RESIDENTIAL FUNDING MORTGAGE SECURITIES I, INC.,
Company,
RESIDENTIAL FUNDING CORPORATION,
Master Servicer,
and
U.S. BANK NATIONAL ASSOCIATION,
Trustee
SERIES SUPPLEMENT,
DATED AS OF AUGUST 1, 2005,
TO
STANDARD TERMS OF
POOLING AND SERVICING AGREEMENT
DATED AS OF MAY 1, 2005
Mortgage Pass-Through Certificates
Series 2005-SA4
TABLE OF CONTENTS
PAGE
ARTICLE I DEFINITIONS...............................................................4
Section 1.01 Definitions.......................................................4
Section 1.02 Use of Words and Phrases.........................................23
ARTICLE II CONVEYANCE OF MORTGAGE LOANS; ORIGINAL ISSUANCE OF CERTIFICATES..........23
Section 2.01 Conveyance of Mortgage Loans.....................................23
Section 2.02 Acceptance by Trustee............................................24
Section 2.03 Representations, Warranties and Covenants of the Master Servicer and the
Company..........................................................24
Section 2.04 Representations and Warranties of Sellers........................27
Section 2.05 Execution and Authentication of Certificates/Issuance of
Certificates ....................................................29
Section 2.06 Conveyance of Uncertificated REMIC I and REMIC II Regular Interests;
Acceptance by the Trustee........................................29
Section 2.07 [RESERVED].......................................................30
Section 2.08 Purposes and Powers of the Trust.................................30
Section 2.09 Agreement Regarding Ability to Disclose..........................30
ARTICLE III ADMINISTRATION AND SERVICING OF MORTGAGE LOANS...........................30
Section 3.01 Master Servicer to Act as Servicer...............................30
Section 3.02 Subservicing Agreements Between Master Servicer and Subservicers;
Enforcement of Subservicers's and Sellers' Obligations...........30
Section 3.03 Successor Subservicers...........................................30
Section 3.04 Liability of the Master Servicer.................................30
Section 3.05 No Contractual Relationship Between Subservicer and Trustee or
Certificateholders...............................................30
Section 3.06 Assumption or Termination of Subservicing Agreements by Trustee..30
Section 3.07 Collection of Certain Mortgage Loan Payments; Deposits to
Custodial Account ...............................................30
Section 3.08 Subservicing Accounts; Servicing Accounts........................30
Section 3.09 Access to Certain Documents and Information Regarding the
Mortgage Loans ..................................................31
Section 3.10 Permitted Withdrawals from the Custodial Agreement...............31
Section 3.11 Maintenance of the Primary Insurance Policies; Collections
Thereunder ......................................................31
Section 3.12 Maintenance of Fire Insurance and Omissions and Fidelity Coverage31
Section 3.13 Enforcement of Due-on-Sale Clauses; Assumption and Modification
Agreements; Certain Assignments..................................31
Section 3.14 Realization Upon Defaulted Mortgage Loans........................31
Section 3.15 Trustee to Cooperate; Release of Mortgage Files..................31
Section 3.16 Servicing and Other Compensation; Compensating Interest..........31
Section 3.17 Reports to the Trustee and the Company...........................31
Section 3.18 Annual Statement as to Compliance................................31
Section 3.19 Annual Independent Public Accountants' Servicing Report..........31
Section 3.20 Rights of the Company in Respect of the Master Servicer..........31
Section 3.21 Administration of Buydown Funds..................................31
Section 3.22 Advance Facility.................................................31
Section 3.23 Duties of the Credit Risk Advisor................................31
Section 3.24 Limitation Upon Liability of the Credit Risk Advisor.............32
Section 3.25 Termination of Duties of the Credit Risk Advisor.................32
ARTICLE IV PAYMENTS TO CERTIFICATEHOLDERS...........................................33
Section 4.01 Certificate Account..............................................33
Section 4.02 Distributions....................................................33
Section 4.03 Statements to Certificateholders; Statements to Rating Agencies;
Exchange Act Reporting...........................................40
Section 4.04 Distribution of Reports to the Trustee and the Company; Advances
by the Master Servicer...........................................40
Section 4.05 Allocation of Realized Losses....................................40
Section 4.06 Reports of Foreclosures and Abandonment of Mortgaged Property....41
Section 4.07 Optional Purchase of Defaulted Mortgage Loans....................42
ARTICLE V THE CERTIFICATES.........................................................42
Section 5.01 The Certificates.................................................42
ARTICLE VI THE COMPANY AND THE MASTER SERVICER......................................43
ARTICLE VII DEFAULT..................................................................43
ARTICLE VIII CONCERNING THE TRUSTEE...................................................44
ARTICLE IX TERMINATION..............................................................44
Section 9.01 Optional Purchase by the Master Servicer of All Certificates;
Termination Upon Purchase by the Master Servicer or Liquidation
of All Mortgage Loans ...........................................44
Section 9.02 Additional Termination Requirements..............................45
Section 9.03 Termination of Multiple REMICs...................................45
ARTICLE X REMIC PROVISIONS.........................................................45
Section 10.01 REMIC Administration.............................................45
Section 10.02 Master Servicer; REMIC Administrator and Trustee Indemnification.45
Section 10.03 Designation of REMIC(s)..........................................45
Section 10.04 Distributions on the Uncertificated REMIC I Regular Interests....46
Section 10.05 Compliance with Withholding Requirements.........................47
ARTICLE XI MISCELLANEOUS PROVISIONS.................................................47
Section 11.01 Amendment........................................................47
Section 11.02 Recordation of Agreement.........................................47
Section 11.03 Limitation on Rights of Certificateholders.......................47
Section 11.04 Governing Laws...................................................47
Section 11.05 Notices..........................................................47
Section 11.06 Required Notices to Rating Agency and Subservicer................48
Section 11.07 Severability of Provisions.......................................49
Section 11.08 Supplemental Provisions for Resecuritization.....................49
Section 11.09 Allocation of Voting Rights......................................49
Section 11.10 No Petition......................................................49
EXHIBITS
Exhibit One: Mortgage Loan Schedule for Sub-Loan Group I-1
Exhibit Two: Mortgage Loan Schedule for Sub-Loan Group I-2
Exhibit Three: Mortgage Loan Schedule for Sub-Loan Group I-3
Exhibit Four: Mortgage Loan Schedule for Sub-Loan Group II-1
Exhibit Five: Mortgage Loan Schedule for Sub-Loan Group II-2
Exhibit Six: Information to be Included in Monthly Distribution Date Statement
Exhibit Seven: Standard Terms of Pooling and Servicing Agreement dated as
of May 1, 2005
This is a Series Supplement, dated as of August 1, 2005 (the "Series
Supplement"), to the Standard Terms of Pooling and Servicing Agreement, dated as
of May 1, 2005 and attached as Exhibit Seven hereto (the "Standard Terms" and,
together with this Series Supplement, the "Pooling and Servicing Agreement" or
"Agreement"), among RESIDENTIAL FUNDING MORTGAGE SECURITIES I, INC., as the
company (together with its permitted successors and assigns, the "Company"),
RESIDENTIAL FUNDING CORPORATION, as master servicer (together with its permitted
successors and assigns, the "Master Servicer"), and U.S. BANK NATIONAL
ASSOCIATION, as Trustee (together with its permitted successors and assigns, the
"Trustee").
PRELIMINARY STATEMENT
The Company intends to sell Mortgage Pass-Through Certificates
(collectively, the "Certificates"), to be issued hereunder in multiple classes,
which in the aggregate will evidence the entire beneficial ownership interest in
the Trust Fund. As provided herein, the REMIC Administrator will make an
election to treat the entire segregated pool of assets described in the
definition of REMIC I (as defined herein), and subject to this Agreement
(including the Mortgage Loans but excluding the Initial Monthly Payment Fund),
as a real estate mortgage investment conduit (a "REMIC") for federal income tax
purposes and such segregated pool of assets will be designated as "REMIC I." The
Uncertificated REMIC I Regular Interests will be "regular interests" in REMIC I
and the Class R-I Certificates will be the sole class of "residual interests" in
REMIC I for purposes of the REMIC Provisions (as defined herein). A segregated
pool of assets consisting of the Uncertificated REMIC I Regular Interests will
be designated as "REMIC II" and the REMIC Administrator will make a separate
REMIC election with respect thereto. The Class I-A1 Certificates, Class I-A2-1
Certificates, Class I-A2-2 Certificates, Class I-A3-1 Certificates, Class I-A3-2
Certificates, Class II-A1 Certificates, Class II-A2 Certificates, Class I-M-1
Certificates, Class I-M-2 Certificates, Class I-M-3 Certificates, Class II-M-1
Certificates, Class II-M-2 Certificates, Class II-M-3 Certificates, Class I-B-1
Certificates, Class I-B-2 Certificates, Class I-B-3 Certificates, Class II-B-1
Certificates, Class II-B-2 Certificates and Class II-B-3 Certificates will be
"regular interests" in REMIC II and the Class R-II Certificates will be the sole
class of "residual interests" therein for purposes of the REMIC Provisions.
The terms and provisions of the Standard Terms are hereby incorporated
by reference herein as though set forth in full herein. If any term or provision
contained herein shall conflict with or be inconsistent with any provision
contained in the Standard Terms, the terms and provisions of this Series
Supplement shall govern. Any cross-reference to a section of the Pooling and
Servicing Agreement, to the extent the terms of the Standard Terms and Series
Supplement conflict with respect to that section, shall be a cross-reference to
the related section of the Series Supplement. All capitalized terms not
otherwise defined herein shall have the meanings set forth in the Standard
Terms. The Pooling and Servicing Agreement shall be dated as of the date of this
Series Supplement.
