85 13.85 711007046 0 Fixed Rate 30 Yr Second Lien 0 0 711007249 0 Fixed Rate 30 Yr Second Lien 0 0 721006958 0 Fixed Rate 30 Yr Second Lien 0 0 721007237 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 721007361 U 2/28 6 Mo LIBOR ARM First Lien 8.1 14.1 721007373 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.5 11.5 731010705 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 731010797 U 2/28 6 Mo LIBOR ARM First Lien 6.64 12.64 731011032 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 741010573 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 5.75 11.75 741011858 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.3 11.3 741011927 U 2/28 6 Mo LIBOR ARM First Lien 6.15 12.15 761009519 U 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 761010227 U 2/28 6 Mo LIBOR ARM First Lien 8.35 14.35 781003640 U 2/28 6 Mo LIBOR ARM First Lien 10.4 16.4 791002619 U 2/28 6 Mo LIBOR ARM First Lien 7.65 13.65 791002892 0 Fixed Rate 30 Yr Second Lien 0 0 791002903 U 2/28 6 Mo LIBOR ARM First Lien 10.54 16.54 831039474 N 2/28 6 Mo LIBOR ARM First Lien 7.625 14.625 831039480 N 2/28 6 Mo LIBOR ARM First Lien 9.65 15.65 831039481 N 3/27 6 Mo LIBOR ARM First Lien 6.75 12.75 831039897 N 2/28 6 Mo LIBOR ARM First Lien 8.99 14.99 831039985 N 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 831040479 N 2/28 6 Mo LIBOR ARM First Lien 9.85 15.85 831041572 N 2/28 6 Mo LIBOR ARM First Lien 7.15 13.15 831041798 N 2/28 6 Mo LIBOR ARM First Lien 8.55 13.55 831041804 0 Fixed Rate 30 Yr Second Lien 0 0 831041808 0 Fixed Rate 30 Yr Second Lien 0 0 831041810 0 Fixed Rate 30 Yr Second Lien 0 0 831041811 0 Fixed Rate 30 Yr Second Lien 0 0 831042146 N 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 831042153 N 2/28 6 Mo LIBOR ARM First Lien 8.75 14.75 831042178 N 2/28 6 Mo LIBOR ARM First Lien 10.25 16.25 831042179 N 2/28 6 Mo LIBOR ARM First Lien 8.99 14.99 831042373 N 2/28 6 Mo LIBOR ARM First Lien 6.125 13.375 831042544 0 Fixed Rate 30 Yr First Lien 0 0 831042546 0 Fixed Rate 30 Yr Second Lien 0 0 831042547 0 Fixed Rate 30 Yr Second Lien 0 0 831042548 0 Fixed Rate 30 Yr Second Lien 0 0 831042551 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.5 12.5 831042552 N 2/28 6 Mo LIBOR ARM First Lien 6.75 13.75 831042553 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.9 13.9 831042558 N 2/28 6 Mo LIBOR ARM First Lien 8.7 15.7 831042975 N 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 831043178 N 6 Mo LIBOR ARM 30 Yr First Lien 5.5 11.5 831043299 N 2/28 6 Mo LIBOR ARM First Lien 8.95 14.95 831043556 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.5 12.75 841005694 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.35 13.35 841005780 U 2/28 6 Mo LIBOR ARM First Lien 7.25 13.25 841005798 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 841006004 0 Fixed Rate 30 Yr First Lien 0 0 841006126 U 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 841006207 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.1 12.1 841006284 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 851000935 U 5YR IO 3/27 6 Mo LIBOR ARM First Lien 5.1 11.1 851001052 U 2/28 6 Mo LIBOR ARM First Lien 6.5 12.5 851001087 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.4 13.4 851001131 U 2/28 6 Mo LIBOR ARM First Lien 7.75 13.75 871000806 0 Fixed Rate 30 Yr Second Lien 0 0 871000896 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.55 12.55 871000914 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.9 12.9 871000969 U 2/28 6 Mo LIBOR ARM First Lien 8.15 14.15 871001011 U Fixed Rate 30 Yr First Lien 0 0 871001013 U 2/28 6 Mo LIBOR ARM First Lien 10.25 16.25 871001074 U 2/28 6 Mo LIBOR ARM First Lien 8.6 14.6 871001092 U 2/28 6 Mo LIBOR ARM First Lien 8.8 14.8 871001135 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.25 12.25 871001155 U 2/28 6 Mo LIBOR ARM First Lien 9.15 15.15 871001177 U 2/28 6 Mo LIBOR ARM First Lien 6.95 12.95 871001250 U 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 871001320 U 2/28 6 Mo LIBOR ARM First Lien 6.75 12.75 871001355 U 3/27 6 Mo LIBOR ARM First Lien 9.6 15.6 871001397 U 3/27 6 Mo LIBOR ARM First Lien 7.8 13.8 911000188 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.99 11.99 911000211 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.4 12.4 911000233 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 5.84 11.84 911000263 N 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.65 12.65 911000313 U 2/28 6 Mo LIBOR ARM First Lien 6.99 12.99 911000319 0 Fixed Rate 30 Yr Second Lien 0 0 911000332 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 6.35 12.35 911000346 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 8.85 14.85 911000375 U 5YR IO 2/28 6 Mo LIBOR ARM First Lien 7.99 13.99 ------------------------------------------------------------------------------ 1,179 ------------------------------------------------------------------------------ ------------------------------------------------------------------------------ 5,565 ============================================================================== INITIAL SUBSE- NEXT PERIODIC QUENT LOAN GROSS ADJUSTMENT RATE RATE NUMBER MARGIN DATE CAP CAP GROUP --------------------------------------------------------- 011073427 6.05 5/1/2007 3 1 1 011074105 4.95 6/1/2007 3 1 1 011074339 5.15 6/1/2007 3 1 1 011074404 0 0 0 1 011074491 5.3 5/1/2007 3 1 1 011074590 0 0 0 1 011074668 4.19 6/1/2007 3 1 1 011074711 0 0 0 1 011074824 6.65 5/1/2007 3 1 1 011074864 5.15 6/1/2007 3 1 1 011074883 7.85 5/1/2007 3 1 1 011074885 4.3 5/1/2007 3 1 1 011074902 4.85 6/1/2007 3 1 1 011075004 0 0 0 1 011075070 3.95 6/1/2007 3 1 1 011075097 0 0 0 1 011075140 0 0 0 1 011075234 7.99 6/1/2007 3 1 1 011075237 5.1 6/1/2007 3 1 1 011075238 5.3 6/1/2007 3 1 1 011075254 0 0 0 1 011075271 4.625 6/1/2007 3 1 1 011075290 0 0 0 1 011075300 4.2 6/1/2007 3 1 1 011075302 4.45 6/1/2007 3 1 1 011075324 4.5 6/1/2007 3 1 1 011075337 6.55 6/1/2007 3 1 1 011075340 0 0 0 1 011075344 0 0 0 1 011075376 4.05 6/1/2007 3 1 1 011075384 5.24 6/1/2007 3 1 1 011075396 3.875 6/1/2007 3 1 1 011075397 0 0 0 1 011075413 4.5 6/1/2007 3 1 1 011075422 0 0 0 1 011075451 4.8 7/1/2007 3 1 1 011075452 0 0 0 1 011075453 6.05 7/1/2007 3 1 1 011075459 4.525 6/1/2007 3 1 1 011075462 4.45 6/1/2007 3 1 1 011075463 5.45 6/1/2007 3 1 1 011075467 3.8 6/1/2007 3 1 1 011075484 4.2 6/1/2007 3 1 1 011075505 5.9 6/1/2007 3 1 1 011075506 4.2 6/1/2007 3 1 1 011075518 0 0 0 1 011075525 0 0 0 1 011075526 4.95 6/1/2007 3 1 1 011075527 8 6/1/2007 3 1 1 011075530 7.3 6/1/2007 3 1 1 011075532 0 0 0 1 011075533 4.25 6/1/2007 3 1 1 011075544 5 6/1/2007 3 1 1 011075548 6.35 6/1/2007 3 1 1 011075556 0 0 0 1 011075563 0 0 0 1 011075566 5.75 6/1/2007 3 1 1 011075573 5.25 6/1/2007 3 1 1 011075579 0 0 0 1 011075592 4.55 6/1/2007 3 1 1 011075594 8 6/1/2007 3 1 1 011075598 0 0 0 1 011075599 5.61 6/1/2007 3 1 1 011075600 4.65 6/1/2007 3 1 1 011075610 4.675 6/1/2007 3 1 1 011075634 5.75 7/1/2007 3 1 1 011075640 4.4 6/1/2007 3 1 1 011075644 6.55 6/1/2007 3 1 1 011075659 0 0 0 1 011075661 0 0 0 1 011075676 0 0 0 1 011075695 4 6/1/2007 3 1 1 011075700 5.79 7/1/2007 3 1 1 011075739 0 0 0 1 011075764 6 7/1/2007 3 1 1 011075792 8 6/1/2007 3 1 1 011075815 5.7 7/1/2007 3 1 1 021062880 3.8 5/1/2008 3 1 1 021063234 0 0 0 1 021063549 4.84 6/1/2007 3 1 1 021063619 0 0 0 1 021063632 4.9 6/1/2007 3 1 1 021063678 5.35 5/1/2007 3 1 1 021063779 4.65 5/1/2007 3 1 1 021064021 6.55 6/1/2007 3 1 1 021064029 5.45 6/1/2007 3 1 1 021064105 4.5 6/1/2007 3 1 1 021064208 0 0 0 1 021064228 5.4 6/1/2007 3 1 1 021064237 0 0 0 1 021064311 3.3 6/1/2007 3 1 1 021064331 3.15 6/1/2007 3 1 1 021064450 6.3 5/1/2007 3 1 1 021064476 4.95 5/1/2007 3 1 1 021064478 3.6 5/1/2007 3 1 1 021064484 5.85 6/1/2007 3 1 1 021064509 4.84 6/1/2007 3 1 1 021064559 4.99 6/1/2007 3 1 1 021064620 3.7 6/1/2007 3 1 1 021064660 4.525 6/1/2007 3 1 1 021064743 3.35 6/1/2007 3 1 1 021064746 5.49 6/1/2007 3 1 1 021064786 4.45 6/1/2007 3 1 1 021064799 0 0 0 1 021064838 0 0 0 1 021064844 4.05 6/1/2007 3 1 1 021064863 5.2 6/1/2007 3 1 1 021064878 3.05 6/1/2007 3 1 1 021064921 5.5 6/1/2007 3 1 1 021064923 0 0 0 1 021064948 5.9 6/1/2007 3 1 1 021064963 4.05 6/1/2007 3 1 1 021065010 0 0 0 1 021065015 7.27 6/1/2007 3 1 1 021065018 5.35 6/1/2007 3 1 1 021065022 4.5 6/1/2007 3 1 1 021065038 4.54 6/1/2007 3 1 1 021065057 0 0 0 1 021065079 5.13 6/1/2007 3 1 1 021065085 5.65 6/1/2007 3 1 1 021065092 6.2 7/1/2007 3 1 1 021065100 3 6/1/2007 3 1 1 021065112 5.25 7/1/2007 3 1 1 021065114 0 0 0 1 021065117 4.65 6/1/2007 3 1 1 021065119 6 7/1/2007 3 1 1 021065125 7.1 6/1/2007 3 1 1 021065126 4.35 7/1/2007 3 1 1 021065133 6.2 7/1/2007 3 1 1 021065135 4.925 6/1/2007 3 1 1 021065143 5.7 6/1/2007 3 1 1 021065176 6.2 6/1/2007 3 1 1 021065180 3 7/1/2007 3 1 1 021065189 3.99 7/1/2007 3 1 1 021065230 0 0 0 1 021065237 3.9 7/1/2007 3 1 1 021065242 4 7/1/2007 3 1 1 021065264 0 0 0 1 021065267 0 0 0 1 021065291 0 0 0 1 021065331 4.3 7/1/2007 3 1 1 021065360 3 7/1/2007 3 1 1 021065361 4.625 7/1/2007 3 1 1 031033237 5.2 6/1/2007 3 1 1 031033530 5.65 5/1/2007 3 1 1 031033691 5.35 6/1/2007 3 1 1 031033726 7.1 6/1/2007 3 1 1 031033960 5.45 6/1/2007 3 1 1 031034088 4.55 5/1/2007 3 1 1 031034137 0 0 0 1 031034156 4.9 6/1/2007 3 1 1 031034307 4.65 6/1/2007 3 1 1 031034395 6.7 6/1/2007 3 1 1 031034404 4.45 6/1/2007 3 1 1 031034520 4.4 6/1/2007 3 1 1 031034534 5 6/1/2007 3 1 1 031034537 5 6/1/2008 3 1 1 031034548 0 0 0 1 031034604 5.4 6/1/2007 3 1 1 031034619 0 0 0 1 031034626 0 0 0 1 031034638 0 0 0 1 031034642 5.3 6/1/2007 3 1 1 031034657 3.9 6/1/2007 3 1 1 031034659 4.7 6/1/2007 3 1 1 031034662 0 0 0 1 031034720 5.45 6/1/2007 3 1 1 031034722 4.149 6/1/2007 3 1 1 031034739 4.55 7/1/2007 3 1 1 031034741 0 0 0 1 031034752 5.04 6/1/2007 3 1 1 031034755 0 0 0 1 031034761 5.85 6/1/2007 3 1 1 031034762 4 6/1/2007 3 1 1 031034763 4.95 6/1/2007 3 1 1 031034779 5.75 6/1/2007 3 1 1 031034782 5.85 6/1/2007 3 1 1 031034804 5 6/1/2007 3 1 1 031034807 5.475 6/1/2007 3 1 1 031034809 6.35 6/1/2007 3 1 1 031034816 6.02 6/1/2007 3 1 1 031034822 0 0 0 1 031034824 0 0 0 1 031034827 4.75 6/1/2007 3 1 1 031034828 4.365 6/1/2007 3 1 1 031034840 5.5 6/1/2007 3 1 1 031034851 4.775 6/1/2007 3 1 1 031034854 5.25 6/1/2007 3 1 1 031034881 5.9 6/1/2007 3 1 1 031034888 4.55 6/1/2007 3 1 1 031034891 5.35 6/1/2007 3 1 1 031034895 4.85 6/1/2007 3 1 1 031034904 4.9 6/1/2007 3 1 1 031034915 4.25 6/1/2007 3 1 1 031034920 6 6/1/2007 3 1 1 031034921 4.3 6/1/2007 3 1 1 031034931 0 0 0 1 031034970 3.75 6/1/2007 3 1 1 031034998 5.4 6/1/2007 3 1 1 031035003 3.7 6/1/2007 3 1 1 031035004 5.15 6/1/2007 3 1 1 031035005 4.55 6/1/2007 3 1 1 031035014 4.75 7/1/2007 3 1 1 031035037 7 6/1/2007 3 1 1 031035041 0 0 0 1 031035053 5.9 6/1/2007 3 1 1 031035062 5 6/1/2007 3 1 1 031035073 6.45 6/1/2007 3 1 1 031035078 0 0 0 1 031035088 4.25 6/1/2007 3 1 1 031035091 5.25 6/1/2007 3 1 1 031035092 5.75 6/1/2007 3 1 1 031035095 4.4 6/1/2007 3 1 1 041065018 5.4 6/1/2007 3 1 1 041065099 6.4 6/1/2007 3 1 1 041065109 4.5 6/1/2007 3 1 1 041065626 6.025 7/1/2007 3 1 1 041065658 6.45 6/1/2008 3 1 1 041065665 5 5/1/2007 3 1 1 041066044 5.35 5/1/2007 3 1 1 041066061 5.65 6/1/2007 3 1 1 041066136 5.59 6/1/2007 3 1 1 041066296 6.25 6/1/2007 3 1 1 041066306 