Exhibit 99.3
Deutsche Bank Securities [/]
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IMC HOME EQUITY LOAN TRUST 1998-5
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THE INFORMATION CONTAINED HEREIN WILL BE SUPERSEDED BY THE DESCRIPTION
OF THE COLLATERAL CONTAINED IN THE PROSPECTUS SUPPLEMENT.
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DESCRIPTION OF THE STATISTICAL POOL OF HOME EQUITY LOANS
AS OF THE STATISTICAL CUT-OFF DATE
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POOL and A
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Grouping CURBAL RATE NETRATE AGE RTM ORIGTERM AMORT TERM CLTV
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<= 15 yrs 69,575,275.00 10.913 10.413 3 168 171 171 78.9946
15 - 30 yrs 180,215,910.65 10.108 9.608 3 329 332 332 79.2496
BALLOON 94,663,970.72 10.481 9.981 3 177 180 360 79.6544
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Total: 344,455,156.37 10.373 9.873 3 255 258 307 79.3093
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POOL and B
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Grouping CURBAL RATE NETRATE AGE RTM ORIGTERM AMORT TERM CLTV
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<= 15 yrs 24,601,940.31 10.743 10.243 3 170 173 173 73.9167
15 - 30 yrs 92,878,467.64 10.585 10.085 3 331 334 334 77.7901
BALLOON 55,630,387.87 10.948 10.448 3 177 180 360 78.6608
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Total: 173,110,795.82 10.724 10.224 3 259 262 320 77.5194
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POOL and C
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Grouping CURBAL RATE NETRATE AGE RTM ORIGTERM AMORT TERM CLTV
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<= 15 yrs 22,741,055.65 11.298 10.798 3 169 172 172 65.7868
15 - 30 yrs 80,996,788.53 11.218 10.718 3 334 337 337 72.0248
BALLOON 49,681,939.01 11.591 11.091 3 177 180 360 73.2815
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Total: 153,419,783.19 11.351 10.851 3 258 262 320 71.5071
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POOL and D
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Grouping CURBAL RATE NETRATE AGE RTM ORIGTERM AMORT TERM CLTV
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<= 15 yrs 3,044,168.85 12.696 12.196 4 170 173 173 57.8939
15 - 30 yrs 12,995,728.84 12.521 12.021 3 340 343 343 60.4071
BALLOON 7,974,441.14 13.07 12.57 3 177 180 360 62.8578
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Total: 24,014,338.83 12.726 12.226 3 264 268 327 60.9023
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This Structural Term Sheet, Collateral Term Sheet, or Computational Materials,
as appropriate (the "material"), was prepared solely by the Underwriter(s), is
privileged and confidential, is intended for use by the addressee only, and may
not be provided to any third party other than the addressee's legal, tax,
financial and/or accounting advisors for the purposes of evaluating such
information. Prospective investors are advised to read carefully, and should
rely solely on, the final prospectus and prospectus supplement (the "Final
Prospectus") related to the securities (the "Securities") in making their
investment decisions. This material does not include all relevant information
relating to the Securities described herein, particularly with respect to the
risk and special considerations associated with an investment in the Securities.
All information contained herein is preliminary and it is anticipated that such
information will change. Any information contained herein will be more fully
described in, and will be fully superseded by the preliminary prospectus
supplement, if applicable, and the Final Prospectus. Although the information
contained in the material is based on sources the Underwriter(s) believe(s) to
be reliable, the Underwriter(s) make(s) no representation or warranty that such
information is accurate or complete. Such information should not be viewed as
projections, forecasts, predictions, or opinions with respect to value. Prior to
making any investment decision, a prospective investor shall receive and fully
review the Final Prospectus. NOTHING HEREIN SHOULD BE CONSIDERED AN OFFER TO
SELL OR SOLICITATION OF AN OFFER TO BUY ANY SECURITIES. The Underwriter(s) may
hold long or short positions in or buy and sell Securities or related securities
or perform for or solicit investment banking services from, any company
mentioned herein.