The following table irrevocably sets forth the designation, the
Uncertificated REMIC I 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
Uncertificated REMIC I Regular Interests. None of the Uncertificated REMIC I
Regular Interests will be certificated.
1
UNCERTIFICATED INITIAL LATEST
REMIC I UNCERTIFICATED POSSIBLE
DESIGNATION PASS-THROUGH RATE PRINCIPAL BALANCE MATURITY(1)
Uncertificated REMIC I Regular Interest Variable(2) $ 592.83 September 25,
I-A1-A 2035
Uncertificated REMIC I Regular Interest Variable(2) $ 10,046.83 September 25,
I-A1-B 2035
Uncertificated REMIC I Regular Interest Variable(2) $ 547.51 September 25,
I-A2-A 2035
Uncertificated REMIC I Regular Interest Variable(2) $ 9,278.91 September 25,
I-A2-B 2035
Uncertificated REMIC I Regular Interest Variable(2) $ 112.28 September 25,
I-A3-A 2035
Uncertificated REMIC I Regular Interest Variable(2) $ 1,902.88 September 25,
I-A3-B 2035
Uncertificated REMIC I Regular Interest Variable(2) $ 1,339.54 September 25,
II-A1-A 2035
Uncertificated REMIC I Regular Interest Variable(2) $ 35,721.64 September 25,
II-A1-B 2035
Uncertificated REMIC I Regular Interest Variable(2) $ 1,053.72 September 25,
II-A2-A 2035
Uncertificated REMIC I Regular Interest Variable(2) $ 28,097.62 September 25,
II-A2-B 2035
Uncertificated REMIC I Regular Interest Variable(2) $212,263,514.76 September 25,
I-ZZZ 2035
Uncertificated REMIC I Regular Interest Variable(2) $638,126,213.48 September 25,
II-ZZZ 2035
Uncertificated REMIC I Regular Interest Variable(2) $ 100.00 September 25,
R-II 2035
-----------------------
(1) For purposes of Section 1.860G-1(a)(4)(iii) of the Treasury regulations, the
Distribution Date 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 Uncertificated REMIC I Regular Interest.
(2) Calculated in accordance with the definition of "Uncertificated REMIC I
Pass-Through Rate" herein.
The following table sets forth the designation, type, Pass-Through Rate,
aggregate Initial Certificate Principal Balance, Maturity Date, initial ratings
and certain features for each Class of Certificates comprising REMIC II.
AGGREGATE
INITIAL
CERTIFICATE
PASS-THROUGH PRINCIPAL MATURITY MINIMUM
DESIGNATION RATE BALANCE FEATURES(1) DATE S&P/XXXXX'X DENOMINATIONS(2)
Class I-A1 Variable Senior September AAA/Aaa $25,000
Rate(3) $94,540,000.00 25, 2035
Class I-A2-1 Variable Senior/Super September AAA/Aaa $25,000
Rate(4) $85,481,000.00 Senior 25, 2035
Class I-A2-2 Variable $1,833,000.00 Senior/Senior September AAA/Aa1 $25,000
Rate(4) Support 25, 2035
_____________________
(1) The Class I-A1, Class I-A2-1, Class I-A2-2, Class I-A3-1, Class I-A3-2,
Class II-A1, Class II-A2 and Class M Certificates shall be Book-Entry
Certificates. The Class R and Class B Certificates shall be delivered to
the holders thereof in physical form.
(2) The Certificates shall be issuable in minimum dollar denominations as
indicated above (by Certificate Principal Balance) and integral
multiples of $1 (or $1,000 in the case of the Class I-B-1, Class I-B-2,
Class I-B-3, Class II-B-1, Class II-B-2 and Class II-B-3 Certificates)
in excess thereof, except that one Certificate of the Class I-B-3 and
Class II-B-3 Certificates that contains an uneven multiple of $1,000
shall be issued in a denomination equal to the sum of the related
minimum denomination set forth above and such uneven multiple for such
Class or the sum of such denomination and an integral multiple of
$1,000. The Class R Certificates shall be issuable in minimum
denominations of not less than a 20% Percentage Interest; provided,
however, that one of each of the Class R Certificates will be issuable
to Residential Funding as "tax matters person" pursuant to Section
10.01(c) and (e) in a minimum denomination representing a Percentage
Interest of not less than 0.01%.
(3) With respect to the Class I-A1 Certificates and the Class R-I
Certificates, the pass-through rate will be equal to the Sub-Loan Group
I-1 Net WAC Rate. The initial pass-through rate for the Class I-A1 and
Class R-I Certificates, will be equal to approximately 5.03226% per
annum.
2
Class I-A3-1 Variable Senior/Super September AAA/Aaa $25,000
Rate(5) $17,530,000.00 Senior 25, 2035
Class I-A3-2 Variable $376,000.00 Senior/Senior September AAA/Aa1 $25,000
Rate(5) Support 25, 2035
Class II-A1 Variable Senior September AAA/Aaa $25,000
Rate(6) $343,821,000.00 25, 2035
Class II-A2 Variable Senior September AAA/Aaa $25,000
Rate(7) $270,439,000.00 25, 2035
Class I-M-1 Variable $4,565,000.00 Mezzanine September AA+/Aa2 $25,000
Rate(8) 25, 2035
Class I-M-2 Variable $2,865,000.00 Mezzanine September AA-/A2 $250,000
Rate(8) 25, 2035
Class I-M-3 Variable $1,910,000.00 Mezzanine September BBB+/Baa2 $250,000
Rate(8) 25, 2035
Class II-M-1 Variable $9,573,000.00 Mezzanine September AA/Aa2 $25,000
Rate(8) 25, 2035
Class II-M-2 Variable $5,743,000.00 Mezzanine September A/A2 $250,000
Rate(8) 25, 2035
Class II-M-3 Variable $2,871,000.00 Mezzanine September BBB/Baa2 $250,000
Rate(8) 25, 2035
Class R-I Variable $100.00 Senior/Residual September AAA/Aaa 20%
Rate(4) 25, 2035
Class R-II Variable $100.00 Senior/Residual September AAA/Aaa 20%
Rate(6) 25, 2035
Class I-B-1 Variable $1,698,000.00 Subordinate September BB/NA $250,000
Rate(7) 25, 2035
Class I-B-2 Variable $955,000.00 Subordinate September B/NA $250,000
Rate(7) 25, 2035
Class I-B-3 Variable $532,996.43 Subordinate September NA/NA $250,000
Rate(7) 25, 2035
Class II-B-1 Variable $2,552,000.00 Subordinate September BB/NA $250,000
Rate(7) 25, 2035
Class II-B-2 Variable $1,914,000.00 Subordinate September B/NA $250,000
Rate(7) 25, 2035
Class II-B-3 Variable $1,279,426.36 Subordinate September NA/NA $250,000
Rate(7) 25, 2035
__________________
(4) With respect to the Class I-A2-1 Certificates and the Class I-A2-2
Certificates, the pass through rate will be equal to the Sub-Loan Group
I-2 Net WAC Rate. The initial pass-through rate for the Class I-A2-1
Certificates and the Class I-A2-2 Certificates, will be equal to
approximately 5.25068% per annum.
(5) With respect to the Class I-A3-1 Certificates and the Class I-A3-2
Certificates, the pass through rate will be equal to the Sub-Loan Group
I-3 Net WAC Rate. The initial pass-through rate for the Class I-A3-1
Certificates and the Class I-A3-2 Certificates, will be equal to
approximately 5.40168% per annum.
(6) With respect to the Class II-A1 and the Class R-II Certificates, the
pass-through rate will be equal to the Sub-Loan Group II-1 Net WAC Rate.
The initial pass-through rate for the Class II-A1 and the Class R-II
Certificates, will be equal to approximately 5.23048% per annum.
(7) With respect to the Class II-A2 Certificates, the pass through rate will
be equal to the Sub-Loan Group II-2 Net WAC Rate. The initial
pass-through rate for the Class II-A2 Certificates will be equal to
approximately 5.21046% per annum.
(8) For any Distribution Date, the pass-through rate on the Class I-M
Certificates and Class II-M Certificates will be equal to the Group I
Subordinate Net WAC Rate and Group II Subordinate Net WAC Rate,
respectively. The initial pass-through Rate on the Class I-M and Class
II-M Certificates will be equal to approximately 5.160085% and 5.22166%
per annum, respectively. For any Distribution Date, the pass-through
rate on the Class I-B Certificates and Class II-B Certificates will be
equal to the Group I Subordinate Net WAC Rate and Group II Subordinate
Net WAC Rate, respectively. The initial pass-through Rate on the Class
I-B and Class II-B Certificates will be equal to approximately 5.160085%
and 5.22166% per annum, respectively.
The Mortgage Loans have an aggregate principal balance as of the Cut-off
Date of $850,478,622.79.
In consideration of the mutual agreements herein contained, the Company,
the Master Servicer and the Trustee agree as follows:
3
ARTICLE I
DEFINITIONS
Section 1.01 Definitions.
Whenever used in this Agreement, the following words and phrases, unless
the context otherwise requires, shall have the meanings specified in this
Article.