7.05 5/1/2007 3 1 1 041066349 5.45 6/1/2007 3 1 1 041066495 5.15 6/1/2007 3 1 1 041066507 6.2 5/1/2007 3 1 1 041066635 5.9 6/1/2007 3 1 1 041066647 6.05 5/1/2007 3 1 1 041066672 5.3 6/1/2007 3 1 1 041066698 6.8 6/1/2007 3 1 1 041066726 5.1 5/1/2007 3 1 1 041066735 6.25 5/1/2007 3 1 1 041066748 6.35 5/1/2007 3 1 1 041066837 0 0 0 1 041066866 6.65 5/1/2007 3 1 1 041066897 6.45 6/1/2007 3 1 1 041066899 0 0 0 1 041066951 5.7 5/1/2007 3 1 1 041066990 0 0 0 1 041066998 6.15 6/1/2007 3 1 1 041067013 6.4 5/1/2020 3 1 1 041067026 0 0 0 1 041067048 5.8 5/1/2007 3 1 1 041067054 5.35 5/1/2007 3 1 1 041067056 4.85 5/1/2007 3 1 1 041067060 5.6 6/1/2007 3 1 1 041067076 6.8 6/1/2007 3 1 1 041067122 5.4 6/1/2007 3 1 1 041067215 5.75 5/1/2007 3 1 1 041067217 4.35 6/1/2007 3 1 1 041067228 6.2 6/1/2008 3 1 1 041067231 6.6 6/1/2007 3 1 1 041067273 6.95 6/1/2007 3 1 1 041067275 6.75 6/1/2007 3 1 1 041067291 6.3 6/1/2007 3 1 1 041067292 5.55 6/1/2007 3 1 1 041067329 6.9 6/1/2007 3 1 1 041067339 5.9 6/1/2007 3 1 1 041067354 5.8 6/1/2007 3 1 1 041067366 6.05 6/1/2007 3 1 1 041067374 7.3 5/1/2007 3 1 1 041067376 6.8 5/1/2007 3 1 1 041067384 4.55 6/1/2007 3 1 1 041067404 8 5/1/2007 3 1 1 041067413 7.15 6/1/2007 3 1 1 041067423 4.8 6/1/2007 3 1 1 041067428 0 0 0 1 041067434 5.4 6/1/2007 3 1 1 041067454 5.45 6/1/2007 3 1 1 041067460 6.35 6/1/2007 3 1 1 041067468 6.9 6/1/2007 3 1 1 041067471 5.6 6/1/2007 3 1 1 041067477 5.2 6/1/2007 3 1 1 041067483 5.7 6/1/2007 3 1 1 041067486 5.3 6/1/2007 3 1 1 041067491 4.8 6/1/2007 3 1 1 041067523 4.6 6/1/2007 3 1 1 041067526 6 6/1/2007 3 1 1 041067551 6.6 6/1/2007 3 1 1 041067592 4.5 7/1/2007 3 1 1 041067601 7.2 6/1/2007 3 1 1 041067625 5.7 6/1/2007 3 1 1 041067633 5.5 6/1/2007 3 1 1 041067693 6 6/1/2007 3 1 1 041067699 0 0 0 1 041067702 0 0 0 1 041067706 0 0 0 1 041067709 5.95 6/1/2007 3 1 1 041067713 6.1 6/1/2007 3 1 1 041067735 4.95 6/1/2007 3 1 1 041067741 6.2 7/1/2007 3 1 1 041067746 4.85 6/1/2007 3 1 1 041067793 5.2 6/1/2007 3 1 1 041067797 5.75 6/1/2020 3 1 1 041067824 5.9 6/1/2007 3 1 1 041067866 5.6 6/1/2007 3 1 1 041067893 5.9 6/1/2007 3 1 1 041067913 6.3 7/1/2007 3 1 1 041067940 6.8 6/1/2007 3 1 1 041067947 6.2 7/1/2007 3 1 1 041067961 6.65 6/1/2007 3 1 1 041067962 5 6/1/2007 3 1 1 041067964 6.7 6/1/2007 3 1 1 041067980 6.3 6/1/2007 3 1 1 041067987 6.6 6/1/2007 3 1 1 041068000 5.9 6/1/2007 3 1 1 041068003 6.5 6/1/2007 3 1 1 041068009 6 6/1/2007 3 1 1 041068037 5.35 6/1/2007 3 1 1 041068085 6.55 6/1/2007 3 1 1 041068099 0 0 0 1 041068106 5.05 7/1/2007 3 1 1 041068113 6.65 6/1/2007 3 1 1 041068114 5.55 6/1/2007 3 1 1 041068136 5.7 6/1/2007 3 1 1 041068138 6.2 7/1/2007 3 1 1 041068170 6.85 6/1/2007 3 1 1 041068186 5.4 6/1/2007 3 1 1 041068189 0 0 0 1 041068193 7 6/1/2007 3 1 1 041068225 6.2 6/1/2007 3 1 1 041068231 5.25 7/1/2007 3 1 1 041068253 0 0 0 1 041068254 4.55 6/1/2007 3 1 1 041068262 6.5 6/1/2007 3 1 1 041068278 6.95 7/1/2007 3 1 1 041068308 6.2 6/1/2007 3 1 1 041068326 6.7 6/1/2007 3 1 1 041068327 5.4 6/1/2007 3 1 1 041068336 5.1 6/1/2007 3 1 1 041068350 0 0 0 1 041068356 5.75 7/1/2007 3 1 1 041068382 5.4 6/1/2007 3 1 1 041068395 6.25 6/1/2007 3 1 1 041068410 3 6/1/2007 3 1 1 041068415 6.5 7/1/2007 3 1 1 041068422 6.25 7/1/2007 3 1 1 041068450 6.15 6/1/2007 3 1 1 041068467 0 0 0 1 041068501 4.85 7/1/2007 3 1 1 041068527 0 0 0 1 041068528 6.5 7/1/2007 3 1 1 041068550 5.55 6/1/2007 3 1 1 041068552 6.5 7/1/2007 3 1 1 041068559 0 0 0 1 041068568 5.15 7/1/2007 3 1 1 041068653 5 7/1/2007 3 1 1 051056763 6.2 6/1/2007 3 1 1 051056823 3.85 5/1/2007 3 1 1 051056857 5.37 5/1/2007 3 1 1 051056904 4.15 6/1/2007 3 1 1 051056917 5.325 5/1/2008 3 1 1 051057021 5.6 5/1/2007 3 1 1 051057031 0 0 0 1 051057103 4.7 6/1/2007 3 1 1 051057191 5.7 6/1/2008 3 1 1 051057206 0 0 0 1 051057212 5.35 7/1/2007 3 1 1 051057238 4.7 5/1/2007 3 1 1 051057255 5.2 6/1/2007 3 1 1 051057260 5.1 6/1/2007 3 1 1 051057313 7 7/1/2007 3 1 1 051057317 5.05 5/1/2007 3 1 1 051057333 7.45 5/1/2007 3 1 1 051057349 4.8 5/1/2007 3 1 1 051057420 5 6/1/2007 3 1 1 051057427 6.75 6/1/2007 3 1 1 051057467 6.4 5/1/2007 3 1 1 051057481 4.55 6/1/2007 3 1 1 051057483 5.95 5/1/2007 3 1 1 051057490 4.4 6/1/2007 3 1 1 051057495 5.85 5/1/2007 3 1 1 051057505 0 0 0 1 051057532 4.89 6/1/2008 3 1 1 051057547 0 0 0 1 051057582 4.89 5/1/2007 3 1 1 051057587 4.9 5/1/2007 3 1 1 051057593 6.3 5/1/2007 3 1 1 051057609 0 0 0 1 051057617 4.85 5/1/2007 3 1 1 051057624 6.8 5/1/2008 3 1 1 051057639 5.45 6/1/2007 3 1 1 051057674 5.7 5/1/2007 3 1 1 051057678 5.7 5/1/2007 3 1 1 051057686 3.7 6/1/2007 3 1 1 051057711 4.6 6/1/2007 3 1 1 051057728 5 6/1/2007 3 1 1 051057737 4.15 5/1/2007 3 1 1 051057739 5.25 6/1/2007 3 1 1 051057742 6.2 6/1/2007 3 1 1 051057752 5.5 6/1/2007 3 1 1 051057754 5.45 5/1/2007 3 1 1 051057756 4.7 6/1/2007 3 1 1 051057779 0 0 0 1 051057788 6.3 6/1/2007 3 1 1 051057792 5.7 6/1/2007 3 1 1 051057806 5.4 6/1/2007 3 1 1 051057826 6.25 6/1/2007 3 1 1 051057835 5.25 6/1/2007 3 1 1 051057879 4.99 6/1/2007 3 1 1 051057906 5.55 6/1/2007 3 1 1 051057908 5.55 6/1/2007 3 1 1 051057955 6.65 6/1/2007 3 1 1 051057969 4.75 6/1/2007 3 1 1 051057978 5.34 6/1/2007 3 1 1 051057982 4.9 6/1/2007 3 1 1 051058003 5.3 6/1/2007 3 1 1 051058006 0 0 0 1 051058015 5.05 6/1/2007 3 1 1 051058016 6.3 6/1/2007 3 1 1 051058023 0 0 0 1 051058046 4.85 6/1/2007 3 1 1 051058075 0 0 0 1 051058078 4.05 6/1/2007 3 1 1 051058093 5.9 6/1/2007 3 1 1 051058102 5 6/1/2007 3 1 1 051058105 5.65 6/1/2007 3 1 1 051058113 5.35 6/1/2007 3 1 1 051058116 0 0 0 1 051058120 5.3 6/1/2007 3 1 1 051058127 0 0 0 1 051058142 0 0 0 1 051058146 5.9 6/1/2007 3 1 1 051058158 5.45 6/1/2007 3 1 1 051058164 5.15 6/1/2007 3 1 1 051058184 0 0 0 1 051058197 4.65 6/1/2007 3 1 1 051058208 5.2 6/1/2007 3 1 1 051058227 6.3 6/1/2007 3 1 1 051058237 0 0 0 1 051058248 6.95 6/1/2007 3 1 1 051058261 0 0 0 1 051058307 4.1 6/1/2007 3 1 1 051058313 4.45 6/1/2007 3 1 1 051058324 0 0 0 1 051058336 5.3 6/1/2007 3 1 1 051058340 7.1 6/1/2007 3 1 1 051058349 6.45 6/1/2007 3 1 1 051058359 5.85 6/1/2007 3 1 1 051058375 6.9 6/1/2007 3 1 1 051058376 7.75 7/1/2007 3 1 1 051058385 0 0 0 1 051058397 0 0 0 1 051058409 0 0 0 1 051058430 5.1 6/1/2007 3 1 1 051058446 5.2 6/1/2007 3 1 1 051058465 5.3 6/1/2007 3 1 1 051058466 5.45 7/1/2007 3 1 1 051058503 5.9 6/1/2007 3 1 1 051058541 6.45 6/1/2007 3 1 1 051058564 6.25 6/1/2007 3 1 1 051058692 6.075 7/1/2008 3 1 1 061056562 5.6 5/1/2007 3 1 1 061057412 0 0 0 1 061057764 5.65 6/1/2007 3 1 1 061057793 5.45 6/1/2007 3 1 1 061057953 5.25 6/1/2007 3 1 1 061058128 5.05 6/1/2007 3 1 1 061058129 5.75 5/1/2007 3 1 1 061058193 3.79 5/1/2007 3 1 1 061058224 6.95 6/1/2007 3 1 1 061058250 4.95 6/1/2007 3 1 1 061058311 5.25 5/1/2007 3 1 1 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371026454 5.2 6/1/2007 3 1 2 371026574 0 0 0 2 371026631 5.3 6/1/2007 3 1 2 371026633 5.35 6/1/2007 3 1 2 381020168 5.3 5/1/2007 3 1 2 381020500 4.2 5/1/2007 3 1 2 381020905 5.1 6/1/2007 3 1 2 381021060 4.31 5/1/2008 3 1 2 381021083 4.95 5/1/2007 3 1 2 381021134 0 0 0 2 381021192 4.2 5/1/2007 3 1 2 381021244 5 5/1/2007 3 1 2 381021391 4.8 5/1/2007 3 1 2 381021510 4.51 5/1/2007 3 1 2 381021522 4.35 6/1/2007 3 1 2 381021534 5.75 6/1/2007 3 1 2 381021546 7.2 6/1/2007 3 1 2 381021560 5.25 6/1/2007 3 1 2 381021571 4.6 6/1/2007 3 1 2 381021586 5.15 5/1/2007 3 1 2 381021600 5.95 6/1/2007 3 1 2 381021610 4.6 6/1/2007 3 1 2 381021669 4.7 6/1/2007 3 1 2 381021676 4.2 6/1/2008 3 1 2 381021760 4.5 6/1/2007 3 1 2 381021776 4.7 6/1/2007 3 1 2 381021830 4.35 6/1/2007 3 1 2 381021873 4.15 6/1/2007 3 1 2 381021890 4.05 6/1/2007 3 1 2 381021915 4.45 6/1/2007 3 1 2 381021917 0 0 0 2 381021996 5.75 6/1/2007 3 1 2 381022077 4.35 6/1/2007 3 1 2 381022103 4.3 6/1/2007 3 1 2 381022158 0 0 0 2 381022160 5 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6/1/2007 3 1 2 611016605 4.65 6/1/2007 3 1 2 611016608 5.6 6/1/2007 3 1 2 611016640 0 0 0 2 611016667 4.64 6/1/2007 3 1 2 611016668 6.6 6/1/2008 3 1 2 611016673 5.145 6/1/2007 3 1 2 611016691 7 6/1/2007 3 1 2 611016717 0 0 0 2 611016739 4.3 6/1/2008 3 1 2 611016822 0 0 0 2 611016835 5.825 6/1/2007 3 1 2 611016837 0 0 0 2 611016867 6.095 6/1/2007 3 1 2 611016890 4.35 6/1/2007 3 1 2 611016892 0 0 0 2 611016893 0 0 0 2 611016896 5.57 6/1/2008 3 1 2 611016955 5.4 7/1/2007 3 1 2 611016964 0 0 0 2 611017020 0 0 0 2 611017057 4.55 6/1/2007 3 1 2 611017058 4.6 7/1/2007 3 1 2 621007235 5.35 5/1/2007 3 1 2 621007598 5.65 6/1/2007 3 1 2 621007799 3.6 5/1/2007 3 1 2 621007869 5.95 6/1/2007 3 1 2 621007887 4.5 6/1/2007 3 1 2 621007949 4.2 5/1/2007 3 1 2 621008021 5.99 6/1/2007 3 1 2 621008027 5.42 6/1/2007 3 1 2 621008104 5.09 6/1/2007 3 1 2 621008230 4.25 6/1/2007 3 1 2 621008255 0 0 0 2 621008355 8.99 6/1/2007 3 1 2 621008394 4.1 5/1/2007 3 1 2 621008444 5.8 6/1/2007 3 1 2 621008472 5.5 6/1/2007 3 1 2 621008526 0 0 0 2 621008534 6.2 6/1/2007 3 1 2 621008549 5.04 6/1/2007 3 1 2 621008580 5 6/1/2007 3 1 2 621008603 5.09 6/1/2007 3 1 2 621008674 4.2 6/1/2007 3 1 2 621008713 5.05 6/1/2007 3 1 2 621008748 5.2 6/1/2007 3 1 2 621008753 4.8 7/1/2007 3 1 2 621008772 6.15 6/1/2007 3 1 2 621008795 0 0 0 2 621008884 5.95 7/1/2007 3 1 2 621008900 0 0 0 2 621008902 5.1 6/1/2007 3 1 2 621008956 5.7 7/1/2007 3 1 2 621009023 5.95 6/1/2007 3 1 2 621009057 0 0 0 2 621009071 5.45 7/1/2008 3 1 2 621009080 4.7 7/1/2007 3 1 2 621009232 0 0 0 2 621009241 4.94 7/1/2007 3 1 2 621009338 5.2 7/1/2007 3 1 2 631006733 0 0 0 2 631007205 6.5 5/1/2007 3 1 2 631007246 5.785 6/1/2007 3 1 2 631007272 5.15 6/1/2007 3 1 2 631007329 3.875 5/1/2007 3 1 2 631007460 4.875 6/1/2007 3 1 2 631007476 5.4 6/1/2007 3 1 2 631007534 5.8 6/1/2007 3 1 2 631007602 4.35 6/1/2007 3 1 2 631007652 3.775 6/1/2007 3 1 2 631007670 0 0 0 2 631007676 5.65 7/1/2007 3 1 2 631007686 7.15 6/1/2007 3 1 2 631007694 4.75 6/1/2007 3 1 2 631007699 0 0 0 2 631007726 4.8 6/1/2007 3 1 2 631007741 6.12 6/1/2007 3 1 2 631007770 5 6/1/2007 3 1 2 631007774 4.3 6/1/2007 3 1 2 631007779 4.75 6/1/2007 3 1 2 631007840 6.85 6/1/2007 3 1 2 631007841 5 6/1/2007 3 1 2 631007851 0 0 0 2 631007869 4.05 6/1/2007 3 1 2 631007871 4.7 6/1/2007 3 1 2 631007908 4.8 6/1/2007 3 1 2 631007929 4.4 6/1/2007 3 1 2 631007998 4.25 6/1/2007 3 1 2 631008005 5.45 7/1/2007 3 1 2 641008867 0 0 0 2 641008880 0 0 0 2 641009031 5.35 5/1/2007 3 1 2 641009253 0 0 0 2 641009495 4.9 6/1/2007 3 1 2 641009647 5.4 7/1/2007 3 1 2 651009474 0 0 0 2 651009499 6.45 6/1/2007 3 1 2 651009559 6.99 6/1/2007 3 1 2 651009643 5.3 6/1/2007 3 1 2 651009733 5.525 5/1/2007 3 1 2 651009849 6.15 6/1/2007 3 1 2 651009859 4.6 5/1/2007 3 1 2 651009882 5.8 5/1/2007 3 1 2 651009896 4.25 6/1/2007 3 1 2 651009897 4.25 6/1/2007 3 1 2 651009915 5.3 5/1/2007 3 1 2 651010057 0 0 0 2 651010153 3.5 6/1/2007 3 1 2 651010188 4.025 6/1/2007 3 1 2 651010291 6.95 6/1/2007 3 1 2 651010295 5.95 7/1/2007 3 1 2 651010308 6.05 6/1/2007 3 1 2 651010456 6.24 6/1/2007 3 1 2 651010558 5.45 7/1/2007 3 1 2 651010566 5.35 6/1/2007 3 1 2 651010632 5.6 7/1/2007 3 1 2 651010724 5.65 6/1/2007 3 1 2 661003951 4.25 6/1/2007 3 1 2 661005342 4.9 4/1/2007 3 1 2 661006344 3.45 5/1/2007 3 1 2 661006389 4.23 5/1/2007 3 1 2 661006545 5.15 5/1/2007 3 1 2 661006559 4.05 5/1/2007 3 1 2 661006607 4 5/1/2008 3 1 2 661006614 3.75 5/1/2007 3 1 2 661006639 8.5 5/1/2007 3 1 2 661006686 