Accrued Certificate Interest: With respect to each Distribution Date, as
to any Class or Subclass of Certificates, interest accrued during the related
Interest Accrual Period at the related Pass-Through Rate on the Certificate
Principal Balance thereof immediately prior to such Distribution Date. Accrued
Certificate Interest will be calculated on the basis of a 360-day year,
consisting of twelve 30-day months. In each case Accrued Certificate Interest on
any Class of Certificates will be reduced by the amount of:
(i) Prepayment Interest Shortfalls on all Mortgage Loans in the
related Loan Group or Sub-Loan Group, as applicable (to the
extent not offset by the Master Servicer with a payment of
Compensating Interest as provided in Section 4.01),
(ii) any other interest shortfalls not covered by the subordination
provided by the related Class M Certificates and related Class B
Certificates, including interest that is not collectible from the
Mortgagor pursuant to the Servicemembers Civil Relief Act, as
amended, or similar legislation or regulations as in effect from
time to time, all allocated as described below.
The Class I-A1 Percentage of these reductions with respect to the Sub-Loan Group
I-1 Loans, will be allocated among the Holders of the Sub-Loan Group I-1 Senior
Certificates, in proportion to the amounts of Accrued Certificate Interest that
would have been payable to those Certificates from the Sub-Loan Group I-1 Loans
on that Distribution Date absent such reductions. The Class I-A2 Percentage of
these reductions with respect to the Sub-Loan Group I-2 Loans will be allocated
among the Holders of the Sub-Loan Group I-2 Senior Certificates, in proportion
to the amounts of Accrued Certificate Interest that would have been payable to
those Certificates from the Sub-Loan Group I-2 Loans on that Distribution Date
absent such reductions. The Class I-A3 Percentage of these reductions with
respect to the Sub-Loan Group I-3 Loans will be allocated among the Holders of
the Sub-Loan Group I-3 Senior Certificates, in proportion to the amounts of
Accrued Certificate Interest that would have been payable to those Certificates
from the Sub-Loan Group I-3 Loans on that Distribution Date absent such
reductions. The Class II-A1 Percentage of these reductions with respect to the
Sub-Loan Group II-1 Loans, will be allocated among the Holders of the Sub-Loan
Group II-1 Senior Certificates, in proportion to the amounts of Accrued
Certificate Interest that would have been payable to those Certificates from the
Sub-Loan Group II-1 Loans on that Distribution Date absent such reductions. The
Class II-A2 Percentage of these reductions with respect to the Sub-Loan Group
II-2 Loans, will be allocated among the Holders of the Sub-Loan Group II-2
Senior Certificates, in proportion to the amounts of Accrued Certificate
Interest that would have been payable to those Certificates from the Sub-Loan
Group II-2 Loans on that Distribution Date absent such reductions. The remainder
of all such reductions will be allocated among the Holders of the related Class
M Certificates and the related Class B Certificates in proportion to their
4
respective amounts of Accrued Certificate Interest payable on such Distribution
Date absent such reductions. In addition to that portion of the reductions
described in the preceding sentences that are allocated to any Class of Class A
Certificates or any Class of Class B Certificates or any Class of Class M
Certificates, Accrued Certificate Interest on such Class of Class B Certificates
or such Class of Class M Certificates will be reduced by the interest portion
(adjusted to the Net Mortgage Rate) of Realized Losses that are allocated solely
to such Class of Class B Certificates or such Class of Class M Certificates
pursuant to Section 4.05.
Adjustment Date: As to each Mortgage Loan, each date set forth in the
related Mortgage Note on which an adjustment to the interest rate on such
Mortgage Loan becomes effective.
Aggregate Available Distribution Amount: With respect to a Distribution
Date, and each Loan Group, the sum of the related Available Distribution Amounts
for each related Sub-Loan Group for such Distribution Date.
Aggregate Senior Interest Distribution Amount: With respect to a
Distribution Date, and each Loan Group, the sum of the related Senior Interest
Distribution Amounts for each related Sub-Loan Group for such Distribution Date.
Aggregate Senior Principal Distribution Amount: With respect to a
Distribution Date, and each Loan Group, the sum of the related Senior Principal
Distribution Amounts for each related Sub-Loan Group for such Distribution Date.
Available Distribution Amount: With respect to each Sub-Loan Group, the
excess of (i) the sum of (a) the amount described in the definition of Available
Distribution Amount in the Standard Terms (calculated with respect to each
Sub-Loan Group) and (b) the amount allocated to the Available Distribution
Amount for such Sub-Loan Group pursuant to Section 4.02(c) over (ii) the sum of
(a) any amount allocated to the Available Distribution Amount of any other
Sub-Loan Group pursuant to Section 4.02(c) and (b) with respect to the Group II
Loans, the Credit Risk Advisor Fee.
Capitalization Reimbursement Amount: As to any Distribution Date and
each Sub-Loan Group, the amount of Advances or Servicing Advances that were
added to the Stated Principal Balance of the Mortgage Loans in the related
Sub-Loan Group during the prior calendar month and reimbursed to the Master
Servicer or Subservicer on or prior to such Distribution Date pursuant to
Section 3.10(a)(vii), plus the related Capitalization Reimbursement Shortfall
Amount remaining unreimbursed from any prior Distribution Date and reimbursed to
the Master Servicer or Subservicer on or prior to such Distribution Date. The
Master Servicer or Subservicer will be entitled to be reimbursed for these
amounts only from the principal collections on the Mortgage Loans in the related
Sub-Loan Group.
5
Capitalization Reimbursement Shortfall Amount: As to any Distribution
Date and each Sub-Loan Group, the amount, if any, by which the amount of
Advances or Servicing Advances that were added to the Stated Principal Balance
of the Mortgage Loans in the related Sub-Loan Group during the preceding
calendar month exceeds the amount of principal payments on the Mortgage Loans
included in the Available Distribution Amount for that Sub-Loan Group and
Distribution Date.
Certificate: Any Class A, Class M, Class B or Class R Certificate.
Certificate Account: The separate account or accounts created and
maintained pursuant to Section 4.01 of the Standard Terms, which shall be
entitled "U.S. Bank National Association, as trustee, in trust for the
registered holders of Residential Funding Mortgage Securities I, Inc., Mortgage
Pass-Through Certificates, Series 2005-SA4" and which must be an Eligible
Account.
Certificate Group: With respect to (i) Loan Group I, the Group I Senior,
Class I-M and Class I-B Certificates; and (ii) Loan Group II, the Group II
Senior, Class II-M and Class II-B Certificates.
Certificate Principal Balance: With respect to each Certificate, on any
date of determination, an amount equal to:
(i) the Initial Certificate Principal Balance of such Certificate as
specified on the face thereof, plus
(ii) any Subsequent Recoveries added to the Certificate Principal
Balance of such Certificate pursuant to Section 4.02, minus
(iii) the sum of (x) the aggregate of all amounts previously
distributed with respect to such Certificate (or any predecessor
Certificate) and applied to reduce the Certificate Principal
Balance thereof pursuant to Section 4.02(a) and (y) the aggregate
of all reductions in Certificate Principal Balance deemed to have
occurred in connection with Realized Losses which were previously
allocated to such Certificate (or any predecessor Certificate)
pursuant to Section 4.05;
provided, that the Certificate Principal Balance of each related Certificate of
the Class of Subordinate Certificates with the Lowest Priority at any given time
shall be further reduced by an amount equal to the Percentage Interest
represented by such Certificate multiplied by the excess, if any, of (A) the
then aggregate Certificate Principal Balance of all Classes of Certificates in
the related Certificate Group then outstanding over (B) the then aggregate
Stated Principal Balance of the Mortgage Loans in the related Loan Group.
Certificate Sub-Loan Group: With respect to (i) Sub-Loan Group I-1, the
Sub-Loan Group I-1 Senior Certificates; (ii) Sub-Loan Group I-2, the Sub-Loan
Group I-2 Senior Certificates; (iii) Sub-Loan Group I-3, the Sub-Loan Group I-3
Senior Certificates; (iv) Sub-Loan Group II-1, the Sub-Loan Group II-1 Senior
Certificates; and (v) Sub-Loan Group II-2, the Sub-Loan Group II-2 Senior
Certificates.
6
Class A Certificate: Any one of the Sub-Loan Group I-1 Certificates
(other than the Class R-I Certificates) , the Sub-Loan Group I-2 Certificates,
the Sub-Loan Group I-3 Certificates, the Sub-Loan Group II-1 Certificates (other
than the Class R-II Certificates) and the Sub-Loan Group II-2 Certificates,
executed by the Trustee and authenticated by the Certificate Registrar
substantially in the form annexed to the Standard Terms as Exhibit A.
Class B Certificates: Any one of the Class I-B-1, Class I-B-2, Class
I-B-3, Class II-B-1, Class II-B-2 and Class II-B-3 Certificates.
Class M Certificates: Any one of the Class I-M-1, Class I-M-2, Class
I-M-3, Class II-M-1, Class II-M-2 and Class II-M-3 Certificates.
Class R Certificate: Any one of the Class R-I Certificates and Class
R-II Certificates executed by the Trustee and authenticated by the Certificate
Registrar substantially in the form annexed to the Standard Terms as Exhibit D
and evidencing an interest designated as a "residual interest" in the each REMIC
for purposes of the REMIC Provisions.
Class I-A1 Percentage: With respect to any Distribution Date, the
percentage equal to the aggregate Certificate Principal Balance of the Sub-Loan
Group I-1 Senior Certificates immediately prior to that distribution date
divided by the aggregate Stated Principal Balance of all of the Mortgage Loans
in Sub-Loan Group I-1 immediately prior to that Distribution Date. The Class
I-A1 Percentage will initially equal approximately 94.10% and will in no event
exceed 100%.
Class I-A2 Percentage: With respect to any Distribution Date, the
percentage equal to the aggregate Certificate Principal Balance of the Sub-Loan
Group I-2 Senior Certificates immediately prior to that Distribution Date
divided by the aggregate Stated Principal Balance of all of the Mortgage Loans
in Sub-Loan Group I-2 immediately prior to that Distribution Date. The Class
I-A2 Percentage will initially equal approximately 94.10% and will in no event
exceed 100%.
Class I-A3 Percentage: With respect to any Distribution Date, the
percentage equal to the aggregate Certificate Principal Balance of the Sub-Loan
Group I-3 Senior Certificates immediately prior to that Distribution Date
divided by the aggregate Stated Principal Balance of all of the Mortgage Loans
in Sub-Loan Group I-3 immediately prior to that Distribution Date. The Class
I-A3 Percentage will initially equal approximately 94.10% and will in no event
exceed 100%.
Class I-B Certificates: The Class I-B-1, Class I-B-2 and Class I-B-3
Certificates.
Class II-B Certificates: The Class II-B-1, Class II-B-2 and Class II-B-3
Certificates.
Class I-M Certificates: The Class I-M-1, Class I-M-2 and Class I-M-3
Certificates.
Class II-M Certificates: The Class II-M-1, Class II-M-2 and Class II-M-3
Certificates.
Class M Percentage: With respect to the Class I-M-1, Class I-M-2, Class
I-M-3, Class II-M-1, Class II-M-2 and Class II-M-3 Certificates and any
Distribution Date, a percentage that will initially equal approximately 2.15%,
1.35%, 0.90%, 1.50%, 0.90% and 0.45%, respectively, and each will in no event
exceed 100%. The Class M Percentages for the Class I-M-1, Class I-M-2, Class
7
I-M-3, Class II-M-1, Class II-M-2 and Class II-M-3 Certificates will each be
adjusted for each Distribution Date to be the percentage equal to the
Certificate Principal Balance of the related class of Class M Certificates
immediately prior to that Distribution Date divided by the aggregate Stated
Principal Balance of all of the mortgage loans in the related sub-loan groups
immediately prior to that Distribution Date.
Compensating Interest: With respect to any Distribution Date and each
Sub-Loan Group, an amount equal to Prepayment Interest Shortfalls resulting from
Principal Prepayments in Full during the related Prepayment Period and
Curtailments during the prior calendar month and included in the Available
Distribution Amount for the such Sub-Loan Group, on such Distribution Date, but
not more than the lesser of (a) one-twelfth of 0.125% of the aggregate Stated
Principal Balance of the Mortgage Loans in the related Sub-Loan Group,
immediately preceding such Distribution Date and (b) the sum of the Servicing
Fee and all income and gain on amounts held in the Custodial Account and the
Certificate Account and payable to the Certificateholders with respect to the
Mortgage Loans in the related Sub-Loan Group, and such Distribution Date;
provided that for purposes of this definition the amount of the Servicing Fee
will not be reduced pursuant to Section 7.02(a) except as may be required
pursuant to the last sentence of such Section.
Class II-A1 Percentage: With respect to any Distribution Date, the
percentage equal to the aggregate Certificate Principal Balance of the Sub-Loan
Group II-1 Senior and Certificates immediately prior to that Distribution Date
divided by the aggregate Stated Principal Balance of all of the Mortgage Loans
in Sub-Loan Group II-1 immediately prior to that Distribution Date. The Class
II-A1 Percentage will initially equal approximately 96.25% and will in no event
exceed 100%.
Class II-A2 Percentage: With respect to any Distribution Date, the
percentage equal to the aggregate Certificate Principal Balance of the Sub-Loan
Group II-2 Senior Certificates immediately prior to that Distribution Date
divided by the aggregate Stated Principal Balance of all of the Mortgage Loans
in Sub-Loan Group II-2 immediately prior to that Distribution Date. The Class
II-A2 Percentage will initially equal approximately 96.25% and will in no event
exceed 100%.
Closing Date: August 30, 2005.
Corporate Trust Office: The principal office of the Trustee at which at
any particular time its corporate trust business with respect to this Agreement
shall be administered, which office at the date of the execution of this
Agreement is located at U.S. Bank National Association, U.S. Bank Corporate
Trust Services, EP-MN-WS3D, 00 Xxxxxxxxxx Xxxxxx, Xx. Xxxx, Xxxxxxxxx 00000,
Attention: RFMSI 2005-SA4.
Credit Risk Advisor: Xxxxxxxxx Mortgage Home Loans, Inc. and its
successors and assigns.
8
Credit Risk Advisor Fee: With respect to any Distribution Date and each
Group II Loan, an amount equal to the product of (a) one twelfth, (b) the Credit
Risk Advisor Fee Rate and (c) the Stated Principal Balance of such Mortgage Loan
as of the first day of the related Due Period.
Credit Risk Advisor Fee Rate: 0.0025% per annum.
Credit Support Depletion Date: With respect to Loan Group I, the first
Distribution Date on which the Certificate Principal Balances of the Class I-M,
Class I-B-1, Class I-B-2 and Class I-B-3 Certificates have been reduced to zero.
With respect to Loan Group II, the first Distribution Date on which the
Certificate Principal Balances of the Class II-M, Class II-B-1, Class II-B-2 and
Class II-B-3 Certificates have been reduced to zero.
Cut-off Date: August 1, 2005.
Determination Date: With respect to any Distribution Date, the second
Business Day prior to such Distribution Date.
Due Period: With respect to each Distribution Date and any Mortgage
Loan, the calendar month of such Distribution Date.
Eligible Account: An account that is any of the following: (i)
maintained with a depository institution the debt obligations of which have been
rated by each Rating Agency in its highest rating available, or (ii) an account
or accounts in a depository institution in which such accounts are fully insured
to the limits established by the FDIC, provided that any deposits not so insured
shall, to the extent acceptable to each Rating Agency, as evidenced in writing,
be maintained such that (as evidenced by an Opinion of Counsel delivered to the
Trustee and each Rating Agency) the registered Holders of Certificates have a
claim with respect to the funds in such account or a perfected first security
interest against any collateral (which shall be limited to Permitted
Investments) securing such funds that is superior to claims of any other
depositors or creditors of the depository institution with which such account is
maintained, or (iii) in the case of the Custodial Account, a trust account or
accounts maintained in the corporate trust department of U.S. Bank National
Association, or (iv) in the case of the Certificate Account, a trust account or
accounts maintained in the corporate trust division of the Trustee, or (v) an
account or accounts of a depository institution acceptable to each Rating Agency
(as evidenced in writing by each Rating Agency that use of any such account as
the Custodial Account or the Certificate Account will not reduce the rating
assigned to any Class of Certificates by such Rating Agency below the lower of
the then-current rating or the rating assigned to such Certificates as of the
Closing Date by such Rating Agency).
Group I Loans: The Mortgage Loans designated on the Mortgage Loan
Schedule as Sub-Loan Group I-1 Loans, Sub-Loan Group I-2 Loans and Sub-Loan
Group I-3 Loans.
Group I Senior Certificates: The Class I-A1, Class R-I, Class I-A2-1,
Class I-A2-2, Class I-A3-1, Class I-A3-2 Certificates.
Group II Senior Certificates: The Class II-A1, Class II-A2 and Class
R-II Certificates.
9
Group I Subordinate Net WAC Rate: With respect to any Distribution Date
and the Class I-M and Class I-B Certificates, a per annum rate equal to the
weighted average of the Sub-Loan Group I-1 Net WAC Rate, Sub-Loan Group I-2 Net
WAC Rate and Sub-Loan Group I-3 Net WAC Rate, weighted on the basis of the
related Subordinate Component for the related Sub-Loan Group.
Group II Subordinate Net WAC Rate: With respect to any Distribution Date
and the Class II-M and Class II-B Certificates, a per annum rate equal to the
weighted average of the Sub-Loan Group II-1 Net WAC Rate and Sub-Loan Group II-2
Net WAC Rate, weighted on the basis of the related Subordinate Component for the
related Sub-Loan Group.
Group II Loans: The Mortgage Loans designated on the Mortgage Loan
Schedule as Sub-Loan Group II-1 Loans and Sub-Loan Group II-2 Loans.
Highest Priority: As of any date of determination, the Class of related
Subordinate Certificates then outstanding with a Certificate Principal Balance
greater than zero, with the earliest priority for payments pursuant to Section
4.02(a), in the following order: (a) for the Subordinate Certificates related to
Loan Group I, Class I-M-1, Class I-M-2, Class I-M-3, Class I-B-1, Class I-B-2
and Class I-B-3 Certificates and (b) for the Subordinate Certificates related to
Loan Group II, Class II-M-1, Class II-M-2, Class II-M-3, Class II-B-1, Class
II-B-2 and Class II-B-3 Certificates.
Index: With respect to any Mortgage Loan and as to any Adjustment Date
therefor, the related index as stated in the related Mortgage Note.
Indirect Depository Participant: An institution that is not a Depository
Participant but clears through or maintains a custodial relationship with
Participants and has access to the Depository's clearing system.
Initial Monthly Payment Fund: $133,029 representing scheduled principal
amortization and interest at the Net Mortgage Rate during the month of August
2005, for those Mortgage Loans for which the Trustee will not be entitled to
receive such payment in accordance with the definition of "Trust Fund". The
Initial Monthly Payment Fund will not be part of any REMIC.