6.1 6/1/2007 3 1 2 661006716 0 0 0 2 661006721 4.65 6/1/2007 3 1 2 661006728 4.3 5/1/2007 3 1 2 661006767 3.7 6/1/2007 3 1 2 661006770 4.5 5/1/2007 3 1 2 661006814 4.2 5/1/2007 3 1 2 661006872 4.99 6/1/2008 3 1 2 661006895 3.95 5/1/2007 3 1 2 661006931 4.05 6/1/2007 3 1 2 661006954 4.3 5/1/2007 3 1 2 661006976 4.5 5/1/2007 3 1 2 661007022 3.6 5/1/2007 3 1 2 661007030 5.4 7/1/2007 3 1 2 661007048 3.7 5/1/2007 3 1 2 661007104 4.53 6/1/2007 3 1 2 661007117 4 6/1/2007 3 1 2 661007190 4.3 6/1/2007 3 1 2 661007220 0 0 0 2 661007240 4.55 6/1/2007 3 1 2 661007244 4.95 6/1/2007 3 1 2 661007260 6.15 6/1/2007 3 1 2 661007264 6.85 6/1/2007 3 1 2 661007289 4.05 6/1/2007 3 1 2 661007365 4.95 6/1/2007 3 1 2 661007374 4.32 7/1/2007 3 1 2 661007402 4.15 6/1/2007 3 1 2 661007430 4.25 6/1/2007 3 1 2 661007461 5.05 6/1/2007 3 1 2 661007464 4.65 6/1/2007 3 1 2 661007471 5.15 6/1/2007 3 1 2 661007483 4.85 6/1/2007 3 1 2 661007568 4.2 6/1/2007 3 1 2 661007587 5.85 6/1/2007 3 1 2 661007595 4.35 6/1/2007 3 1 2 661007602 3.7 6/1/2007 3 1 2 661007705 0 0 0 2 661007776 4.3 6/1/2007 3 1 2 661007803 6.2 7/1/2007 3 1 2 671003280 3.85 4/1/2007 3 1 2 671003427 0 0 0 2 671003593 3.1 6/1/2007 3 1 2 671003744 4.1 5/1/2007 3 1 2 671003753 4.99 5/1/2007 3 1 2 671003849 3.9 5/1/2007 3 1 2 671003925 0 0 0 2 671003988 4.3 5/1/2007 3 1 2 671004082 4.25 6/1/2007 3 1 2 671004127 3.39 5/1/2007 3 1 2 671004157 3.975 5/1/2007 3 1 2 671004191 0 0 0 2 671004211 4.1 6/1/2007 3 1 2 671004253 4.15 6/1/2007 3 1 2 671004365 0 0 0 2 671004471 0 0 0 2 671004482 4.275 6/1/2007 3 1 2 671004514 4.6 7/1/2007 3 1 2 671004522 4.2 7/1/2007 3 1 2 671004548 5.5 7/1/2007 3 1 2 671004590 5 6/1/2008 3 1 2 681005359 4.65 5/1/2007 3 1 2 681005556 4.85 4/1/2007 3 1 2 681005559 4.75 5/1/2007 3 1 2 681005678 4 5/1/2007 3 1 2 681005900 6.15 6/1/2007 3 1 2 681005940 5 5/1/2007 3 1 2 681005953 5.35 5/1/2007 3 1 2 681006039 5.95 6/1/2007 3 1 2 681006071 4.5 6/1/2007 3 1 2 681006139 5.65 6/1/2007 3 1 2 681006159 5.95 6/1/2007 3 1 2 681006184 8.75 6/1/2007 3 1 2 681006216 5.05 6/1/2007 3 1 2 681006259 5.55 6/1/2007 3 1 2 681006348 4.7 6/1/2007 3 1 2 681006375 0 0 0 2 681006386 4.7 6/1/2007 3 1 2 681006419 4.95 6/1/2007 3 1 2 681006449 0 0 0 2 681006456 5.69 6/1/2007 3 1 2 681006477 6.05 6/1/2007 3 1 2 681006501 4.55 6/1/2007 3 1 2 681006565 0 0 0 2 681006639 4.8 6/1/2007 3 1 2 681006717 5.5 7/1/2007 3 1 2 681006730 0 0 0 2 681006782 0 0 0 2 691002849 0 0 0 2 691003175 0 0 0 2 691003422 4.5 5/1/2007 3 1 2 691003466 0 0 0 2 691003480 4.7 5/1/2008 3 1 2 691003619 5.95 5/1/2007 3 1 2 691003627 4 6/1/2007 3 1 2 691003648 4.075 6/1/2007 3 1 2 691003674 5.1 5/1/2007 3 1 2 691003843 6.45 6/1/2007 3 1 2 691003886 8 6/1/2007 3 1 2 691003905 5.75 6/1/2008 3 1 2 691003906 4.54 6/1/2007 3 1 2 691003922 5.65 6/1/2007 3 1 2 691003933 0 0 0 2 691003935 6.65 6/1/2007 3 1 2 691003972 0 0 0 2 691003978 6.05 6/1/2007 3 1 2 691004001 6.45 6/1/2007 3 1 2 691004005 0 0 0 2 691004018 6.3 6/1/2007 3 1 2 691004056 5.79 6/1/2007 3 1 2 691004072 6.5 6/1/2007 3 1 2 691004144 6.85 7/1/2007 3 1 2 691004156 6.45 7/1/2007 3 1 2 701000456 5.74 5/1/2007 3 1 2 701000479 4.99 5/1/2007 3 1 2 701000988 4.9 6/1/2007 3 1 2 701001004 4.312 6/1/2007 3 1 2 701001018 5.702 6/1/2007 3 1 2 701001025 4.65 6/1/2007 3 1 2 701001044 5.6 6/1/2007 3 1 2 701001045 0 0 0 2 701001065 0 0 0 2 701001112 4.6 6/1/2007 3 1 2 711006946 5.73 6/1/2007 3 1 2 711007046 0 0 0 2 711007249 0 0 0 2 721006958 0 0 0 2 721007237 4.7 6/1/2007 3 1 2 721007361 6.6 6/1/2007 3 1 2 721007373 4.875 6/1/2007 3 1 2 731010705 5.775 6/1/2007 3 1 2 731010797 6.015 6/1/2007 3 1 2 731011032 6.063 6/1/2007 3 1 2 741010573 5.525 5/1/2008 3 1 2 741011858 4.15 6/1/2007 3 1 2 741011927 4.45 6/1/2007 3 1 2 761009519 5.94 5/1/2007 3 1 2 761010227 6.5 6/1/2007 3 1 2 781003640 8.075 6/1/2007 3 1 2 791002619 5.33 6/1/2007 3 1 2 791002892 0 0 0 2 791002903 8.19 6/1/2007 3 1 2 831039474 6.375 3/1/2007 2 1 2 831039480 8.15 3/1/2007 3 1 2 831039481 6.75 3/1/2008 3 1 2 831039897 8.49 4/1/2007 3 1 2 831039985 6 4/1/2007 3 1 2 831040479 9.35 3/1/2007 3 1 2 831041572 5.9 4/1/2007 3 1 2 831041798 6.95 5/1/2007 3 1 2 831041804 0 0 0 2 831041808 0 0 0 2 831041810 0 0 0 2 831041811 0 0 0 2 831042146 8.25 5/1/2007 3 1 2 831042153 8.25 4/1/2007 3 1 2 831042178 9.75 4/1/2007 3 1 2 831042179 8.49 5/1/2007 3 1 2 831042373 6.125 5/1/2007 3 2 2 831042544 0 0 0 2 831042546 0 0 0 2 831042547 0 0 0 2 831042548 0 0 0 2 831042551 4.25 5/1/2007 3 1.5 2 831042552 5.25 5/1/2007 3 1.5 2 831042553 5.65 5/1/2007 3 1.5 2 831042558 7 5/1/2007 3 1.5 2 831042975 6.74 3/1/2007 3 1 2 831043178 6.5 11/1/2005 1 1 2 831043299 8.45 5/1/2007 3 1 2 831043556 5.5 5/1/2007 3 2 2 841005694 4.8 6/1/2007 3 1 2 841005780 4.4 6/1/2007 3 1 2 841005798 4.6 6/1/2007 3 1 2 841006004 0 0 0 2 841006126 6.05 6/1/2007 3 1 2 841006207 4.3 6/1/2007 3 1 2 841006284 4.9 6/1/2007 3 1 2 851000935 3.95 5/1/2008 3 1 2 851001052 4.95 6/1/2007 3 1 2 851001087 5.325 6/1/2007 3 1 2 851001131 5.65 6/1/2007 3 1 2 871000806 0 0 0 2 871000896 4.1 6/1/2007 3 1 2 871000914 5.05 5/1/2007 3 1 2 871000969 6.4 6/1/2007 3 1 2 871001011 0 0 0 2 871001013 8.45 6/1/2007 3 1 2 871001074 5.9 6/1/2007 3 1 2 871001092 6.25 6/1/2007 3 1 2 871001135 4.6 6/1/2007 3 1 2 871001155 6.3 6/1/2007 3 1 2 871001177 4.825 6/1/2007 3 1 2 871001250 4.8 6/1/2007 3 1 2 871001320 5.05 6/1/2007 3 1 2 871001355 7.55 6/1/2008 3 1 2 871001397 5.525 7/1/2008 3 1 2 911000188 3.84 5/1/2007 3 1 2 911000211 4.4 5/1/2007 3 1 2 911000233 3.69 5/1/2007 3 1 2 911000263 4.3 5/1/2007 3 1 2 911000313 4.74 6/1/2007 3 1 2 911000319 0 0 0 2 911000332 4.75 6/1/2007 3 1 2 911000346 5.95 7/1/2007 3 1 2 911000375 6.49 6/1/2007 3 1 2 --------------------------------------------------------- 1,179 --------------------------------------------------------- --------------------------------------------------------- 5,565 =========================================================
EXHIBIT E
REQUEST FOR RELEASE
To: |
[Address for Custodian: Mortgage Document Custody |
Wells Fargo Corporate Trust Services
24 Executive Park, Suite 100
Irvine, California 92614]
|
Re: |
Custodial Agreement, dated as of August 1, 2005, among Deutsche Bank National Trust Company as the Trustee, Option One Mortgage Corporation as Servicer and Wells Fargo Bank, N.A. as the Custodian |
In connection with the administration of the Mortgage Loans included in the Trust Fund established pursuant to the Pooling and Servicing Agreement dated as of August 1, 2005, among Financial Asset Securities Corp. as Depositor, Option One Mortgage Corporation, as Servicer, and Deutsche Bank National Trust Company, a national banking association, as Trustee and held by you as Custodian pursuant to the above-captioned Custodial Agreement, we request the release, and hereby acknowledge receipt of the Custodial File for the Mortgage Loan described below, for the reason indicated.
Mortgage Loan Number:
Mortgagor Name, Address & Zip Code:
Reason for Requesting Documents (check one):
_________1. |
Mortgage Paid in Full |
| |||||
_________2. |
Foreclosure |
| |||||
_________3. |
Substitution |
| |||||
_________4. |
Other Liquidation (Repurchases, etc.) |
| |||||
_________5. |
Nonliquidation |
Reason:_____________________ | |||||
Address to which Trustee should deliver
the Custodial File:
By:
|
(authorized signer) |
Issuer:
Address:
|
_________________________ |
Date:
Custodian
Wells Fargo Bank, N.A.
Please acknowledge the execution of the above request by your signature and date below:
|
____________________________ |
__________________ | |
|
Signature |
Date |
|
Documents returned to Custodian:
|
______________________________ |
__________________ | |
|
Custodian |
Date |
|
EXHIBIT F-1
[FORM OF TRUSTEE'S INITIAL CERTIFICATION
August __, 2005
Financial Asset Securities Corp.
600 Steamboat Road
Greenwich, Connecticut 06830
|
Re: |
Pooling and Servicing Agreement dated as of August 1, 2005, among Financial Asset Securities Corp. as Depositor, Option One Mortgage Corporation, as Servicer, and Deutsche Bank National Trust Company, a national banking association, as Trustee |
Ladies and Gentlemen:
Attached is the Trustee’s preliminary exception report delivered in accordance with Section 2.02 of the referenced Pooling and Servicing Agreement (the “Pooling and Servicing Agreement”). Capitalized terms used but not otherwise defined herein shall have the meanings set forth in the Pooling and Servicing Agreement.
The Trustee has made no independent examination of any documents contained in each Mortgage File beyond the review specifically required in the Pooling and Servicing Agreement. The Trustee makes no representations as to (i) the validity, legality, sufficiency, enforceability or genuineness of any of the documents contained in the Mortgage File pertaining to the Mortgage Loans identified on the Mortgage Loan Schedule, (ii) the collectability, insurability, effectiveness or suitability of any such Mortgage Loan or (iii) whether any Mortgage File includes any of the documents specified in clause (vi) of Section 2.01 of the Pooling and Servicing Agreement.
DEUTSCHE BANK NATIONAL TRUST COMPANY
By:
Name:
Title:]
[FORM OF CUSTODIAN’S INITIAL CERTIFICATION
_____, 2005
Trust Receipt #: ____
Original Principal Balance of the Mortgage Loans:$_______
Deutsche Bank National Trust Company |
Financial Asset Securities Corp. |
Greenwich Capital Markets, Inc. |
|
|
Re: |
Custodial Agreement, dated as of August 1, 2005, among Deutsche Bank National Trust Company as the Trustee, Option One Mortgage Corporation as Servicer and Wells Fargo Bank, N.A. as the Custodian |
Ladies and Gentlemen:
In accordance with the provisions of Section 3 of the above-referenced Custodial Agreement, the undersigned, as the Custodian, hereby certifies that it is holding the Mortgage Loans identified on the schedule attached hereto for the exclusive benefit of the Trustee pursuant to the terms and conditions of the Custodial Agreement, and it has received a Custodial File with respect to each such Mortgage Loan (other than any Mortgage Loan specifically identified on the exception report attached hereto) and that with respect to each such Mortgage Loan: (i) all documents required to be delivered to it pursuant to Section 2.01 of this Agreement are in its possession, (ii) such documents have been reviewed by it and have not been mutilated, damaged or torn and appear on their face to relate to such Mortgage Loan and (iii) based on its examination and only as to the foregoing, the information set forth in the Mortgage Loan Schedule that corresponds to items (1) and (3) of the definition of “Mortgage Loan Schedule” in the Pooling and Servicing Agreement accurately reflects information set forth in the Custodial File.
The Custodian hereby confirms that it is holding each such Custodial File as agent and bailee of and custodian for the exclusive use and benefit of the Trustee pursuant to the terms of the Custodial Agreement.
Capitalized terms used herein shall have the meaning ascribed to them in the Custodial Agreement.
WELLS FARGO BANK, N.A.
(Custodian)
By:___________________________
|
Name: |
Title:]
EXHIBIT F-2
[FORM OF TRUSTEE'S FINAL CERTIFICATION
________________
[Date]
Financial Asset Securities Corp.