Initial Rate Cap: With respect to each Mortgage Loan and the initial
Adjustment Date, the rate cap that limits the increase or the decrease of the
related Mortgage Rate on the initial Adjustment Date pursuant to the terms of
the related Mortgage Note.
Initial Subordinate Class Percentage: With respect to each Class of
related Subordinate Certificates, an amount which is equal to the initial
aggregate Certificate Principal Balance of such related Class of Subordinate
Certificates divided by the aggregate Stated Principal Balance of all the
Mortgage Loans in the related Loan Group as of the Cut-off Date as follows:
Class I-M-1: 2.15% Class II-M-1: 1.50% Class I-B-1: 0.80% Class II-B-1: 0.40%
Class I-M-2: 1.35% Class II-M-2: 0.90% Class I-B-2: 0.45% Class II-B-2: 0.30%
Class I-M-3: 0.90% Class II-M-3: 0.45% Class I-B-3: 0.25% Class II-B-3: 0.20%
10
Interest Accrual Period: With respect to any Certificates and any
Distribution Date, the calendar month preceding the month in which such
Distribution Date occurs.
Loan Group: Loan Group I or Loan Group II.
Loan Group I: The group of Mortgage Loans comprised of the Group I
Loans.
Loan Group II: The group of Mortgage Loans comprised of the Group II
Loans.
Lower Priority: As of any Determination Date and any Class of
Subordinate Certificates, any other Class of related Subordinate Certificates
then outstanding with a later priority for payments pursuant to Section 4.02
(a).
Lowest Priority: As of any Determination Date, the Class of related
Subordinate Certificates then outstanding with a Certificate Principal Balance
greater than zero, with the latest priority for payments pursuant to Section
4.02(a), in the following order: (a) for the Subordinate Certificates related to
Loan Group I, Class I-B-3, Class I-B-2, Class I-B-1, Class I-M-3, Class I-M-2
and Class I-M-1 Certificates and (b) for the Subordinate Certificates related to
Loan Group II, Class II-B-3, Class II-B-2, Class II-B-1, Class II-M-3, Class
II-M-2 and Class II-M-1 Certificates .
Maturity Date: With respect to each Class of Certificates, September 25,
2035, the Distribution Date in the month immediately following the latest
scheduled maturity date of any Mortgage Loan.
Maximum Mortgage Rate: As to any Mortgage Loan, the rate indicated in
Exhibit One, Exhibit Two, Exhibit Three, Exhibit Four or Exhibit Five as
applicable, hereto as the "NOTE CEILING," which rate is the maximum interest
rate that may be applicable to such Mortgage Loan at any time during the life of
such Mortgage Loan.
Maximum Net Mortgage Rate: As to any Mortgage Loan and any date of
determination, the Maximum Mortgage Rate for such Mortgage Loan minus the per
annum rate at which the Servicing Fee is calculated.
Minimum Mortgage Rate: As to any Mortgage Loan, the greater of (i) the
Note Margin for such Mortgage Loan and (ii) the rate indicated in Exhibit One,
Exhibit Two, Exhibit Three, Exhibit Four or Exhibit Five, as applicable, hereto
as the "NOTE FLOOR" for such Mortgage Loan, which rate may be applicable to such
Mortgage Loan at any time during the life of such Mortgage Loan.
Mortgage Loan Schedule: The list or lists of the Mortgage Loans attached
hereto as Exhibit One (with respect to the Sub-Loan Group I-1), Exhibit Two
(with respect to the Sub-Loan Group I-2), Exhibit Three (with respect to the
Sub-Loan Group I-3), Exhibit Four (with respect to the Sub-Loan Group II-1) and
Exhibit Five (with respect to the Sub-Loan Group II-2) (as amended from time to
time to reflect the addition of Qualified Substitute Mortgage Loans), which list
or lists shall set forth the following information as to each Mortgage Loan in
the related Loan Group:
11
(a) the Mortgage Loan identifying number ("RFC LOAN #");
(b) the maturity of the Mortgage Note ("MATURITY DATE");
(c) the Mortgage Rate ("ORIG RATE");
(d) the Subservicer pass-through rate ("CURR NET");
(e) the Net Mortgage Rate ("NET MTG RT");
(f) [RESERVED];
(g) the initial scheduled monthly payment of principal, if any, and interest
("ORIGINAL P & I");
(h) the Cut-off Date Principal Balance ("PRINCIPAL BAL");
(i) the Loan-to-Value Ratio at origination ("LTV");
(j) the rate at which the Subservicing Fee accrues ("SUBSERV FEE") and at
which the Servicing Fee accrues ("MSTR SERV FEE");
(k) a code "T," "BT" or "CT" under the column "LN FEATURE," indicating that
the Mortgage Loan is secured by a second or vacation residence;
(l) a code "N" under the column "OCCP CODE," indicating that the Mortgage
Loan is secured by a non-owner occupied residence;
(m) whether such Mortgage Loan constitutes a Group I Loan, Group II Loan,
Group III Loan or Group IV Loan;
(n) the Maximum Mortgage Rate ("NOTE CEILING");
(o) the maximum Adjusted Mortgage Rate ("NET CEILING");
(p) the Note Margin for the ("NOTE MARGIN");
(q) the first Adjustment Date after the Cut-off Date ("NXT INT CHG DT"); and
(r) the Periodic Cap ("PERIODIC DECR" or "PERIODIC INCR").
Such schedule may consist of multiple reports that collectively set forth all of
the information required.
Mortgage Rate: As to any Mortgage Loan, the interest rate borne by the
related Mortgage Note, or any modification thereto other than a Servicing
Modification. The Mortgage Rate on the Mortgage Loans will adjust on each
Adjustment Date to equal the sum (rounded to the nearest multiple of one-eighth
of one percent (0.125%) or up to the nearest one-eighth of one percent, which
are indicated by a "U" on Exhibit One, Exhibit Two, Exhibit Three, Exhibit Four
or Exhibit Five, as applicable, hereto, except in the case of the Mortgage Loans
indicated by an "X" on Exhibit One, Exhibit Two, Exhibit Three, Exhibit Four or
Exhibit Five, as applicable, hereto under the heading "NOTE METHOD"), of the
related Index plus the Note Margin, in each case subject to the applicable
Initial Rate Cap, Periodic Cap, Maximum Mortgage Rate and Minimum Mortgage Rate.
Net Mortgage Rate: As to each Mortgage Loan, a per annum rate of
interest equal to the Adjusted Mortgage Rate less the per annum rate at which
the Servicing Fee is calculated and with respect to the Group II Loans, less the
Credit Risk Advisor Fee Rate; provided that, (i) the Net Mortgage Rate becoming
effective on any Adjustment Date shall not be greater or less than the Net
Mortgage Rate immediately prior to such Adjustment Date plus or minus the
Initial Rate Cap or Periodic Cap applicable to such Mortgage Loan and (ii) the
Net Mortgage Rate for any Mortgage Loan shall not exceed a rate equal to the
Maximum Net Mortgage Rate for such Mortgage Loan.
12
Note Margin: As to each Mortgage Loan, the fixed percentage set forth in
the related Mortgage Note and indicated in Exhibit One, Exhibit Two, Exhibit
Three, Exhibit Four and Exhibit Five, as applicable, hereto as the "NOTE
MARGIN," which percentage is added to the related Index on each Adjustment Date
to determine (subject to rounding in accordance with the related Mortgage Note,
the Initial Rate Cap, the Periodic Cap, the Maximum Mortgage Rate and the
Minimum Mortgage Rate) the interest rate to be borne by such Mortgage Loan until
the next Adjustment Date.
Pass-Through Rate: With respect to the Class I-A1 Certificates and the
Class R-I Certificates, the Sub-Loan Group I-1 Net WAC Rate. For federal income
tax purposes, however, the Class I-A1 Certificates and Class R-I Certificates
will bear interest at a rate equivalent to the foregoing, expressed as the
weighted average of the Pass-Through Rate on Uncertificated REMIC I Regular
Interest I-A1-A, weighted on the basis of the Uncertificated Principal Balance
of such Uncertificated REMIC I Regular Interest immediately preceding the
related Distribution Date. The Pass-Through Rate on the Class I-A1 Certificates
and Class R-I Certificates with respect to the first Interest Accrual Period is
expected to be approximately 5.03226% per annum. With respect to the Class
I-A2-1 and Class I-A2-2 Certificates, the Sub-Loan Group I-2 Net WAC Rate. For
federal income tax purposes, however, the Class I-A2-1 and Class I-A2-2
Certificates will bear interest at a rate equivalent to the foregoing, expressed
as the weighted average of the Pass-Through Rate on Uncertificated REMIC I
Regular Interest I-A2-A, weighted on the basis of the Uncertificated Principal
Balance of such Uncertificated REMIC I Regular Interest immediately preceding
the related Distribution Date. The Pass-Through Rate on the Class I-A2-1 and
Class I-A2-2 Certificates with respect to the first Interest Accrual Period is
expected to be approximately 5.25068% per annum. With respect to the Class
I-A3-1 and Class I-A3-2 Certificates, the Sub-Loan Group I-3 Net WAC Rate. For
federal income tax purposes, however, the Class I-A3-1 and Class I-A3-2
Certificates will bear interest at a rate equivalent to the foregoing, expressed
as the weighted average of the Pass-Through Rate on Uncertificated REMIC I
Regular Interest I-A3-A, weighted on the basis of the Uncertificated Principal
Balance of such Uncertificated REMIC I Regular Interest immediately preceding
the related Distribution Date. The Pass-Through Rate on the Class I-A3-1 and
Class I-A3-2 Certificates with respect to the first Interest Accrual Period is
expected to be approximately 5.40168% per annum. With respect to the Class II-A1
and Class R-II Certificates, the Sub-Loan Group II-1 Net WAC Rate. For federal
income tax purposes, however, the Class II-A1 and Class R-II Certificates will
bear interest at a rate equivalent to the foregoing, expressed as the weighted
average of the Pass-Through Rate on Uncertificated REMIC I Regular Interest
II-A1-A, weighted on the basis of the Uncertificated Principal Balance of such
Uncertificated REMIC I Regular Interest immediately preceding the related
Distribution Date. The Pass-Through Rate on the Class II-A1 and Class R-II
Certificates with respect to the first Interest Accrual Period is expected to be
approximately 5.23048% per annum. With respect to the Class II-A2 Certificates,
the Sub-Loan Group II-2 Net WAC Rate. For federal income tax purposes, however,
the Class II-A2 Certificates will bear interest at a rate equivalent to the
foregoing, expressed as the weighted average of the Pass-Through Rate on
Uncertificated REMIC I Regular Interest II-A2-A, weighted on the basis of the
Uncertificated Principal Balance of such Uncertificated REMIC I Regular Interest
immediately preceding the related Distribution Date. The Pass-Through Rate on
the Class II-A2 Certificates with respect to the first Interest Accrual Period
is expected to be approximately 5.21046% per annum. With respect to the Class
I-M Certificates and Class I-B Certificates, the Group I Subordinate Net WAC
Rate. This determination will be made as of the related Distribution Date prior
to giving effect to any distributions on the Certificates on that date. The
Pass-Through Rate on the Class I-M Certificates and Class I-B Certificates with
respect to the first Interest Accrual period is expected to be approximately
5.16085% per annum. For federal income tax purposes, however, the Class I-M
Certificates and Class I-B Certificates will bear interest at a rate equivalent
to the foregoing, expressed as the weighted average of the Uncertificated REMIC
I Pass-Through Rates on Uncertificated REMIC I Regular Interests I-A1-A, I-A2-A
and I-A3-A weighted on the basis of the Uncertificated Principal Balance of each
such Uncertificated REMIC I Regular Interest immediately preceding the related
Distribution Date. With respect to the Class II-M Certificates and Class II-B
Certificates, the Group II Subordinate Net WAC Rate. This determination will be
made as of the related Distribution Date prior to giving effect to any
distributions on the Certificates on that date. The Pass-Through Rate on the
Class II-M Certificates and Class II-B Certificates with respect to the first
Interest Accrual period is expected to be approximately 5.22166% per annum. For
federal income tax purposes, however, the Class II-M Certificates and Class II-B
Certificates will bear interest at a rate equivalent to the foregoing, expressed
as the weighted average of the Uncertificated REMIC I Pass-Through Rates on
Uncertificated REMIC I Regular Interests II-A1-A and II-A2-A, weighted on the
basis of the Uncertificated Principal Balance of each such Uncertificated REMIC
I Regular Interest immediately preceding the related Distribution Date.
Periodic Cap: With respect to each Mortgage Loan, the periodic rate cap
that limits the increase or the decrease of the related Mortgage Rate on any
Adjustment Date (other than the initial Adjustment Date) pursuant to the terms
of the related Mortgage Note.
Prepayment Assumption: With respect to the Mortgage Loans, a prepayment
assumption of 25% CPR, used for determining the accrual of original issue
discount and market discount and premium on the Certificates for federal income
tax purposes.
Prepayment Distribution Percentage: With respect to any Distribution
Date and each Class of Subordinate Certificates in the Certificate Group for
each Loan Group, under the applicable circumstances set forth below, the
respective percentages set forth below:
(i) For any Distribution Date prior to the Distribution Date in
September 2012 (unless the Certificate Principal Balances of the related
Senior Certificates have been reduced to zero), 0%.
(ii) For any Distribution Date for which clause (i) above does
not apply, and on which any Class of Subordinate Certificates is
outstanding with a Certificate Principal Balance greater than zero:
(a) in the case of the Class of related Subordinate
Certificates then outstanding with the Highest Priority and each
other Class of related Subordinate Certificates for which the
related Prepayment Distribution Trigger has been satisfied, a
fraction, expressed as a percentage, the numerator of which is
the Certificate Principal Balance of such Class immediately prior
to such date and the denominator of which is the sum of the
14
Certificate Principal Balances immediately prior to such date of
(1) the Class of related Subordinate Certificates then
outstanding with the Highest Priority and (2) all other Classes
of related Subordinate Certificates for which the respective
Prepayment Distribution Triggers have been satisfied; and
(b) in the case of each other Class of related Subordinate
Certificates for which the Prepayment Distribution Triggers have
not been satisfied, 0%.
(iii) Notwithstanding the foregoing, if the application of the
foregoing percentages on any Distribution Date as provided in Section
4.02 of this Series Supplement (determined without regard to the proviso
to the definition of "Subordinate Principal Distribution Amount") would
result in a distribution in respect of principal of any Class or Classes
of Subordinate Certificates in an amount greater than the remaining
Certificate Principal Balance thereof (any such class, a "Maturing
Class"), then: (a) the Prepayment Distribution Percentage of each
Maturing Class shall be reduced to a level that, when applied as
described above, would exactly reduce the Certificate Principal Balance
of such Class to zero; (b) the Prepayment Distribution Percentage of
each other related Class of Subordinate Certificates (any such Class, a
"Non-Maturing Class") shall be recalculated in accordance with the
provisions in paragraph (ii) above, as if the Certificate Principal
Balance of each Maturing Class had been reduced to zero (such percentage
as recalculated, the "Recalculated Percentage"); (c) the total amount of
the reductions in the Prepayment Distribution Percentages of the
Maturing Class or Classes pursuant to clause (a) of this sentence,
expressed as an aggregate percentage, shall be allocated among the
related Non-Maturing Classes in proportion to their respective
Recalculated Percentages (the portion of such aggregate reduction so
allocated to any Non-Maturing Class, the "Adjustment Percentage"); and
(d) for purposes of such Distribution Date, the Prepayment Distribution
Percentage of each related Non-Maturing Class shall be equal to the sum
of (1) the Prepayment Distribution Percentage thereof, calculated in
accordance with the provisions in paragraph (ii) above as if the
Certificate Principal Balance of each related Maturing Class had not
been reduced to zero, plus (2) the related Adjustment Percentage.
Qualified Substitute Mortgage Loan: A Mortgage Loan substituted by
Residential Funding or the Company for a Deleted Mortgage Loan which must, on
the date of such substitution, as confirmed in an Officers' Certificate
delivered to the Trustee, with a copy to the Custodian,
(i) have an outstanding principal balance, after deduction of the
principal portion of the monthly payment due in the month of
substitution (or in the case of a substitution of more than one
Mortgage Loan for a Deleted Mortgage Loan, an aggregate
outstanding principal balance, after such deduction), not in
excess of the Stated Principal Balance of the Deleted Mortgage
Loan (the amount of any shortfall to be deposited by Residential
Funding in the Custodial Account in the month of substitution);
15
(ii) have a Mortgage Rate and a Net Mortgage Rate no lower than and
not more than 1% per annum higher than the Mortgage Rate and Net
Mortgage Rate, respectively, of the Deleted Mortgage Loan as of
the date of substitution;
(iii) have a Loan-to-Value Ratio at the time of substitution no higher
than that of the Deleted Mortgage Loan at the time of
substitution;
(iv) have a remaining term to stated maturity not greater than (and
not more than one year less than) that of the Deleted Mortgage
Loan;
(v) have a Mortgage Rate that adjusts with the same frequency and
based upon the same Index as that of the Deleted Mortgage Loan;
(vi) have a Note Margin not less than that of the Deleted Mortgage
Loan;
(vii) have a Periodic Rate Cap that is equal to that of the Deleted
Mortgage Loan;
(viii) have an Initial Rate Cap that is not less than that of the
Deleted Mortgage Loan;
(ix) have a next Adjustment Date no later than that of the Deleted
Mortgage Loan;
(x) have a Maximum Rate no less than that of the Deleted Mortgage
Loan;
(xi) have a Minimum Rate no less than that of the Deleted Mortgage
Loan; and
(xii) comply with each representation and warranty set forth in
Sections 2.03 and 2.04 hereof and Section 4 of the Assignment
Agreement.
Record Date: With respect to each Distribution Date and each Class of
Certificates, the close of business on the last business day of the month next
preceding the month in which the related Distribution Date occurs.
Records: As set forth in Section 3.23(b) herein.
REMIC I: The segregated pool of assets related to this Series, with
respect to which a REMIC election is to be made (except as provided below)
pursuant to this Agreement, consisting of:
(i) the Mortgage Loans and the related Mortgage Files and collateral
securing such Mortgage Loans,
(ii) all payments on and collections in respect of the Mortgage Loans
due after the Cut-off Date (other than Monthly Payments due in
the month of the Cut-off Date) as shall be on deposit in the
Custodial Account or in the Certificate Account and identified as
belonging to the Trust Fund, but not including amounts on deposit
in the Initial Monthly Payment Fund,
(iii) property that secured a Mortgage Loan and that has been acquired
for the benefit of the Certificateholders by foreclosure or deed
in lieu of foreclosure,
16
(iv) the hazard insurance policies and Primary Insurance Policies, if
any, and
(v) all proceeds of clauses (i) through (iv) above.