600 Steamboat Road
Greenwich, Connecticut 06830
|
Re: |
Pooling and Servicing Agreement (the “Pooling and Servicing Agreement”), dated as of August 1, 2005 among Financial Asset Securities Corp., as Depositor, Option One Mortgage Corporation, as Servicer and Deutsche Bank National Trust Company, as Trustee with respect to Soundview Home Loan Trust 2005-OPT2, Asset-Backed Certificates, Series 2005-OPT2 |
Ladies and Gentlemen:
In accordance with Section 2.02 of the Pooling and Servicing Agreement, the undersigned, as Trustee, hereby certifies that as to each Mortgage Loan listed in the Mortgage Loan Schedule (other than any Mortgage loan paid in full or listed on Schedule I hereto) it (or its custodian) has received the applicable documents listed in Section 2.01 of the Pooling and Servicing Agreement.
The undersigned hereby certifies that as to each Mortgage Loan identified on the Mortgage Loan Schedule, other than any Mortgage Loan listed on Schedule I hereto, it has reviewed the documents listed above and has determined that each such document appears to be complete and, based on an examination of such documents, the information set forth in items 1, 3, 10, 11 and 15 of the definition of Mortgage Loan Schedule in the Pooling and Servicing Agreement accurately reflects information in the Mortgage File.
Capitalized words and phrases used herein shall have the respective meanings assigned to them in the Pooling and Servicing Agreement. This Certificate is qualified in all respects by the terms of said Pooling and Servicing Agreement.
DEUTSCHE BANK NATIONAL TRUST COMPANY
By:
Name:
Title:]
[FORM OF CUSTODIAN’S FINAL CERTIFICATION
TRUST RECEIPT # ___
______, 2005
Aggregate Amount of Mortgage Loans: _____
Original Principal Balance of Aggregate Mortgage Loans: __________
Deutsche Bank National Trust Company |
Financial Asset Securities Corp. |
Greenwich Capital Markets, Inc. |
|
|
Re: |
Custodial Agreement, dated as of August 1, 2005, among Deutsche Bank National Trust Company as the Trustee, Option One Mortgage Corporation as Servicer and Wells Fargo Bank, N.A. as the Custodian |
Ladies and Gentlemen:
In accordance with the provisions of Section 4 of the above-referenced Custodial Agreement, the undersigned, as the Custodian, hereby certifies that as to each Mortgage Loan listed on the Mortgage Loan Schedule (other than any Mortgage Loan paid in full or any Mortgage Loan listed on the attachment hereto) it has reviewed the Custodial Files and has determined that (i) all documents required to be delivered to it pursuant to Sections 2(i), (ii), (iii), (iv) and (v) of the Custodial Agreement are in its possession and to the extent provided in the Custodial Files paragraph (v) of Section 2 of the Custodial Agreement are in its possession; (ii) such documents have been reviewed by it and appear regular on their face and relate to such Mortgage Loan; (iii) based on its examination and only as to the foregoing documents, the information set forth in items (1) and (3) of the definition of “Mortgage Loan Schedule” in the Pooling and Servicing Agreement accurately reflects information set forth in the Custodial File; and (iv) each Mortgage Note has been endorsed as provided in Section 2 of the Custodial Agreement and each Mortgage has been assigned in accordance with Section 2 of the Custodial Agreement. The Custodian makes no representations as to (i) the validity, legality, enforceability, sufficiency, due authorization or genuineness of any of the documents contained in each Custodial File or of any of the Mortgage Loans or (ii) the collectability, insurability, effectiveness or suitability of any such Mortgage Loan.
The Custodian hereby confirms that it is holding each such Custodial File as agent and bailee of, and custodian for the exclusive use and benefit, and subject to the sole direction, of the Trustee pursuant to the terms and conditions of the Custodial Agreement.
Capitalized terms used herein shall have the meaning ascribed to them in the Custodial Agreement.
WELLS FARGO BANK, N.A.
(Custodian)
By:___________________________
|
Name: |
Title]
EXHIBIT F-3
FORM OF RECEIPT OF MORTGAGE NOTE
Financial Asset Securities Corp.
600 Steamboat Road
Greenwich, Connecticut 06830
|
Re: |
Soundivew Home Loan Trust 2005-OPT2, |
Asset-Backed Certificates Series 2005-OPT2
Ladies and Gentlemen:
Pursuant to Section 3 of the Custodial Agreement, dated as of August 1, 2005, among Deutsche Bank National Trust Company as the Trustee, Option One Mortgage Corporation as Servicer and Wells Fargo Bank, N.A. as the Custodian, we hereby acknowledge the receipt of the original Mortgage Notes (a copy of which is attached hereto as Exhibit 1) with any exceptions thereto listed on Exhibit 2.
WELLS FARGO BANK, N.A.
By:
Name:
Title:
EXHIBIT G
FORM OF CUSTODIAL AGREEMENT
DEUTSCHE BANK NATIONAL TRUST COMPANY, as Trustee
for the Soundview Home Loan Trust 2005-OPT2,
Asset Backed Certificates, Series 2005-OPT2
and
WELLS FARGO BANK, N.A.,
as Custodian
and
OPTION ONE MORTGAGE CORPORATION,
as Servicer
CUSTODIAL AGREEMENT
As of August 1, 2005
TABLE OF CONTENTS
Section 1. |
Definitions. |
| |
Section 2. |
Delivery of Custodial Files. | ||
Section 3. |
Custodian’s Receipt, Examination and Certification of Mortgage Files; Initial Trust Receipt Delivered by the Custodian. |
Section 4. |
Obligations of the Custodian. |
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Section 5. |
Final Trust Receipt. |
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Section 6. |
Future Defects. |
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Section 7. |
Release for Servicing. |
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Section 8. |
Release for Payment. |
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Section 9. |
Fees of Custodian. |
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Section 10. |
Removal of Custodian. |
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Section 11. |
Transfer of Custodial Files. |
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Section 12. |
Examination of Custodial Files. |
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Section 13. |
Insurance of Custodian. |
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Section 14. |
Counterparts. |
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Section 15. |
Periodic Statements. |
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Section 16. |
Governing Law. |
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Section 17. |
Copies of Mortgage Documents. |
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Section 18. |
No Adverse Interest of Custodian. | |||||||||||||||||
Section 19. |
Termination by Custodian. |
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Section 20. |
Term of Agreement. |
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Section 21. |
Notices. |
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Section 22. |
Successors and Assigns. |
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Section 23. |
Indemnification of Custodian. |
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Section 24. |
Reliance of Custodian. |
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Section 25. |
Transmission of Custodial Files. | ||||||
Section 26. |
Authorized Representatives. |
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Section 27. |
Reproduction of Documents. |
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Section 28. |
Amendment. |
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EXHIBITS
EXHIBIT 1 |
FORM OF TRUST RECEIPT AND INITIAL CERTIFICATION | ||||||
EXHIBIT 2 |
FORM OF FINAL TRUST RECEIPT |
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EXHIBIT 3 |
FORM OF REQUEST FOR RELEASE OF DOCUMENTS |
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EXHIBIT 4 |
AUTHORIZED REPRESENTATIVES OF SERVICER |
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EXHIBIT 5 |
AUTHORIZED REPRESENTATIVES OF TRUSTEE |
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EXHIBIT 6 |
AUTHORIZED REPRESENTATIVES OF CUSTODIAN |
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EXHIBIT 7 |
MORTGAGE LOAN SCHEDULE |
| |||||
THIS CUSTODIAL AGREEMENT, dated as of August 1, 2005, among Deutsche Bank National Trust Company, having an address at 1761 East St. Andrew Place, Santa Ana, California 92705-4934, not individually but solely as trustee for Soundview Home Loan Trust 2005-OPT2, Asset-Backed Certificates, Series 2005-OPT2 (the “Trustee”), Wells Fargo Bank, N.A. as custodian, having an address at 24 Executive Park, Suite 100, Irvine, California 92614 (the “Custodian”) and Option One Mortgage Corporation. as servicer (the “Servicer”), having an address at 3 Ada, Irvine, California 92618
W I T N E S S E T H
WHEREAS, Financial Asset Securities Corp. (the “Depositor”) has purchased certain conventional fixed-rate and adjustable-rate mortgage loans (the “Mortgage Loans”) from Greenwich Capital Financial Products, Inc. (the “Seller”), pursuant to the terms and conditions of an Assignment and Recognition Agreement, dated as of August 18, 2005, among the Depositor, the Servicer and the Seller (the “Purchase Agreement”);
WHEREAS, the Servicer is to service the Mortgage Loans on behalf of Soundview Home Loan Trust 2005-OPT2, under a Pooling and Servicing Agreement, dated as of August 1, 2005, among the Depositor, the Servicer and the Trustee (the “Pooling and Servicing Agreement”); and
WHEREAS, the Custodian is a national banking association chartered under the laws of the United States of America and regulated by the Comptroller of the Currency, and is otherwise authorized to act as Custodian pursuant to this Agreement. With respect to each of the Mortgage Loans set forth on the Mortgage Loan Schedule attached as Exhibit 8 hereto, the Servicer desires to have the Custodian take possession of the Mortgages and Mortgage Notes, along with certain other documents specified herein, as the custodian of the Trustee, in accordance with the terms and conditions hereof.
NOW THEREFORE, in consideration of the mutual undertakings herein expressed, the parties hereto hereby agree as follows:
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1. |
Definitions. |
Any capitalized terms used but not defined herein shall have the meanings ascribed to them in the Pooling and Servicing Agreement.
|
2. |
Delivery of Custodial Files. |
The Depositor has delivered and released, or will cause to be delivered and released, to the Custodian on or prior to the Closing Date the following documents pertaining to each of the Mortgage Loans identified in the Mortgage Loan Schedule (the “Custodial File”):
(i) the original Mortgage Note, endorsed either (A) in blank, in which case the Custodian shall cause the endorsement to be completed or (B) in the following form: “Pay to the order of Deutsche Bank National Trust Company, as Trustee, without recourse” or with respect to any lost Mortgage Note, an original Lost Note Affidavit stating that the original mortgage note was lost, misplaced or destroyed, together with a copy of the related mortgage note; provided, however, that such substitutions of Lost Note Affidavits for original Mortgage Notes may occur only with respect to Mortgage Loans, the aggregate Cut-off Date Principal Balance of which is less than or equal to 1.00% of the Pool Balance as of the Cut-off Date;
(ii) the original Mortgage with evidence of recording thereon, and the original recorded power of attorney, if the Mortgage was executed pursuant to a power of attorney, with evidence of recording thereon or, if such Mortgage or power of attorney has been submitted for recording but has not been returned from the applicable public recording office, has been lost or is not otherwise available, a copy of such Mortgage or power of attorney, as the case may be, certified to be a true and complete copy of the original submitted for recording;
(iii) an original Assignment, in form and substance acceptable for recording. The Mortgage shall be assigned either (A) in blank or (B) to “Deutsche Bank National Trust Company, as Trustee, without recourse”
(iv) an original copy of any intervening assignment of Mortgage showing a complete chain of assignments;
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(v) |
the original or a certified copy of lender’s title insurance policy; and |
(vi) the original or copies of each assumption, modification, written assurance or substitution agreement, if any.
If any of the documents referred to in Section 2(ii), (iii) or (iv) above has as of the Closing Date (or Subsequent Transfer Date, with respect to Subsequent Mortgage Loans) been submitted for recording but either (x) has not been returned from the applicable public recording office or (y) has been lost or such public recording office has retained the original of such document, the obligations of the Depositor to deliver such documents shall be deemed to be satisfied upon (1) delivery to the Custodian no later than the Closing Date (or Subsequent Transfer Date, with respect to Subsequent Mortgage Loans), of a copy of each such document certified by the Originator in the case of (x) above or the applicable public recording office in the case of (y) above to be a true and complete copy of the original that was submitted for recording and (2) if such copy is certified by the Originator, delivery to the Custodian, promptly upon receipt thereof of either the original or a copy of such document certified by the applicable public recording office to be a true and complete copy of the original. If the original lender’s title insurance policy, or a certified copy thereof, was not delivered pursuant to Section 2(v) above, the Depositor shall deliver or cause to be delivered to the Custodian, the original or a copy of a
written commitment or interim binder or preliminary report of title issued by the title insurance or escrow company, with the original or a certified copy thereof to be delivered to the Custodian, promptly upon receipt thereof. The Servicer or the Depositor shall deliver or cause to be delivered to the Custodian promptly upon receipt thereof any other documents constituting a part of a Mortgage File received with respect to any Mortgage Loan, including, but not limited to, any original documents evidencing an assumption or modification of any Mortgage Loan.
Upon discovery or receipt of notice of any materially defective document in, or that a document is missing from, a Mortgage File, the Custodian shall notify the Servicer and the Servicer shall enforce the obligations of the Originator under the Purchase Agreement to cure such defect or deliver such missing document to the Trustee or the Custodian within 120 days. If the Originator does not cure such defect or deliver such missing document within such time period, the Servicer shall enforce the obligations of the Originator to either repurchase or substitute for such Mortgage Loan in accordance with Section 2.03 of the Pooling and Servicing Agreement. For purposes of this Section, “defect” shall mean a failure of a document to correspond to the information set forth in the applicable Mortgage Loan Schedule or the absence in a Mortgage File of any document required pursuant to this Agreement. In connection with the foregoing, it is understood that the Custodian shall have no duty to discover any such defects except in the course of performing its review of the Mortgage Files to the extent set forth herein.
The Servicer shall forward to the Custodian original documents evidencing an assumption, modification, consolidation or extension of any Mortgage Loan entered into in accordance with this Agreement within two weeks of their execution; provided, however, that the Servicer shall provide the Custodian with a certified true copy of any such document submitted for recordation within two weeks of its execution, and shall provide the original of any document submitted for recordation or a copy of such document certified by the appropriate public recording office to be a true and complete copy of the original within 365 days of its submission for recordation. In the event that the Servicer cannot provide a copy of such document certified by the public recording office within such 365 day period, the Servicer shall deliver to the Custodian, within such 365 day period, an Officers’ Certificate of the Servicer which shall (A) identify the recorded document, (B) state that the recorded document has not been delivered to the Custodian due solely to a delay caused by the public recording office, (C) state the amount of time generally required by the applicable recording office to record and return a document submitted for recordation, if known and (D) specify the date the applicable recorded document is expected to be delivered to the Custodian, and, upon receipt of a copy of such document certified by the public recording office, the Servicer shall immediately deliver such document to the Custodian. In the event the appropriate public recording office will not certify as to the accuracy of such document, the Servicer shall deliver a copy of such document certified by an officer of the Servicer to be a true and complete copy of the original to the Custodian.
The Custodian hereby agrees to its duties under Section 2.03 of the Pooling and Servicing Agreement with respect to Qualified Substitute Mortgage Loans.
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3. |
Custodian’s Receipt, Examination and Certification of Mortgage Files; Initial Trust Receipt Delivered by the Custodian. |
The Custodian agrees, for the benefit of the Certificateholders, to review each Custodial File on or before the Closing Date and to certify in substantially the form attached hereto as Exhibit 1 (the “Trust Receipt and Initial Certification”) that, as to each Mortgage Loan listed in the Mortgage Loan Schedule (other than any Mortgage Loan paid in full or any Mortgage Loan specifically identified in the exception report annexed thereto as not being covered by such certification), (i) all documents required to be delivered to it pursuant to Section 2.01 of this Agreement are in its possession, (ii) such documents have been reviewed by it and have not been mutilated, damaged or torn and appear on their face to relate to such Mortgage Loan and (iii) based on its examination and only as to the foregoing, the information set forth in the Mortgage Loan Schedule that corresponds to items (1) and (3) of the definition of “Mortgage Loan Schedule” in the Pooling and Servicing Agreement accurately reflects information set forth in the Custodial File. It is herein acknowledged that, in conducting such review, the Custodian was not under any duty or obligation (i) to inspect, review or examine any such documents, instruments, certificates or other papers to determine whether they are genuine, enforceable, or appropriate for the represented purpose or whether they have actually been recorded or that they are other than what they purport to be on their face or (ii) to determine whether any Custodial File should include any of the documents specified in clause (e) of Section 2.
The Custodian agrees to execute and deliver to the Depositor and the Servicer on or prior to the Closing Date an acknowledgment of receipt of the related original Mortgage Note for each Initial Mortgage Loan (with any exceptions noted), substantially in the form attached as Exhibit 8 hereto.