Notwithstanding the foregoing, the REMIC election with respect to REMIC
I specifically excludes the Initial Monthly Payment Fund.
REMIC I Certificates: The Class R-I Certificates.
REMIC I Subordinate Balance Ratio: The ratio among the principal
balances of each of the Uncertificated REMIC I Regular Interests ending with the
designation "A," equal to the ratio among each related Subordinate Component.
REMIC II. The segregated pool of assets consisting of the Uncertificated
REMIC I Regular Interests conveyed in trust to the Trustee for the benefit of
the holders of the Class I-A1, Class I-A2-1, Class I-A-2, Class I-A3-1, Class
I-A3-2, Class II-A1, Class II-A2, Class I-M-1, Class I-M-2, Class I-M-3, Class
II-M-1, Class II-M-2, Class II-M-3, Class I-B-1, Class I-B-2, Class I-B-3, Class
II-B-1, Class II-B-2, Class II-B-3 and Class R-II Certificates pursuant to
Section 10.04, with respect to which a separate REMIC election is to be made.
The REMIC election with respect to REMIC II specifically excludes the Initial
Monthly Payment Fund.
REMIC II Certificates: Any of the Class I-A1, Class I-A2-1, Class I-A-2,
Class I-A3-1, Class I-A3-2, Class II-A1, Class II-A2, Class I-M-1, Class I-M-2,
Class I-M-3, Class II-M-1, Class II-M-2, Class II-M-3, Class I-B-1, Class I-B-2,
Class I-B-3, Class II-B-1, Class II-B-2, Class II-B-3 and Class R-II
Certificates.
Senior Accelerated Distribution Percentage: With respect to any
Distribution Date occurring on or prior to the 84th Distribution Date and any
Sub-Loan Group, 100%. With respect to any Distribution Date thereafter and such
Sub-Loan Group, as follows:
(i) for any Distribution Date after the 84th Distribution Date but on
or prior to the 96th Distribution Date, the related Senior
Percentage for such Distribution Date plus 70% of the related
Subordinate Percentage for such Distribution Date;
(ii) for any Distribution Date after the 96th Distribution Date but on
or prior to the 108th Distribution Date, the related Senior
Percentage for such Distribution Date plus 60% of the related
Subordinate Percentage for such Distribution Date;
(iii) for any Distribution Date after the 108th Distribution Date but
on or prior to the 120th Distribution Date, the related Senior
Percentage for such Distribution Date plus 40% of the related
Subordinate Percentage for such Distribution Date;
(iv) for any Distribution Date after the 120th Distribution Date but
on or prior to the 132nd Distribution Date, the related Senior
Percentage for such Distribution Date plus 20% of the related
Subordinate Percentage for such Distribution Date; and
17
(v) for any Distribution Date thereafter, the related Senior
Percentage for such Distribution Date.
Any scheduled reduction, as described in the preceding paragraph, shall
not be made as of any Distribution Date unless:
(a) the outstanding principal balance of the Mortgage Loans in
the Loan Group related to such Sub-Loan Group delinquent 60 days or more
averaged over the last six months, as a percentage of the aggregate
outstanding Certificate Principal Balance of the related Subordinate
Certificates, is less than 50% and
(b) Realized Losses on the Mortgage Loans in the Loan Group
related to such Sub-Loan Group to date for such Distribution Date, if
occurring during the eighth, ninth, tenth, eleventh or twelfth year, or
any year thereafter, after the Closing Date, are less than 30%, 35%,
40%, 45% or 50%, respectively, of the sum of the Initial Certificate
Principal Balances of the related Subordinate Certificates.
Notwithstanding the foregoing, if (a) the weighted average of the
Subordinate Percentages for the related Sub-Loan Group is equal to or in excess
of twice the initial weighted average of the initial Subordinate Percentages for
the related Sub-Loan Group, (b) the outstanding principal balance of the
Mortgage Loans in the Loan Group related to such Sub-Loan Group delinquent 60
days or more averaged over the last six months, as a percentage of the aggregate
outstanding Certificate Principal Balance of the Subordinate Certificates, does
not exceed 50% and (c)(i) prior to the Distribution Date in September 2008,
cumulative Realized Losses on the Mortgage Loans in the Loan Group related to
such Sub-Loan Group do not exceed 20% of the sum of the initial Certificate
Principal Balances of the related Subordinate Certificates, and (ii) thereafter,
cumulative Realized Losses on the Mortgage Loans in the two Loan Group related
to such Sub-Loan Group do not exceed 30% of the sum of the initial Certificate
Principal Balances of the Subordinate Certificates, then (A) on any Distribution
Date prior to the Distribution Date in September 2008, each Senior Accelerated
Distribution Percentage for such Distribution Date will equal the related Senior
Percentage for that Distribution Date plus 50% of the related Subordinate
Percentage for such Distribution Date, and (B) on any Distribution Date on or
after the Distribution Date in September 2008, each Senior Accelerated
Distribution Percentage for that Distribution Date will equal the related Senior
Percentage for that Distribution Date.
Notwithstanding the foregoing, on any Distribution Date on which the
weighted average of the related Senior Percentages for each related Sub-Loan
Group, weighted on the basis of the Stated Principal Balances of the Mortgage
Loans in the related Sub-Loan Group, exceeds the weighted average of the initial
related Senior Percentages (calculated on such basis), each of the related
Senior Accelerated Distribution Percentages for such Distribution Date will
equal 100%.
Notwithstanding the foregoing, upon reduction of the Certificate
Principal Balances of the Senior Certificates related to a Sub-Loan Group, to
zero, the related Senior Accelerated Distribution Percentage will equal 0%.
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Senior Certificate: Any one of the Class A Certificates or Class R
Certificates, executed by the Trustee and authenticated by the Certificate
Registrar substantially in the form annexed to the Standard Terms as Exhibit A
and Exhibit D, respectively.
Senior Interest Distribution Amount: With respect to any Distribution
Date and each Sub-Loan Group, the aggregate amount of Accrued Certificate
Interest required to be distributed from the related Available Distribution
Amount to the Holders of the Certificates in the related Certificate Sub-Loan
Group, on such Distribution Date pursuant to Sections 4.02(a)(i).
Senior Percentage: The Class I-A1 Percentage, the Class I-A2 Percentage,
the Class I-A3 Percentage, the Class II-A1 Percentage or the Class II-A2
Percentage, as applicable.
Senior Principal Distribution Amount: With respect to any Distribution
Date and Sub-Loan Group, the lesser of (a) the balance of the related Available
Distribution Amount remaining after the distribution of the Senior Interest
Distribution Amount and (b) the sum of the amounts required to be distributed to
the Senior Certificateholders of the related Certificate Sub-Loan Group on such
Distribution Date pursuant to Sections 4.02(a)(ii) and 4.02(a)(xvi).
Sub-Loan Group: Any of Sub-Loan Group I-1, Sub-Loan Group I-2, Sub-Loan
Group I-3, Sub-Loan Group II-1 or Sub-Loan Group II-2.
Sub-Loan Group I-1: The group of Mortgage Loans comprised of the
Sub-Loan Group I-1 Loans.
Sub-Loan Group I-1 Certificate: The Class I-A1 Certificates or the Class
R-I Certificates, executed by the Trustee and authenticated by the Certificate
Registrar substantially in the form annexed to the Standard Terms as Exhibit A
or Exhibit D, as applicable, each such Certificate evidencing an interest
designated as a "regular interest" in REMIC II for purposes of the REMIC
Provisions and representing an undivided interest in Loan Group I.
Sub-Loan Group I-1 Loans: The Mortgage Loans designated on the Mortgage
Loan Schedule as Sub-Loan Group I-1 Loans.
Sub-Loan Group I-1 Senior Certificates: The Class I-A1 Certificates or
Class R-I Certificates, which are related to and are payable primarily from the
Sub-Loan Group I-1 Loans.
Sub-Loan Group I-2: The group of Mortgage Loans comprised of the
Sub-Loan Group I-2 Loans.
19
Sub-Loan Group I-2 Certificate: The Class I-A2-1 Certificates and Class
I-A2-2 Certificates executed by the Trustee and authenticated by the Certificate
Registrar substantially in the form annexed to the Standard Terms as Exhibit A,
each such Certificate evidencing an interest designated as a "regular interest"
in REMIC II for purposes of the REMIC Provisions and representing an undivided
interest in Loan Group I.
Sub-Loan Group I-2 Loans: The Mortgage Loans designated on the Mortgage
Loan Schedule as Sub-Loan Group I-2 Loans.
Sub-Loan Group I-2 Senior Certificates: The Class I-A2-1 Certificates
and Class I-A2-2 Certificates, which are related to and are payable primarily
from the Sub-Loan Group I-2 Loans.
Sub-Loan Group I-3: The group of Mortgage Loans comprised of the
Sub-Loan Group I-3 Loans.
Sub-Loan Group I-3 Certificate: The Class I-A3-1 Certificates and the
Class I-A3-2 Certificates executed by the Trustee and authenticated by the
Certificate Registrar substantially in the form annexed to the Standard Terms as
Exhibit A, each such Certificate evidencing an interest designated as a "regular
interest" in REMIC II for purposes of the REMIC Provisions and representing an
undivided interest in Loan Group I.
Sub-Loan Group I-3 Loans: The Mortgage Loans designated on the Mortgage
Loan Schedule as Sub-Loan Group I-3 Loans.
Sub-Loan Group I-3 Senior Certificates: The Class I-A3-1 and Class
I-A3-2 Certificates, which are related to and are payable primarily from the
Sub-Loan Group I-3 Loans.