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4. |
Obligations of the Custodian. |
With respect to the Mortgage Note, the Mortgage and the Assignment and other documents constituting each Custodial File which is delivered to the Custodian or which come into the possession of the Custodian, the Custodian is the custodian for the Trustee exclusively. The Custodian shall hold all mortgage documents received by it constituting the Custodial File for the exclusive use and benefit of the Trustee, and shall make disposition thereof only in accordance with this Agreement and the instructions furnished by the Trustee. The Custodian shall segregate and maintain continuous custody of all mortgage documents constituting the Custodial File in secure and fire-resistant facilities in accordance with customary standards for such custody. The Custodian shall not be responsible to verify (i) the validity, legality, enforceability, sufficiency, due authorization or genuineness of any document in each Custodial File or of any of the Mortgage Loans or (ii) the collectability, insurability, effectiveness or suitability of any Mortgage Loan. The Custodian shall not execute any endorsements on the Mortgage Notes and Assignments of Mortgages without the prior written consent of the Trustee, except as otherwise set forth in Section 2 of this Agreement or as otherwise agreed to between the Trustee and the Custodian.
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5. |
Final Trust Receipt. |
Within one (1) year after the Closing Date, the Custodian shall review each Custodial File, and shall deliver to the Trustee (with a copy to the Depositor and the Servicer), a Final Trust Receipt attached hereto as Exhibit 2 to the effect that, as to each Mortgage Loan listed on the Mortgage Loan Schedule (other than any Mortgage Loan (i) paid in full, or (ii) specifically identified on such Final Trust Receipt as not covered by such Final Trust Receipt): (i) all documents required to be delivered to it pursuant to paragraphs (i), (ii), (iii), (iv) and (vi) and to the extent provided in the Custodial Files paragraph (v) of Section 2 of this Agreement are in its possession; (ii) such documents have been reviewed by it and appear regular on their face and relate to such Mortgage Loan; (iii) based on its examination and only as to the foregoing documents, the information set forth in items (1) and (3) of the definition of “Mortgage Loan Schedule” in the Pooling and Servicing Agreement accurately reflects information set forth in the Custodial File; and (iv) each Mortgage Note has been endorsed as provided in Section 2 of this Agreement and each Mortgage has been assigned in accordance with Section 2 of this Agreement.
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6. |
Future Defects. |
During the term of this Agreement, if the Custodian discovers any defect with respect to the Custodial File, the Custodian shall give written specification of such defect to the Servicer and the Trustee. For purposes of this Section, “defect” shall mean a failure of a document to correspond to the information set forth in the applicable Mortgage Loan Schedule or the absence in a Mortgage File of any document required pursuant to this Agreement.
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7. |
Release for Servicing. |
From time to time and as appropriate for the foreclosure or servicing of any of the Mortgage Loans, the Custodian shall, upon receipt of two copies (or electronic receipt from the Servicer in a form acceptable to the Custodian) of a Request for Release of Documents and receipt in the form annexed hereto as Exhibit 3, release to the Servicer, the related Custodial File or its designee within three Business Days, which, shall be sent by overnight mail, at the expense of the Servicer or the related Mortgagor, and the Custodian shall, at the written direction of the Servicer, execute such documents provided to it by the Servicer as shall be necessary to the prosecution of any such proceedings. The Servicer shall return to the Custodian the Custodial File when the Servicer’s need therefor in connection with such foreclosure or servicing no longer exists, unless the Mortgage Loan shall be liquidated in which case, upon receipt of an additional Request for Release of Documents and receipt certifying such liquidation in the form annexed hereto as Exhibit 3, the request and receipt submitted pursuant to the first sentence of this Section 7 shall be released by the Custodian to the Servicer.
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8. |
Release for Payment. |
Upon receipt by the Custodian of two copies (or electronic receipt from the Servicer in a form acceptable to the Custodian) of the Servicer’s Request for Release of
Documents and receipt in the form annexed hereto as Exhibit 3 (which certification shall include a statement to the effect that all amounts received in connection with such payment, repurchase or liquidation have been credited to the related custodial account), the Custodian shall promptly release the related Custodial File to the Servicer.
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9. |
Fees and Expenses of Custodian. |
In accordance with the terms of the Pooling and Servicing Agreement, the Custodian’s fees and expenses in connection herewith shall be paid by the Trustee as set forth in the Pooling and Servicing Agreement. By each Determination Date, the Custodian shall notify the Trustee of the amount of fees and expenses owed to the Custodian with respect to the related Distribution Date.
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10. |
Removal of Custodian. |
The Trustee, with or without cause, may upon at least 60 days’ notice remove and discharge the Custodian from the performance of its duties under this Agreement by written notice from the Trustee to the Custodian, with a copy to the Servicer. Having given notice of such removal, the Trustee promptly shall appoint (at the direction of the Depositor and with the consent of the Servicer) a successor Custodian to act on behalf of the Trustee by written instrument, one original counterpart of which instrument shall be retained by the Trustee, with a copy to the Servicer, and an original to the successor Custodian. In the event of any such removal, the Custodian shall, upon the Trustee’s surrender of the Trust Receipt and Initial Certifications and Final Trust Receipt, as applicable, promptly transfer to the successor Custodian, as directed, all Custodial Files being administered under this Agreement. In the event of any such removal and appointment the Trust Fund shall be responsible for the fees and expenses of the existing and successor Custodian.
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11. |
Transfer of Custodial Files. |
Upon the Custodian’s receipt of two (2) Business Days’ written or electronic notification from the Trustee, the Custodian shall release to such persons as the Trustee shall esignate all or a portion of the Custodial Files relating to the Mortgage Loans subject to the Trust Receipt and Initial Certification or Final Trust Receipt, as applicable.
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12. |
Examination of Custodial Files. |
Upon reasonable prior written notice to the Custodian but not less than two (2) Business Days notice, the Trustee and its agents, accountants, attorneys and auditors will be permitted during normal business hours to examine the Custodial Files, documents, records and other papers in the possession of or under the control of the Custodian relating to any or all of the Mortgage Loans at the expense of the Trustee.
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13. |
Insurance of Custodian. |
At its own expense, the Custodian shall maintain at all times during the existence of this Agreement and keep in full force and effect such insurance in amounts, with standard coverage and subject to deductibles, all as is customary for insurance typically maintained by banks which act as Custodian. The minimum coverage under any such bond and insurance policies shall be at least equal to the corresponding amounts required by Fannie Mae in the Fannie Mae Servicing Guide or by Freddie Mac in the Freddie Mac Sellers’ & Servicers’ Guide. Upon request, the Trustee shall be entitled to receive evidence satisfactory to the Trustee that such insurance is in full force and effect.
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14. |
Counterparts. |
For the purpose of facilitating the execution 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 and be one and the same instrument.
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15. |
Periodic Statements. |
Upon the written request of the Trustee, the Custodian shall provide to the Trustee a list of all the Mortgage Loans for which the Custodian holds a Custodial File pursuant to this Agreement. Such list may be in the form of a copy of the Mortgage Loan Schedule with manual deletions to specifically denote any Mortgage Loans paid off, repurchased or sold since the date of this Agreement.
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16. |
GOVERNING LAW. |
THIS AGREEMENT SHALL BE 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.
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17. |
Copies of Mortgage Documents. |
Upon the written request of the Trustee and at the cost and expense of the Custodian, the Custodian shall provide the Trustee with copies of the Mortgage Notes, Mortgages, Assignments and other documents relating to one or more of the Mortgage Loans.
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18. |
No Adverse Interest of Custodian. |
By execution of this Agreement, the Custodian represents and warrants that it currently holds, and during the existence of this Agreement shall hold, no interest adverse to the Trustee, by way of security or otherwise, in any Mortgage Loan, and hereby waives and releases any such interest which it may have in any Mortgage Loan as of the date hereof.
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19. |
Termination by Custodian. |
The Custodian may terminate its obligations under this Agreement upon at least sixty (60) days’ prior notice to the Servicer and the Trustee. In the event of such termination, the Trustee shall appoint a successor Custodian. The payment of the existing Custodian’s or such successor Custodian’s fees and expenses shall be solely the responsibility of the Trust Fund. Upon such appointment, the Custodian shall promptly transfer to the successor Custodian, as directed, all Custodial Files being administered under this Agreement.
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20. |
Term of Agreement. |
Unless terminated pursuant to Section 9 or Section 18 hereof, this Agreement shall terminate upon the final payment or other liquidation (or advance with respect thereto) of the last Mortgage Loan or the disposition of all property acquired upon foreclosure or deed in lieu of foreclosure of any Mortgage Loan, and the final remittance of all funds due under the Pooling and Servicing Agreement. In such event all documents remaining in the Custodial Files shall be released in accordance with the written instructions of the Trustee.
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21. |
Notices. |
All demands, notices and communications hereunder shall be in writing and shall be deemed to have been duly given when received by the recipient party (i) in the case of the Custodian, the Trustee and the Servicer, at the address shown on the first page hereof, (ii) in the case of the Depositor, Financial Asset Securities Corp., 600 Steamboat Road, Greenwich, Connecticut 08630, Attention: Legal and (iii) in the case of the Seller, Greenwich Capital Financial Products, Inc., 600 Steamboat Road, Greenwich, Connecticut 08630, Attention: Legal, or in any case, at such other addresses as may hereafter be furnished to the other party by like notice. Any such demand, notice or communication hereunder shall be deemed to have been received on the date delivered to or received at the premises of the addressee.
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22. |
Successors and Assigns. |
This Agreement shall inure to the benefit of the successors and assigns of the parties hereto; provided however, that the form of any assignment by any party of its interests hereunder shall be in a form reasonably acceptable to the Trustee, the Servicer and the Custodian. Such assignment shall be executed by an authorized representative of the assignor and any assignee shall forward a list of authorized representatives to each party to this Agreement pursuant to Section 26 of this Agreement.
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23. |
Indemnification of Custodian. |
The Custodian and its directors, officers, agents and employees shall be indemnified and held harmless by the Trust Fund against liabilities, obligations, losses, damages, penalties, actions, judgments, suits, costs, expenses or disbursements, including reasonable attorney’s fees, that may be imposed on, incurred by, or asserted against it or them directly
relating to or arising out of this Custodial Agreement or any action taken or not taken by it or them hereunder unless such liabilities, obligations, losses, damages, penalties, actions, judgments, suits, costs, expenses or disbursements were imposed on, incurred by or asserted against the Custodian because of the breach by the Custodian of its obligations hereunder, which breach was caused by negligence, lack of good faith or willful misconduct on the part of the Custodian or any of its directors, officers, agents or employees. The indemnification set forth in this section shall survive any termination or assignment of this Custodial Agreement and the termination or removal of the Custodian.
The Custodian agrees to indemnify and hold the Trust Fund and Trustee, its employees, officers and directors harmless against liabilities, obligations, losses, damages, penalties, actions, judgments, suits, costs, expenses or disbursements, including reasonable attorney’s fees, that may be imposed on, incurred by, or asserted against them directly relating to or arising out of a failure to produce a Mortgage Note, Assignment or any other document related to a Mortgage Loan that was in its possession pursuant to Section 2 within two (2) Business Days after required or requested by the Trustee, and provided, that (i) Custodian previously delivered to the Trustee a Trust Receipt and Initial Certification with respect to such document (other than any Mortgage Loan identified in the exception report annexed thereto as not covered by such certification); (ii) such document is not outstanding pursuant to a Request for Release; and (iii) such document was held by the Custodian on behalf of the Trustee. In no event shall the Custodian or its directors, officers, agents and employees be liable for any special, indirect or consequential damages from any action taken or omitted to be taken by it or them hereunder or in connection herewith even if advised of the possibility of such damages. The foregoing indemnification shall survive any termination or assignment of this Agreement or the removal or resignation of the Custodian hereunder.
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24. |
Reliance of Custodian. |
(i) The Custodian may conclusively rely, as to the truth of the statements and the correctness of the opinions expressed therein, upon any request, instructions, certificate, opinion or other document furnished to the Custodian, reasonably believed by the Custodian to be genuine and to have been signed or presented by the proper party or parties and conforming to the requirements of this Agreement; but in the case of any loan document or other request, instruction, document or certificate which by any provision hereof is specifically required to be furnished to the Custodian, the Custodian shall be under a duty to examine the same to determine, subject to the limitations on the Custodian’s obligations set forth herein, whether or not it conforms to the requirements of this Agreement.
(ii) The Custodian shall have no duties or responsibilities except those that are specifically set forth in this Agreement. The Custodian shall have no responsibility nor duty with respect to any Custodial File while such Custodial File is not in its possession. If the Custodian requests instructions from the Trustee with respect to any act, action or failure to act in connection with this Agreement, the Custodian shall be entitled to refrain from taking such action and continue to refrain from acting unless and until the Custodian shall have received
written instructions from the Trustee with respect to a Custodial File without incurring any liability therefor to the Trustee or any other Person.
(iii) Other than as provided herein, neither the Custodian nor any of its directors, officers, agents or employees shall be liable for any action or omission to act hereunder except for its or their own negligence or lack of good faith or willful misconduct. In no event shall the Custodian or any of its directors, officers, agents or employees have any responsibility to ascertain or take action except as expressly provided herein.
(iv) Neither the Custodian nor any of its directors, officers, agents or employees shall be liable for any action taken or not taken by it in good faith in the performance of its obligations under this Agreement. The obligations of the Custodian or any of its directors, officers, agents or employees shall be determined solely by the express provisions of this Agreement. No representation, warranty, covenant, agreement, obligation or duty of the Custodian or any of its directors, officers, agents or employees shall be implied with respect to this Agreement or the Custodian’s services hereunder.
(v) The Custodian, its directors, officers, agents and employees shall be under no duty or obligation to inspect, review or examine the Custodial Files to determine that the contents thereof are genuine, enforceable or appropriate for the represented purpose or that they have been actually recorded or that they are other than what they purport to be on their face.
(vi) The Custodian may consult with counsel selected by the Custodian with regard to legal questions arising out of or in connection with this Agreement, and the advice or opinion of such counsel shall be full and complete authorization and protection in respect of any action reasonably taken, omitted or suffered by the Custodian in good faith and in accordance therewith.
(vii) No provision of this Agreement shall require the Custodian to expend or risk its own funds or otherwise incur financial liability (other than expenses or liabilities otherwise required to be incurred by the express terms of this Agreement) in the performance of its duties under this Agreement if it shall have reasonable grounds for believing that repayment of such funds or adequate indemnity is not reasonably assured to it.
(viii) Any corporation into which the Custodian may be merged or converted or with which it may be consolidated, or any corporation resulting from any merger, conversion or consolidation to which the Custodian shall be a party, or any corporation succeeding to the business of the Custodian shall be the successor of the Custodian hereunder without the execution or filing of any paper with any party hereto or any further act on the part of any of the parties hereto except where an instrument of transfer or assignment is required by law to effect such succession, anything herein to the contrary notwithstanding.
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25. |
Transmission of Custodial Files. |
Written or electronic instructions as to the method of shipment and shipper(s) the Custodian is directed to utilize in connection with transmission of mortgage files and loan documents in the performance of the Custodian’s duties hereunder shall be delivered by the Servicer (a “Requesting Party”), to the Custodian prior to any shipment of any mortgage files and loan documents hereunder. The Requesting Party will arrange for the provision of such services at its sole cost and expense (or, at the Custodian’s option, reimburse the Custodian for all costs and expenses incurred by the Custodian consistent with such instructions) and will maintain such insurance against loss or damage to mortgage files and loan documents as the Requesting Party deems appropriate. Without limiting the generality of the provisions of Section 23 above, it is expressly agreed that in no event shall the Custodian have any liability for any losses or damages to any person, including without limitation, any Requesting Party, arising out of actions of the Custodian consistent with instructions of the Requesting Party.
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26. |
Authorized Representatives. |
Each individual designated as an authorized representative of the Servicer, the Trustee and the Custodian, respectively (an “Authorized Representative”), is authorized to give and receive notices, requests and instructions and to deliver certificates and documents in connection with this Agreement on behalf of the Servicer, the Trustee or the Custodian, as the case may be, and the specimen signature for each such Authorized Representative of the Servicer, the Trustee and the Custodian, initially authorized hereunder, as set forth on Exhibit 4, Exhibit 5 and Exhibit 6 hereof, respectively. From time to time the parties hereto may, by delivering to each other a revised exhibit, change the information previously given pursuant to this Section 25, but each of the parties hereto shall be entitled to rely conclusively on the then current exhibit until receipt of a superseding exhibit.
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27. |
Reproduction of Documents. |
This Custodial Agreement and all documents relating thereto except with respect to the Custodial File, including, without limitation, (a) consents, waivers and modifications which may hereafter be executed, and (b) certificates and other information previously or hereafter furnished, may be reproduced by any photographic, photostatic, microfilm, microcard, miniature photographic or other similar process. The parties agree that any such reproduction shall be admissible in evidence as the original itself in any judicial or administrative proceeding, whether or not the original is in existence and whether or not such reproduction was made by a party in the regular course of business, and that any enlargement, facsimile or further reproduction of such reproduction shall likewise be admissible in evidence.
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28. |
Amendment. |
This Custodial Agreement may be amended from time to time by written agreement signed by the Servicer, the Trustee and the Custodian.
IN WITNESS WHEREOF, the Trustee, the Custodian and the Servicer have caused their names to be duly signed hereto by their respective officers thereunto duly authorized, all as of the date first above written.
DEUTSCHE BANK NATIONAL TRUST COMPANY,
as Trustee for the Soundview Home Loan Trust 2005-OPT2, Asset-Backed Certificates, Series 2005-OPT2
By:
Name:
Title:
By:
Name:
Title:
WELLS FARGO BANK, N.A.,
as Custodian
By:
Name:
Title:
OPTION ONE MORTGAGE CORPORATION,
as Servicer
By:
Name:
Title:
EXHIBIT 1
FORM OF TRUST RECEIPT AND INITIAL CERTIFICATION
_____, 2005
Trust Receipt #: ___
Original Principal Balance of the Mortgage Loans:$_______
Deutsche Bank National Trust Company |
Financial Asset Securities Corp. |
Greenwich Capital Markets, Inc. |
|
|
Re: |
Custodial Agreement, dated as of August 1, 2005, among Deutsche Bank National Trust Company as the Trustee, Option One Mortgage Corporation as Servicer and Wells Fargo Bank, N.A. as the Custodian |
Ladies and Gentlemen:
In accordance with the provisions of Section 3 of the above-referenced Custodial Agreement, the undersigned, as the Custodian, hereby certifies that it is holding the Mortgage Loans identified on the schedule attached hereto for the exclusive benefit of the Trustee pursuant to the terms and conditions of the Custodial Agreement, and it has received a Custodial File with respect to each such Mortgage Loan (other than any Mortgage Loan specifically identified on the exception report attached hereto) and that with respect to each such Mortgage Loan: (i) all documents required to be delivered to it pursuant to Section 2.01 of this Agreement are in its possession, (ii) such documents have been reviewed by it and have not been mutilated, damaged or torn and appear on their face to relate to such Mortgage Loan and (iii) based on its examination and only as to the foregoing, the information set forth in the Mortgage Loan Schedule that corresponds to items (1) and (3) of the definition of “Mortgage Loan Schedule” in the Pooling and Servicing Agreement accurately reflects information set forth in the Custodial File.
The Custodian hereby confirms that it is holding each such Custodial File as agent and bailee of and custodian for the exclusive use and benefit of the Trustee pursuant to the terms of the Custodial Agreement.
Capitalized terms used herein shall have the meaning ascribed to them in the Custodial Agreement.
WELLS FARGO BANK, N.A.
(Custodian)
By:___________________________
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Name: | |
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Title: |
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EXHIBIT 2
FORM OF FINAL TRUST RECEIPT
TRUST RECEIPT # ___
______, 2005
Aggregate Amount of Mortgage Loans: _____
Original Principal Balance of Aggregate Mortgage Loans: __________
Deutsche Bank National Trust Company |
Financial Asset Securities Corp. |
Greenwich Capital Markets, Inc. |
|
|
Re: |
Custodial Agreement, dated as of August 1, 2005, among Deutsche Bank National Trust Company as the Trustee, Option One Mortgage Corporation as Servicer and Wells Fargo Bank, N.A. as the Custodian |
Ladies and Gentlemen:
In accordance with the provisions of Section 4 of the above-referenced Custodial Agreement, the undersigned, as the Custodian, hereby certifies that as to each Mortgage Loan listed on the Mortgage Loan Schedule (other than any Mortgage Loan paid in full or any Mortgage Loan listed on the attachment hereto) it has reviewed the Custodial Files and has determined that (i) all documents required to be delivered to it pursuant to Sections 2(i), (ii), (iii), (iv) and (v) of the Custodial Agreement are in its possession and to the extent provided in the Custodial Files paragraph (v) of Section 2 of the Custodial Agreement are in its possession; (ii) such documents have been reviewed by it and appear regular on their face and relate to such Mortgage Loan; (iii) based on its examination and only as to the foregoing documents, the information set forth in items (1) and (3) of the definition of “Mortgage Loan Schedule” in the Pooling and Servicing Agreement accurately reflects information set forth in the Custodial File; and (iv) each Mortgage Note has been endorsed as provided in Section 2 of the Custodial Agreement and each Mortgage has been assigned in accordance with Section 2 of the Custodial Agreement. The Custodian makes no representations as to (i) the validity, legality, enforceability, sufficiency, due authorization or genuineness of any of the documents contained in each Custodial File or of any of the Mortgage Loans or (ii) the collectability, insurability, effectiveness or suitability of any such Mortgage Loan.
The Custodian hereby confirms that it is holding each such Custodial File as agent and bailee of, and custodian for the exclusive use and benefit, and subject to the sole direction, of the Trustee pursuant to the terms and conditions of the Custodial Agreement.
Capitalized terms used herein shall have the meaning ascribed to them in the Custodial Agreement.
WELLS FARGO BANK, N.A.
(Custodian)
By:___________________________
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Name: |
Title:
EXHIBIT 3
REQUEST FOR RELEASE OF DOCUMENTS
To: |
Wells Fargo Bank, N.A. |
24 Executive Park, Suite 100
Irvine, CA 92614
Attn: Inventory Control
|
Re: |
Custodial Agreement, dated as of August 1, 2005, among Deutsche Bank National Trust Company as the Trustee, Option One Mortgage Corporation as Servicer and Wells Fargo Bank, N.A. as the Custodian |
In connection with the administration of the Mortgage Loans included in the Trust Fund established pursuant to the Pooling and Servicing Agreement dated as of August 1, 2005, among Financial Asset Securities Corp. as Depositor, Option One Mortgage Corporation, as Servicer, and Deutsche Bank National Trust Company, a national banking association, as Trustee and held by you as Custodian pursuant to the above-captioned Custodial Agreement, we request the release, and hereby acknowledge receipt of the Custodial File for the Mortgage Loan described below, for the reason indicated.
Mortgage Loan Number:
Mortgagor Name, Address & Zip Code:
Reason for Requesting Documents (check one):
_______ |
1. |
Mortgage Paid in Full |
_______ |
2. |
Foreclosure |
_______ |
3. |
Substitution |
_______ |
4. |
Other Liquidation (Repurchases, etc.) |
_______ |
5. |
Nonliquidation |
Reason:___________________________ |
Address to which Custodian should
Deliver the Custodial File: |
__________________________________________ |
_________________________________________
__________________________________________
By:_____________________________________
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(authorized signer) |
Issuer:___________________________________
|
Address: |
Date:____________________________________
Custodian
Wells Fargo Bank, N.A.
Please acknowledge the execution of the above request by your signature and date below:
____________________________________ |
_________________ | |
Signature |
Date |
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Documents returned to Custodian:
____________________________________ |
_________________ | |
Custodian |
Date |
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EXHIBIT 4
AUTHORIZED REPRESENTATIVES OF SERVICER
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SPECIMEN SIGNATURE |
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EXHIBIT 5
AUTHORIZED REPRESENTATIVES OF TRUSTEE
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NAME |
SPECIMEN SIGNATURE |
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EXHIBIT 6
AUTHORIZED REPRESENTATIVES OF CUSTODIAN
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SPECIMEN SIGNATURE |
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EXHIBIT 7
SCHEDULE OF MORTGAGE LOANS
EXHIBIT 8
FORM OF RECEIPT OF MORTGAGE NOTE
Financial Asset Securities Corp.
600 Steamboat Road
Greenwich, Connecticut 06830
|
Re: |
Soundivew Home Loan Trust 2005-OPT2, |
Asset-Backed Certificates Series 2005-OPT2
Ladies and Gentlemen:
Pursuant to Section 3 of the Custodial Agreement, dated as of August 1, 2005, among Deutsche Bank National Trust Company as the Trustee, Option One Mortgage Corporation as Servicer and Wells Fargo Bank, N.A. as the Custodian, we hereby acknowledge the receipt of the original Mortgage Notes (a copy of which is attached hereto as Exhibit 1) with any exceptions thereto listed on Exhibit 2.
WELLS FARGO BANK, N.A.
By:
Name:
Title:
EXHIBIT H
FORM OF LOST NOTE AFFIDAVIT
Personally appeared before me the undersigned authority to administer oaths, __________________ who first being duly sworn deposes and says: Deponent is __________________________ of ____________________________, successor by merger to _________________________ (“Seller”) and who has personal knowledge of the facts set out in this affidavit.
On _________________________________, _________________________________ did execute and deliver a promissory note in the principal amount of $____________________.
That said note has been misplaced or lost through causes unknown and is presently lost and unavailable after diligent search has been made. Seller’s records show that an amount of principal and interest on said note is still presently outstanding, due, and unpaid, and Seller is still owner and holder in due course of said lost note.
Seller executes this Affidavit for the purpose of inducing Deutsche Bank National Trust Company, as trustee on behalf of Soundview Home Loan Trust 2005-OPT2, Asset-Backed Certificates Series 2005-OPT2, to accept the transfer of the above described loan from Seller.
Seller agrees to indemnify Deutsche Bank National Trust Company and Financial Asset Securities Corp. harmless for any losses incurred by such parties resulting from the above described promissory note has been lost or misplaced.
By: |
_______________________ |
_______________________
STATE OF |
) |
|
) SS: |
COUNTY OF |
) |
On this ______ day of ______________, 20_, before me, a Notary Public, in and for said County and State, appeared , who acknowledged the extension of the foregoing and who, having been duly sworn, states that any representations therein contained are true.
Witness my hand and Notarial Seal this _________ day of 20__.
____________________________
____________________________
My commission expires __________________________.
EXHIBIT I
FORM OF LIMITED POWER OF ATTORNEY
KNOW ALL MEN BY THESE PRESENTS, that [NAME OF MORTGAGEE, ASSIGNEE OR LAST ENDORSEE, AS APPLICABLE], [a ___________________ corporation][a national banking organization], having its principal place of business at __________________________, (the “Undersigned”), pursuant to that Pooling and Servicing Agreement (the “Pooling and Servicing Agreement”) among Financial Asset Securities Corp. (the “Owner”), Deutsche Bank National Trust Company and Option One Mortgage Corporation (“OOMC”), hereby constitutes and appoints OOMC, by and through OOMC’s officers, the Undersigned’s true and lawful Attorney-in-Fact, in the Undersigned’s name, place and stead, as their interests may appear, and for the Undersigned’s respective benefit, in connection with all Mortgage Loans serviced by OOMC pursuant to the Pooling and Servicing Agreement, for the purpose of performing all acts and executing all documents in the name of the Undersigned as may be customarily and reasonably necessary and appropriate to effectuate the following enumerated transactions in respect of any of the mortgages, deeds of trust or security instrument (each a “Mortgage” or a “Deed of Trust” respectively) and promissory notes secured thereby (each a “Mortgage Note”) for which the Undersigned is acting as Servicer pursuant to the Pooling and Servicing Agreement (whether the Undersigned is named therein as mortgagee or beneficiary or has become mortgagee by virtue of endorsement of the Mortgage Note secured by any such Mortgage or Deed of Trust) all subject to the terms of the related Pooling and Servicing Agreement.
This appointment shall apply to the following enumerated transactions only:
1. The modification or re-recording of a Mortgage or Deed of Trust, where said modification or re-recording is for the purpose of correcting the Mortgage or Deed of Trust to conform same to the original intent of the parties thereto or to correct title errors discovered after such title insurance was issued and said modification or re-recording, in either instance, does not adversely affect the lien of the Mortgage or Deed of Trust as insured.
2. The subordination of the lien of a Mortgage or Deed of Trust to an easement in favor of a public utility company or a governmental agency or authority thereunder with powers of eminent domain; this section shall include, without limitation, the execution of partial satisfaction/release, partial reconveyances or the execution of requests to trustees to accomplish same.
3. The conveyance of the properties to the mortgage insurer, or the closing of the title to the property to be acquired as real estate owned, or conveyance of title to real estate owned.
4. |
The completion of loan assumption agreements. |
5. The full satisfaction/release of a Mortgage or Deed of Trust or full reconveyance upon payment and discharge of all sums secured thereby, including, without limitation, cancellation of the related Mortgage Note.
6. The assignment of any Mortgage or Deed of Trust and the related Mortgage Note, in connection with the repurchase of the mortgage loan secured and evidenced thereby.
7. The full assignment of a Mortgage or Deed of Trust upon payment and discharge of all sums secured thereby in conjunction with the refinancing thereof, including, without limitation, the assignment of the related Mortgage Note.
8. With respect to a Mortgage or Deed of Trust, the foreclosure, the taking of a deed in lieu of foreclosure, or the completion of judicial or non-judicial foreclosure or termination, cancellation or rescission of any such foreclosure, including, without limitation, any and all of the following acts:
a) the substitution of trustee(s) serving under a Deed of Trust, in accordance with state law and the Deed of Trust;
b) |
the preparation and issuance of statements of breach or non-performance; | |||
c) |
the preparation and filing of notices of default and/or notices of sale; |
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d) |
the cancellation/rescission of notices of default and/or notices of sale; |
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e) |
the taking of a deed in lieu of foreclosure; and |
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f) the preparation and execution of such other documents and performance of such other actions as may be necessary under the terms of the Mortgage, Deed of Trust or state law to expeditiously complete said transactions in paragraphs 8(a) through 8(e) above.
9. The full assignment of a Mortgage or Deed of Trust upon sale of a loan pursuant to a mortgage loan sale agreement for the sale of a loan or pool of loans, including, without limitation, the assignment of the related Mortgage Note.
The Undersigned gives said Attorney-in-Fact full power and authority to execute such instruments and to do and perform all and every act and thing necessary and proper to carry into effect the power or powers granted by or under this Limited Power of Attorney, each subject to the terms and conditions set forth in the related Pooling and Servicing Agreement and in accordance with the standard of care applicable to servicers in the Pooling and Servicing Agreement as fully as the undersigned might or could do, and hereby does ratify and confirm to all that said Attorney-in-Fact shall lawfully do or cause to be done by authority hereof. This Limited Power of Attorney shall be effective as of [SERVICING TRANSFER EFFECTIVE DATE].
Nothing contained herein shall (i) limit in any manner any indemnification provided by OOMC to the Owner under the Pooling and Servicing Agreement, or (ii) be construed to grant OOMC the power to initiate or defend any suit, litigation or proceeding in the name of the Undersigned except as specifically provided for herein or under the Pooling and Servicing Agreement.
The Owner hereby agrees to indemnify and hold the Undersigned and its directors, officers, employees and agents harmless from and against any and all liabilities, obligations, losses, damages, penalties, actions, judgments, suits, costs, expenses or disbursements of any kind or nature whatsoever incurred by reason or result of or in connection with the exercise by OOMC of the powers granted to it hereunder. The foregoing indemnity shall survive the termination of this Limited Power of Attorney and the Pooling and Servicing Agreement or the earlier resignation or removal of the Undersigned under the Pooling and Servicing Agreement.
Any third party without actual notice of fact to the contrary may rely upon the exercise of the power granted under this Limited Power of Attorney; and may be satisfied that this Limited Power of Attorney shall continue in full force and effect and has not been revoked unless an instrument of revocation has been made in writing by the undersigned, and such third party put on notice thereof. This Limited Power of Attorney shall be in addition to and shall not revoke or in any way limit the authority granted by any previous power of attorney executed by the Undersigned.
IN WITNESS WHEREOF, ____________________ pursuant to the Pooling and Servicing Agreement, has caused its corporate seal to be hereto affixed and these presents to be signed and acknowledged in its name and behalf by ______________________, its duly elected and authorized _________________________ this ___ day of _________________, 2005.
By:______________________________
Name:___________________________
Title:____________________________
Acknowledged and Agreed
OPTION ONE MORTGAGE CORPORATION
By:_________________________
Name:
Title:
EXHIBIT J
FORM OF INVESTMENT LETTER [NON-RULE 144A]
[DATE]
Financial Asset Securities Corp.
600 Steamboat Road
Greenwich, Connecticut 06830
Deutsche Bank National Trust Company
|
Re: |
Soundview Home Loan Trust 2005-OPT2, |
Asset-Backed Certificates Series 2005-OPT2
Ladies and Gentlemen:
In connection with our acquisition of the above-captioned Certificates, we certify that (a) we understand that the Certificates are not being registered under the Securities Act of 1933, as amended (the “Act”), or any state securities laws and are being transferred to us in a transaction that is exempt from the registration requirements of the Act and any such laws, (b) we are an “accredited investor,” as defined in Regulation D under the Act, and have such knowledge and experience in financial and business matters that we are capable of evaluating the merits and risks of investments in the Certificates, (c) we have had the opportunity to ask questions of and receive answers from the Depositor concerning the purchase of the Certificates and all matters relating thereto or any additional information deemed necessary to our decision to purchase the Certificates, (d) we are not an employee benefit plan that is subject to the Employee Retirement Income Security Act of 1974, as amended, or a plan that is subject to Section 4975 of the Internal Revenue Code of 1986, as amended, nor are we acting on behalf of any such plan, (e) we are acquiring the Certificates for investment for our own account and not with a view to any distribution of such Certificates (but without prejudice to our right at all times to sell or otherwise dispose of the Certificates in accordance with clause (g) below), (f) we have not offered or sold any Certificates to, or solicited offers to buy any Certificates from, any person, or otherwise approached or negotiated with any person with respect thereto, or taken any other action which would result in a violation of Section 5 of the Act, and (g) we will not sell, transfer or otherwise dispose of any Certificates unless (1) such sale, transfer or other disposition is made pursuant to an effective registration statement under the Act or is exempt from such registration requirements, and if requested, we will at our expense provide an opinion of counsel satisfactory to the addressees of this Certificate that such sale, transfer or other disposition may be made pursuant to an exemption from the Act, (2) the purchaser or transferee of such Certificate has executed and delivered to you a certificate to substantially the same effect as this certificate, and (3) the purchaser or transferee has otherwise complied with any conditions for transfer set forth in the Pooling and Servicing Agreement.
Very truly yours,
[NAME OF TRANSFEREE]
By:
|
Authorized Officer |
FORM OF RULE 144A INVESTMENT LETTER
[DATE]
Financial Asset Securities Corp.
600 Steamboat Road
Greenwich, Connecticut 06830
Deutsche Bank National Trust Company
1761 East St. Andrew Place
Santa Ana, California 92705-4934
|
Re: |
Soundview Home Loan Trust 2005-OPT2, |
Asset-Backed Certificates Series 2005-OPT2
Ladies and Gentlemen:
In connection with our acquisition of the above Certificates we certify that (a) we understand that the Certificates are not being registered under the Securities Act of 1933, as amended (the “Act”), or any state securities laws and are being transferred to us in a transaction that is exempt from the registration requirements of the Act and any such laws, (b) we have had the opportunity to ask questions of and receive answers from the Depositor concerning the purchase of the Certificates and all matters relating thereto or any additional information deemed necessary to our decision to purchase the Certificates, (c) we are not an employee benefit plan that is subject to the Employee Retirement Income Security Act of 1974, as amended, or a plan that is subject to Section 4975 of the Internal Revenue Code of 1986, as amended, nor are we acting on behalf of any such plan, (d) we have not, nor has anyone acting on our behalf offered, transferred, pledged, sold or otherwise disposed of the Certificates, any interest in the Certificates or any other similar security to, or solicited any offer to buy or accept a transfer, pledge or other disposition of the Certificates, any interest in the Certificates or any other similar security from, or otherwise approached or negotiated with respect to the Certificates, any interest in the Certificates 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 Certificates under the Securities Act or that would render the disposition of the Certificates a violation of Section 5 of the Securities Act or require registration pursuant thereto, nor will act, nor has authorized or will authorize any person to act, in such manner with respect to the Certificates, (e) we are a “qualified institutional buyer” as that term is defined in Rule 144A under the Securities Act and have completed either of the forms of certification to that effect attached hereto as Annex 1 or Annex 2. We are aware that the sale to us is being made in reliance on Rule 144A. We are acquiring the Certificates for our own account or for resale pursuant to Rule 144A and further, understand that such Certificates 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 Securities Act.
Very truly yours,
[NAME OF TRANSFEREE]
By:
|
Authorized Officer |
ANNEX 1 TO EXHIBIT J
QUALIFIED INSTITUTIONAL BUYER STATUS UNDER SEC RULE 144A
[For Transferees Other Than Registered Investment Companies]
The undersigned (the “Buyer”) hereby certifies as follows to the parties listed in the Rule 144A Transferee Certificate to which this certification relates with respect to the Certificates described therein:
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, as amended (“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 of 1986, as amended.
_________ 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, a copy of which is attached hereto.
_________________________
Buyer must own and/or invest on a discretionary basis at least $100,000,000 in securities unless Buyer is a dealer, and, in that case, Buyer must own and/or invest on a discretionary basis at least $10,000,000 in securities.
_________ 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, 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 Advisor. The Buyer is an investment advisor registered under the Investment Advisors Act of 1940.
_________ Small Business Investment Company. 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. Buyer is a business development company as defined in Section 202(a)(22) of the Investment Advisors Act of 1940.
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) securities issued or guaranteed by the U.S. or any instrumentality thereof, (iv) bank deposit notes and certificates of deposit (v) loan participations, (vi) repurchase agreements, (vii) securities owned but subject to a repurchase agreement and (viii) 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, except (i) where the Buyer reports its securities holdings in its financial statements on the basis of their market value, and (ii) no current information with respect to the cost of those securities has been published. If clause (ii) in the preceding sentence applies, the securities may be valued at market. 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, as amended.
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.
6. Until the date of purchase of the Rule 144A Securities, 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 the Certificates will constitute a reaffirmation of this certification as of the date of such purchase. In addition, if the Buyer is a bank or savings and loan is provided above, the Buyer agrees that it will furnish to such parties updated annual financial statements promptly after they become available.
|
Print Name of Buyer |
By:
Name:
Title:
Date:
ANNEX 2 TO EXHIBIT J
QUALIFIED INSTITUTIONAL BUYER STATUS UNDER SEC RULE 144A
[For Transferees That are Registered Investment Companies]
The undersigned (the “Buyer”) hereby certifies as follows to the parties listed in the Rule 144A Transferee Certificate to which this certification relates with respect to the Certificates described therein:
1. As 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, as amended (“Rule 144A”) because Buyer is part of a Family of Investment Companies (as defined below), is such an officer of the Adviser.
2. In 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, as amended 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, except (i) where the Buyer or the Buyers Family of Investment Companies reports its securities holdings in its financial statements on the basis of their market value, and (ii) no current information with respect to the cost of those securities has been published. If clause (ii) in the preceding sentence applies, the securities may be valued at market.
_________ 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) securities issued or guaranteed by the U.S. or any instrumentality thereof, (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.
5. The Buyer is familiar with Rule 144A and understands that the parties listed in the Rule 144A Transferee Certificate to which this certification relates 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. Until the date of purchase of the Certificates, the undersigned will notify the parties listed in the Rule 144A Transferee Certificate to which this certification relates of any changes in the information and conclusions herein. Until such notice is given, the Buyer’s purchase of the Certificates will constitute a reaffirmation of this certification by the undersigned as of the date of such purchase.
Print Name of Buyer or Adviser
By:
Name:
Title:
IF AN ADVISER:
Print Name of Buyer
Date:
EXHIBIT K
FORM OF TRANSFER AFFIDAVIT FOR RESIDUAL CERTIFICATES
PURSUANT TO SECTION 5.02(D)
SOUNDVIEW HOME LOAN TRUST 2005-OPT2
ASSET-BACKED CERTIFICATES, SERIES 2005-OPT2
STATE OF |
) |
|
) ss: |
COUNTY OF |
) |
The undersigned, being first duly sworn, deposes and says as follows:
1. The undersigned is an officer of, the proposed Transferee of an Ownership Interest in a Residual Certificate (the “Certificate”) issued pursuant to the Pooling and Servicing Agreement dated as of August 1, 2005 (the “Agreement”), among Financial Asset Securities Corp., as depositor (the “Depositor”), Option One Mortgage Corporation, as servicer (the “Servicer”) and Deutsche Bank National Trust Company, as trustee (the “Trustee”). Capitalized terms used, but not defined herein or in Exhibit 1 hereto, shall have the meanings ascribed to such terms in the Agreement. The Transferee has authorized the undersigned to make this affidavit on behalf of the Transferee for the benefit of the Depositor and the Trustee.
2. The Transferee is, as of the date hereof, and will be, as of the date of the Transfer, a Permitted Transferee. The Transferee is acquiring its Ownership Interest in the Certificate for its own account. The Transferee has no knowledge that any such affidavit is false.
3. The Transferee has been advised of, and understands that (i) a tax will be imposed on Transfers of the Certificate to Persons that are not Permitted Transferees; (ii) such tax will be imposed on the transferor, or, if such Transfer is through an agent (which includes a broker, nominee or middleman) for a Person that is not a Permitted Transferee, on the agent; and (iii) the Person otherwise liable for the tax shall be relieved of liability for the tax if the subsequent Transferee furnished to such Person an affidavit that such subsequent Transferee is a Permitted Transferee and, at the time of Transfer, such Person does not have actual knowledge that the affidavit is false.
4. The Transferee has been advised of, and understands that a tax will be imposed on a “pass-through entity” holding the Certificate if at any time during the taxable year of the pass-through entity a Person that is not a Permitted Transferee is the record holder of an interest in such entity. The Transferee understands that such tax will not be imposed for any period with respect to which the record holder furnishes to the pass-through entity an affidavit that such record holder is a Permitted Transferee and the pass-through entity does not have actual knowledge that such affidavit is false. (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 and, except as may be provided in Treasury Regulations, persons holding interests in pass-through entities as a nominee for another Person.)
5. The Transferee has reviewed the provisions of Section 5.02(d) of the Agreement and understands the legal consequences of the acquisition of an Ownership Interest in the Certificate including, without limitation, the restrictions on subsequent Transfers and the provisions regarding voiding the Transfer and mandatory sales. The Transferee expressly agrees to be bound by and to abide by the provisions of Section 5.02(d) of the Agreement and the restrictions noted on the face of the Certificate. The Transferee understands and agrees that any breach of any of the representations included herein shall render the Transfer to the Transferee contemplated hereby null and void.
6. The Transferee agrees to require a Transfer Affidavit from any Person to whom the Transferee attempts to Transfer its Ownership Interest in the Certificate, and in connection with any Transfer by a Person for whom the Transferee is acting as nominee, trustee or agent, and the Transferee will not Transfer its Ownership Interest or cause any Ownership Interest to be Transferred to any Person that the Transferee knows is not a Permitted Transferee. In connection with any such Transfer by the Transferee, the Transferee agrees to deliver to the Trustee a certificate substantially in the form set forth as Exhibit L to the Agreement (a “Transferor Certificate”) to the effect that such Transferee has no actual knowledge that the Person to which the Transfer is to be made is not a Permitted Transferee.
7. The Transferee has historically paid its debts as they have come due, intends to pay its debts as they come due in the future, and understands that the taxes payable with respect to the Certificate may exceed the cash flow with respect thereto in some or all periods and intends to pay such taxes as they become due. The Transferee does not have the intention to impede the assessment or collection of any tax legally required to be paid with respect to the Certificate.
|
8. |
The Transferee’s taxpayer identification number is ___________. |
|
|
9. |
The Transferee is a U.S. Person as defined in Code Section 7701(a)(30). |
10. The Transferee is aware that the Certificate may be a “noneconomic residual interest” within the meaning of proposed 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.
11. The Transferee will not cause income from the Certificate to be attributable to a foreign permanent establishment or fixed base, within the meaning of an applicable income tax treaty, of the Transferee or any other U.S. person.
|
12. |
Check one of the following: |
[_] The present value of the anticipated tax liabilities associated with holding the Certificate, as applicable, does not exceed the sum of:
|
(i) |
the present value of any consideration given to the Transferee to acquire such Certificate; |
|
(ii) |
the present value of the expected future distributions on such Certificate; and |
|
(iii) |
the present value of the anticipated tax savings associated with holding such Certificate as the related REMIC generates losses. |
For purposes of this calculation, (i) the Transferee is assumed to pay tax at the highest rate currently specified in Section 11(b) of the Code (but the tax rate in Section 55(b)(1)(B) of the Code may be used in lieu of the highest rate specified in Section 11(b) of the Code if the Transferee has been subject to the alternative minimum tax under Section 55 of the Code in the preceding two years and will compute its taxable income in the current taxable year using the alternative minimum tax rate) and (ii) present values are computed using a discount rate equal to the short-term Federal rate prescribed by Section 1274(d) of the Code for the month of the transfer and the compounding period used by the Transferee.
[_] The transfer of the Certificate complies with U.S. Treasury Regulations Sections 1.860E-1(c)(5) and (6) and, accordingly,
|
(i) |
the Transferee is an “eligible corporation,” as defined in U.S. Treasury Regulations Section 1.860E-1(c)(6)(i), as to which income from the Certificate will only be taxed in the United States; |
|
(ii) |
at the time of the transfer, and at the close of the Transferee’s two fiscal years preceding the year of the transfer, the Transferee had gross assets for financial reporting purposes (excluding any obligation of a person related to the Transferee within the meaning of U.S. Treasury Regulations Section 1.860E-1(c)(6)(ii)) in excess of $100 million and net assets in excess of $10 million; |
|
(iii) |
the Transferee will transfer the Certificate only to another “eligible corporation,” as defined in U.S. Treasury Regulations Section 1.860E-1(c)(6)(i), in a transaction that satisfies the requirements of Sections 1.860E-1(c)(4)(i), (ii) and (iii) and Section 1.860E-1(c)(5) of the U.S. Treasury Regulations; and |
|
(iv) |
the Transferee determined the consideration paid to it to acquire the Certificate based on reasonable market assumptions (including, but not limited to, borrowing and investment rates, prepayment and loss assumptions, expense and reinvestment assumptions, tax rates and other factors specific to the Transferee) that it has determined in good faith. |
|
[_] |
None of the above. |
13. The Transferee is not an employee benefit plan that is subject to Title I of ERISA or a plan that is subject to Section 4975 of the Code or a plan subject to any Federal, state or local law that is substantially similar to Title I of ERISA or Section 4975 of the Code, and the Transferee is not acting on behalf of or investing plan assets of such a plan.
IN WITNESS WHEREOF, the Transferee has caused this instrument to be executed on its behalf, pursuant to authority of its Board of Directors, by its duly authorized officer and its corporate seal to be hereunto affixed, duly attested, this day of , 20 .
[NAME OF TRANSFEREE]
By:
Name:
Title:
[Corporate Seal]
ATTEST:
[Assistant] Secretary
Personally appeared before me the above-named __________, known or proved to me to be the same person who executed the foregoing instrument and to be the ___________ of the Transferee, and acknowledged that he executed the same as his free act and deed and the free act and deed of the Transferee.
|
Subscribed and sworn before me this |
day of |
, 20 . |
NOTARY PUBLIC
My Commission expires the __ day
of _________, 20__
EXHIBIT L
FORM OF TRANSFEROR CERTIFICATE
[DATE]
Financial Asset Securities Corp.
600 Steamboat Road
Greenwich, Connecticut 06830
|
Re: |
Soundview Home Loan Trust 2005-OPT2, |
Asset-Backed Certificates Series 2005-OPT2
Ladies and Gentlemen:
In connection with our disposition of the above Certificates we certify that (a) we understand that the Certificates have not been registered under the Securities Act of 1933, as amended (the “Act”), and are being disposed by us in a transaction that is exempt from the registration requirements of the Act, (b) we have not offered or sold any Certificates to, or solicited offers to buy any Certificates from, any person, or otherwise approached or negotiated with any person with respect thereto, in a manner that would be deemed, or taken any other action which would result in, a violation of Section 5 of the Act, (c) to the extent we are disposing of a Class o Certificate, we have no knowledge the Transferee is not a Permitted Transferee and (d) no purpose of the proposed disposition of a Class o Certificate is to impede the assessment or collection of tax.
Very truly yours,
TRANSFEROR
By:
Name:
Title:
EXHIBIT M
FORM OF ERISA REPRESENTATION LETTER
_____________, 20__
Financial Asset Securities Corp. |
Deutsche Bank National Trust Company |
|
Re: |
Soundview Home Loan Trust 2005-OPT2, |
Asset-Backed Certificates Series 2005-OPT2
Dear Sirs:
_______________________ (the “Transferee”) intends to acquire from _____________________ (the “Transferor”) $____________ Initial Certificate Principal Balance Soundview Home Loan Trust 2005-OPT2, Asset-Backed Certificates Series 2005-OPT2, Class [C][P][R[-X]] (the “Certificates”), issued pursuant to a Pooling and Servicing Agreement (the “Pooling and Servicing Agreement”) dated as of August 1, 2005 among Financial Asset Securities Corp. as depositor (the “Depositor”), Option One Mortgage Corporation as servicer (the “Servicer”) and Deutsche Bank National Trust Company as trustee (the “Trustee”). Capitalized terms used herein and not otherwise defined shall have the meanings assigned thereto in the Pooling and Servicing Agreement. The Transferee hereby certifies, represents and warrants to, and covenants with the Depositor, the Trustee and the Servicer the following:
The Certificates (i) are not being acquired by, and will not be transferred to, any employee benefit plan within the meaning of section 3(3) of the Employee Retirement Income Security Act of 1974, as amended (“ERISA”), or other retirement arrangement, including individual retirement accounts and annuities, Keogh plans and bank collective investment funds and insurance company general or separate accounts in which such plans, accounts or arrangements are invested, that is subject to Section 406 of ERISA or Section 4975 of the Internal Revenue Code of 1986 (the “Code”) (any of the foregoing, a “Plan”), (ii) are not being acquired with “plan assets” of a Plan within the meaning of the Department of Labor (“DOL”) regulation, 29 C.F.R.ss.2510.3-101, and (iii) will not be transferred to any entity that is deemed to be investing in plan assets within the meaning of the DOL regulation at 29 C.F.R.ss. 2510.3-101.
Very truly yours,
[Transferee]
By:______________________________
Name:
Title:
EXHIBIT N-1
FORM CERTIFICATION TO BE PROVIDED BY THE DEPOSITOR WITH FORM 10-K
|
Re: |
Soundview Home Loan Trust, Series 2005-OPT2 |
Asset Backed Certificates, Series 2005-OPT2
I, [identify the certifying individual], certify that:
l. I have reviewed this annual report on Form 10-K, and all reports on Form 8-K containing Distribution Date reports filed in respect of periods included in the year covered by this annual report, of Financial Asset Securities Corp. (the “Registrant”);
2. Based on my knowledge, the information in these reports, taken as a whole, does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading as of the last day of the period covered by this annual report;
3. Based on my knowledge, the servicing information required to be provided to the Trustee by the Servicer under the Pooling and Servicing Agreement is included in these reports;
4. I am responsible for reviewing the activities performed by the Servicer under the Pooling and Servicing Agreement and based upon the review required under the Pooling and Servicing Agreement, and except as disclosed in the report, the Servicer has fulfilled its obligations under the Pooling and Servicing Agreement; and
5. I have disclosed to the Registrant’s certified public accountants all significant deficiencies relating to the Servicer’s compliance with the minimum servicing standards in accordance with a review conducted in compliance with the Uniform Single Attestation Program for Mortgage Bankers or similar standard as set forth in the Pooling and Servicing Agreement.
Capitalized terms used but not defined herein have the meanings ascribed to them in the Pooling and Servicing Agreement, dated August 1, 2005 (the “Pooling and Servicing Agreement”), among the Registrant as Depositor, Option One Mortgage Corporation as servicer and Deutsche Bank National Trust Company as trustee.
FINANCIAL ASSET SECURITIES CORP.
By:______________________________
Name:
Title:
Date:
EXHIBIT N-2
FORM CERTIFICATION TO BE
PROVIDED TO DEPOSITOR BY THE TRUSTEE
|
Re: |
Soundview Home Loan Trust 2005-OPT2 (the “Trust”) |
Asset-Backed Certificates, Series 2005-OPT2
I, [identify the certifying individual], a [title] of Deutsche Bank National Trust Company, as Trustee of the Trust, hereby certify to Financial Asset Securities Corp. (the “Depositor”), and its officers, directors and affiliates, and with the knowledge and intent that they will rely upon this certification, that:
1. I have reviewed the annual report on Form 10-K for the fiscal year [___], and all reports on Form 8-K containing distribution reports filed in respect of periods included in the year covered by that annual report, of the Depositor relating to the above-referenced trust;
2. Based on my knowledge, the information in these distribution reports prepared by the Trustee, taken as a whole, does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading as of the last day of the period covered by that annual report; and
3. Based on my knowledge, the distribution information required to be provided by the Trustee under the Pooling and Servicing Agreement is included in these reports.
Capitalized terms used but not defined herein have the meanings ascribed to them in the Pooling and Servicing Agreement, dated August 1, 2005 (the “Pooling and Servicing Agreement”), among the Depositor as depositor, Option One Mortgage Corporation as servicer and Deutsche Bank National Trust Company as trustee.
DEUTSCHE BANK NATIONAL TRUST COMPANY, as Trustee
By:______________________________
Name:
Title:
Date:
EXHIBIT N-3
FORM CERTIFICATION TO BE
PROVIDED TO DEPOSITOR BY THE SERVICER
|
Re: |
Soundview Home Loan Trust, Series 2005-OPT2 |
Asset Backed Certificates, Series 2005-OPT2
I, [identify the certifying individual], certify to Financial Asset Securities Corp. (the “Depositor”), the Trustee and their respective officers, directors and affiliates, and with the knowledge and intent that they will rely upon this certification, that:
(i) Based on my knowledge, the information in the Annual Statement of Compliance, the Annual Independent Public Accountant's Servicing Report and all servicing reports, officer's certificates and other information relating to the servicing of the Mortgage Loans taken as a whole, does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading as of the date of this certification;
(ii) The servicing information required to be provided by the Servicer under the Pooling and Servicing Agreement has been provided to the Depositor and the Trustee;
(iii) I am is responsible for reviewing the activities performed by the Servicer under the Pooling and Servicing Agreement and based upon the review required by the Pooling and Servicing Agreement, and except as disclosed in the Annual Statement of Compliance or the Annual Independent Public Accountant's Servicing Report, the Servicer has, as of the date of this certification fulfilled its obligations under the Pooling and Servicing Agreement; and
(iv) Such officer has disclosed to the Depositor and the Trustee all significant deficiencies relating to the Servicer’s compliance with the minimum servicing standards in accordance with a review conducted in compliance with the Uniform Single Attestation Program for Mortgage Bankers or similar standard as set forth in the Pooling and Servicing Agreement.
Capitalized terms used but not defined herein have the meanings ascribed to them in the
Pooling and Servicing Agreement, dated August 1, 2005 (the “Pooling and Servicing Agreement”), among the Depositor, Option One Mortgage Corporation as servicer and Deutsche Bank National Trust Company as trustee.
OPTION ONE MORTGAGE CORPORATION
By:______________________________
Name:
Title:
Date:
EXHIBIT O
FORM OF CAP CONTRACT
[LETTERHEAD OF THE BANK OF NEW YORK]
Dated: August 12, 2005
Rate Cap Transaction
Re: BNY Reference No. 36386
Ladies and Gentlemen:
The purpose of this letter agreement (“Agreement”) is to confirm the terms and conditions of the rate cap Transaction entered into on the Trade Date specified below (the “Transaction”) between The Bank of New York (“BNY”), a trust company duly organized and existing under the laws of the State of New York and Deutsche Bank National Trust Company, not individually, but solely as Trustee on behalf of Soundview Home Loan Trust 2005-OPT2, Asset-Backed Certificates, Series 2005-OPT2 (the “Counterparty”). This Agreement, which evidences a complete and binding agreement between you and us to enter into the Transaction on the terms set forth below, constitutes a “Confirmation” as referred to in the “ISDA Form Master Agreement” (as defined below), as well as a “Schedule” as referred to in the ISDA Form Master Agreement.
1. This Agreement is subject to the 2000 ISDA Definitions (the “Definitions”), as published by the International Swaps and Derivatives Association, Inc. (“ISDA”). You and we have agreed to enter into this Agreement in lieu of negotiating a Schedule to the 1992 ISDA Master Agreement (Multicurrency—Cross Border) form (the “ISDA Form Master Agreement”) but, rather, an ISDA Form Master Agreement shall be deemed to have been executed by you and us on the date we entered into the Transaction. In the event of any inconsistency between the provisions of this Agreement and the Definitions or the ISDA Form Master Agreement, this Agreement shall prevail for purposes of the Transaction.
2. The terms of the particular Transaction to which this Confirmation relates are as follows:
|
Type of Transaction: |
Rate Cap |
|
Notional Amount: |
With respect to any Calculation Period, the lesser of: |
(i) the amount set forth on Schedule I attached hereto for such Calculation Period and (ii) the aggregate principal balance of the Offered Certificates (as defined in the Pooling and Servicing Agreement dated as of August 1, 2005 among Financial Asset Securities Corp., as Depositor, Option One Mortgage Corporation as Servicer, and Deutsche Bank National Trust Company, as Trustee (the “Pooling and Servicing Agreement”)) for such Floating Rate Payer Payment Date.
The aggregate Certificate Principal Balance of the Offered Certificates shall be published on the monthly statement to certificateholders generated by Deutsche Bank National Trust Company on the Deutsche Bank National Trust Company internet website xxxxx://xxx.xxx.xx.xxx/xxxx under the column heading Current Principal Balance. If such report does not appear on the internet website referenced above, the Certificate Principal Balance of the Offered Certificates can be obtained by contacting the trustee's investor relations desk at (800) 735-7777.
For avoidance of doubt, CUSIP Numbers and the Issue Descriptions of the Offered Certificates are set forth on Annex A attached hereto.
|
Trade Date: |
August 12, 2005 |
|
Effective Date: |
September 25, 2005 |
|
Termination Date: |
December 25, 2008, subject to adjustment in accordance with the Following Business Day Convention |
Fixed Amounts:
|
Fixed Amount Payer: |
Counterparty |
|
Fixed Amount: |
USD 203,000.00 |
|
Fixed Amount Payment Date: |
August 18, 2005 |
Floating Amounts:
|
Floating Rate Payer : |
BNY |
|
Cap Rate : |
For each Calculation Period, as set forth for such period on Schedule I attached hereto. |
Floating Rate Payer
|
Period End Dates: |
The 25th calendar day of each month during the Term of this Transaction, commencing October 25, 2005, and ending on the Termination Date, subject to adjustment in accordance with the Following Business Day Convention. |
Floating Rate Payer
|
Payment Dates: |
Early Payment shall be applicable. The Floating Rate |
Payer Payment Date shall be one (1) Business Day preceding each Floating Rate Payer Period End Date.
|
Floating Rate Option: |
USD-LIBOR-BBA; provided, however, if the Floating Rate Option for a Calculation Period is greater than 10.25% then the Floating Rate Option for such Calculation Period shall be deemed equal to 10.25%. |
|
Designated Maturity: |
One month |
Floating Rate Day
|
Count Fraction: |
Actual/360 |
|
Reset Dates: |
The first day of each Calculation Period |
|
Compounding: |
Inapplicable |
|
Business Days: |
New York |
|
Business Day Convention: |
Following |
|
Calculation Agent: |
BNY |
Other: |
Pursuant to the Pooling and Servicing Agreement, Greenwich Capital Financial Products, Inc. (GCFP) or its Affiliates (as defined in the Pooling and Servicing Agreement) (collectively, "Greenwich") shall remit to Counterparty any amounts of cap proceeds included in amounts received by Greenwich under the Pooling and Servicing Agreement in respect of the Floating Rate Certificates owned by Greenwich. Counterparty shall, to the extent that it receives any such amounts from Greenwich pursuant to the Pooling and Servicing Agreement, provide notice to BNY and remit such amounts to BNY on such business day or, if not received in time to remit to BNY on the Following business day. For purposes of this Agreement, Counterparty shall be able to rely conclusively that each amount received from Greenwich pursuant to the Pooling and Servicing Agreement with respect to the foregoing sentences shall be the correct amount. |
For purposes of determining the maximum payment obligation and the net effective notional amount that BNY is ultimately subject to hereunder after giving effect to the language in the preceding paragraph, the Notional Amount for each Calculation Period shall be the lesser of (i) the amount set forth for such period in Schedule I attached hereto and (ii) the aggregate Certificate Principal Balance of the Floating Rate Certificates as of the first day of the calendar month in which the Calculation Period ends, in each case reduced by the aggregate Certificate Principal Balance of the Floating Rate Certificates owned by Greenwich as of the Record Date of such Certificates immediately preceding the related Floating Rate Payer Payment Date.
3. |
Additional Provisions: |
Each party hereto is hereby advised and acknowledges that the other party has engaged in (or refrained from engaging in) substantial financial transactions and has taken (or refrained from taking) other material actions in reliance upon the entry by the parties into the Transaction being entered into on the terms and conditions set forth herein.
4. |
Provisions Deemed Incorporated in a Schedule to the Master Agreement: |
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1) |
The parties agree that subparagraph (ii) of Section 2(c) of the ISDA Form Master Agreement will apply to any Transaction. |
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2) |
Termination Provisions. Subject to the provisions of paragraph 12 below, for purposes of the Master Agreement: |
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(a) |
“Specified Entity” is not applicable to BNY or Counterparty for any purpose. |
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(b) |
“Breach of Agreement” provision of Section 5(a)(ii) will not apply to BNY or Counterparty. |
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(c) |
“Credit Support Default” provisions of Section 5(a)(iii) will not apply to BNY or Counterparty. |
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(d) |
“Misrepresentation” provisions of Section 5(a)(iv) will not apply to BNY or Counterparty. |
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(e) |
“Default under Specified Transaction” is not applicable to BNY or Counterparty for any purpose, and, accordingly, Section 5(a)(v) shall not apply to BNY or Counterparty. |
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(f) |
The “Cross Default” provisions of Section 5(a)(vi) will not apply to BNY or to Counterparty. |
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(g) |
The “Bankruptcy” provision of Section 5(a)(vii)(2) will not apply to Counterparty. |
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(h) |
The “Credit Event Upon Merger” provisions of Section 5(b)(iv) will not apply to BNY or Counterparty. |
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(i) |
The “Automatic Early Termination” provision of Section 6(a) will not apply to BNY or to Counterparty. |
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(j) |
Payments on Early Termination. For the purpose of Section 6(e) of this Agreement: |
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(i) |
Market Quotation will apply. |
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(ii) |
The Second Method will apply. |
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(k) |
“Termination Currency” means United States Dollars. |
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3) |
Tax Representations. |
Payer Representations. For the purpose of Section 3(e) of this Agreement, BNY and Counterparty make the following representations:
It is not required by any applicable law, as modified by the practice of any relevant governmental revenue authority, of any Relevant Jurisdiction to make any deduction or withholding for or on account of any Tax from any payment (other than interest under Section 2(e), 6(d)(ii) or 6(e) of this Agreement) to be made by it to the other party under this Agreement. In making this representation, it may rely on:
(i) the accuracy of any representations made by the other party pursuant to Section 3(f) of this Agreement;
(ii) the satisfaction of the agreement contained in Section 4 (a)(i) or 4(a)(iii) of this Agreement and the accuracy and effectiveness of any document provided by the other party pursuant to Section 4 (a)(i) or 4(a)(iii) of this Agreement; and
(iii) the satisfaction of the agreement of the other party contained in Section 4(d) of this Agreement, provided that it shall not be a breach of this representation where reliance is placed on clause (ii) and the other party does not deliver a form or document under Section 4(a)(iii) by reason of material prejudice of its legal or commercial position.
Payee Representations. For the purpose of Section 3(f) of this Agreement, BNY and Counterparty make the following representations.
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The following representation will apply to BNY: |
BNY is a trust company duly organized and existing under the laws of the State of New York and its U.S. taxpayer identification number is 135160382.
The following representation will apply to the beneficial owner of the payments made to it under this Agreement:
The beneficial owner of the payments made to it under this Agreement is a “U.S. person” as that term is used in section 1.1441-4(a)(3)(ii) of the United States Treasury Regulations (the “Regulations”) for United States federal income tax purposes.
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4) |
Documents to be delivered. For the purpose of Section 4(a): |
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(a) |
Tax forms, documents or certificates to be delivered are: |
Party required |
Form/Document/ |
Date by which to |
Covered by Section 3(d) |
BNY and Counterparty |
Any document required or reasonably requested to allow the other party to make payments under this Agreement without any deduction or withholding for or on the account of any tax. |
Upon the execution and delivery of this Agreement |
Yes |
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(b) |
Other documents to be delivered are: |
BNY |
A certificate of an authorized officer of the party, as to the incumbency and authority of the respective officers of the party signing this Agreement, any relevant Credit Support Document, or any Confirmation, as the case may be
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Upon the execution and delivery of this Agreement |
Yes |
Counterparty |
(i) a copy of the executed Pooling and Servicing Agreement, and (ii) an incumbency certificate verifying the true signatures and authority of the person or persons signing this letter agreement on behalf of the Counterparty |
Upon the execution and delivery of this Agreement and such Confirmation |
Yes |
BNY |
Any documents required by the receiving party to evidence the authority of the delivering party or its Credit Support Provider, if any, for it to execute and deliver this Agreement, any Confirmation, and any Credit Support Documents to which it is a party, and to evidence the authority of the delivering party or its Credit Support Provider to perform its obligations under this Agreement, such Confirmation and/or Credit Support Document, as the case may be
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Upon the execution and delivery of this Agreement |
Yes |
BNY |
A copy of the most recent publicly available regulatory call report. |