Sub-Loan Group II-1: The group of Mortgage Loans comprised of the
Sub-Loan Group II-1 Loans.
Sub-Loan Group II-1 Certificate: The Class II-A1 or Class R-II
Certificates, executed by the Trustee and authenticated by the Certificate
Registrar substantially in the form annexed to the Standard Terms as Exhibit A
or Exhibit D, respectively, each such Certificate representing an interest
designated as a "regular interest" in REMIC II for purposes of the REMIC
Provisions, and representing an undivided interest in Loan Group II.
Sub-Loan Group II-1 Loans: The Mortgage Loans designated on the Mortgage
Loan Schedule as Sub-Loan Group II-1 Loans.
Sub-Loan Group II-1 Senior Certificates: The Class II-A1 and Class R-II
Certificates, which are related to and are payable primarily from the Sub-Loan
Group II-1 Loans.
Sub-Loan Group II-2: The group of Mortgage Loans comprised of the
Sub-Loan Group II-2 Loans.
Sub-Loan Group II-2 Certificate: The Class II-A2 Certificates, executed
by the Trustee and authenticated by the Certificate Registrar substantially in
the form annexed to the Standard Terms as Exhibit A, each such Certificate
representing an interest in REMIC II for purposes of the REMIC Provisions, and
representing an undivided interest in Loan Group II.
Sub-Loan Group II-2 Loans: The Mortgage Loans designated on the Mortgage
Loan Schedule as Sub-Loan Group II-2 Loans.
Sub-Loan Group II-2 Senior Certificates: The Class II-A2 Certificates,
which are related to and are payable primarily from the Sub-Loan Group II-2
Loans.
20
Sub-Loan Group Net WAC Rate: With respect to any distribution date and
each of Sub-Loan Group I-1, Sub-Loan Group I-2, Sub-Loan Group I-3, Sub-Loan
Group II-1 and Sub-Loan Group II-2, as applicable, the weighted average of the
Net Mortgage Rates of the mortgage loans in the related Sub-Loan Group as of the
end of the calendar month immediately preceding the month in which such
distribution date occurs. Each referred to herein as the Sub-Loan Group I-1 Net
WAC Rate, the Sub-Loan Group I-2 Net WAC Rate, the Sub-Loan Group I-3 Net WAC
Rate, the Sub-Loan Group II-1 Net WAC Rate or the Sub-Loan Group II-2 Net WAC
Rate, as applicable.
Subordinate Certificate: With respect to Loan Group I, any one of the
Class I-M Certificates or Class I-B-1, Class I-B-2 and Class I-B-3 Certificates,
executed by the Trustee and authenticated by the Certificate Registrar
substantially in the form annexed hereto as Exhibit B and Exhibit C,
respectively, each such Certificate representing an interest designated as a
"regular interest" in REMIC II for purposes of the REMIC Provisions. With
respect to Loan Group II, any one of the Class II-M Certificates or Class
II-B-1, Class II-B-2 and Class II-B-3 Certificates, executed by the Trustee and
authenticated by the Certificate Registrar substantially in the form annexed
hereto as Exhibit B and Exhibit C, respectively, each such Certificate
representing an interest designated as a "regular interest" in REMIC II for
purposes of the REMIC Provisions.
Subordinate Class Percentage: With respect to any Distribution Date and
any Class of Subordinate Certificates, a fraction, expressed as a percentage,
the numerator of which is the aggregate Certificate Principal Balance of such
Class of Subordinate Certificates immediately prior to such date and the
denominator of which is the aggregate Stated Principal Balance of all of the
Mortgage Loans in the related Loan Group (or related REO Properties) immediately
prior to such Distribution Date.
Subordinate Component: With respect to each Sub-Loan Group and any
Distribution Date, the aggregate Stated Principal Balance of the Mortgage Loans
in the related Sub-Loan Group for that Distribution Date minus the aggregate
Certificate Principal Balance of the Certificates in the related Certificate
Sub-Loan Group immediately prior to that Distribution Date.
Subordinate Percentage: With respect to any Sub-Loan Group, and as of
any Determination Date, a percentage equal to 100% minus the related Senior
Percentage as of that date.
Subordinate Principal Distribution Amount: With respect to any
Distribution Date and Loan Group and each Class of related Subordinate
Certificates, (a) the sum of (i) the product of (x) the Class's pro rata share,
based on the Certificate Principal Balance of each Class of related Subordinate
Certificates then outstanding, and (y) the aggregate of the amounts calculated
for such Distribution Date for the related Loan Group under clauses (1), (2) and
(3) of Section 4.02(a)(ii)(A) of this Series Supplement (without giving effect
to the related Senior Percentage) to the extent not payable to the related
Senior Certificates; (ii) such Class's pro rata share, based on the Certificate
Principal Balance of each Class of related Subordinate Certificates then
outstanding, of the principal collections described in Section 4.02(a)(ii)(B)(b)
of this Series Supplement for the related Loan Group (without giving effect to
the related Senior Accelerated Distribution Percentage) to the extent such
collections are not otherwise distributed to the related Senior Certificates;
(iii) the product of (x) the related Prepayment Distribution Percentage and (y)
the aggregate of all Principal Prepayments in Full received in the related
21
Prepayment Period and Curtailments received in the preceding calendar month for
the related Loan Group to the extent not payable to the related Senior
Certificates; and (iv) any amounts described in clauses (i), (ii) and (iii) as
determined for any previous Distribution Date, that remain undistributed to the
extent that such amounts are not attributable to Realized Losses which have been
allocated to a Class of related Subordinate Certificates; minus (b) the related
Capitalization Reimbursement Amount for such Loan Group and Distribution Date
multiplied by a fraction, the numerator of which is the Subordinate Principal
Distribution Amount for such Class of related Subordinate Certificates, without
giving effect to this clause (b) and the denominator of which is the sum of the
principal distribution amounts for all related Classes of Certificates in the
related Certificate Group, without giving effect to any reductions for the
Capitalization Reimbursement Amount.
Trust Fund: REMIC I, REMIC II and the Initial Monthly Payment Fund.
Uncertificated Accrued Interest: With respect to each Uncertificated
REMIC I Regular Interest on each Distribution Date, an amount equal to one
month's interest at the related Uncertificated REMIC I Pass-Through Rate, on the
Uncertificated Principal Balance of such Uncertificated REMIC I Regular
Interest. Uncertificated Accrued Interest on the Uncertificated REMIC I Regular
Interests will be reduced by any Prepayment Interest Shortfalls and Relief Act
Interest Shortfalls, allocated among such Uncertificated REMIC I Regular
Interests, pro rata.
Uncertificated Principal Balance: The principal amount of any
Uncertificated REMIC I Regular Interest outstanding as of any date of
determination. The Uncertificated Principal Balance of each Uncertificated REMIC
I Regular Interest shall be reduced by all distributions of principal made on,
and allocation of Realized Losses to, such Uncertificated REMIC I Regular
Interest, on such Distribution Date. The Uncertificated Principal Balance of
each Uncertificated REMIC I Regular Interest shall never be less than zero.
Uncertificated REMIC I Regular Interests: The Uncertificated partial
undivided beneficial ownership interests in REMIC I, designated as
Uncertificated REMIC I Regular Interests I-A1-A, I-A1-B, I-A2-A, I-A2-B, I-A3-A,
I-A3-B, II-A1-A, II-A1-B, II-A2-A, II-A2-B, I-ZZZ, II-ZZZ and R-II, each having
an Uncertificated Principal Balance as specified herein and bearing interest at
a rate equal to the related Uncertificated REMIC I Pass-Through Rate.
Uncertificated REMIC I Pass-Through Rate: With respect to each of the
Uncertificated REMIC I Regular Interests I-A1-A, I-A2-A, I-A3-A and I-ZZZ, on
the one hand, and the II-A1-A and II-A2-A, on the other hand, the weighted
average of the Net Mortgage Rates of the Group I Mortgage Loans or Group II
Mortgage Loans, as the case may be, weighted on the basis of the respective
Stated Principal Balances of each such Mortgage Loan as of the beginning of the
Due Period immediately preceding the related Distribution Date. With respect to
Uncertificated REMIC I Regular Interest I-A1-B and R-I, the Sub-Loan Group I-1
Net WAC Rate. With respect to the Uncertificated REMIC I Regular Interest
I-A2-B, the Sub-Loan Group I-2 Net WAC Rate. With respect to the Uncertificated
REMIC I Regular Interest I-A3-B, the Sub-Loan Group I-3 Net WAC Rate. With
respect to the Uncertificated REMIC I Regular Interest II-A1-B, the Sub-Loan
Group II-1 Net WAC Rate. With respect to the Uncertificated REMIC I Regular
Interest II-A2-B, the Sub-Loan Group II-2 Net WAC Rate.
22
Uncertificated REMIC I Regular Interest Distribution Amount: With
respect to any Distribution Date, the sum of the amounts deemed to be
distributed on the Uncertificated REMIC I Regular Interests for such
Distribution Date pursuant to Section 10.04(a).
Undercollateralized Amount: With respect any Certificate Sub-Loan Group
and Distribution Date, the excess of (i) the aggregate Certificate Principal
Balance of such Certificate Sub-Loan Group over (ii) the aggregate Stated
Principal Balance of the Mortgage Loans in the related Sub-Loan Group, in each
case calculated on such Distribution Date after giving effect to distributions
to be made thereon (other than amounts to be distributed pursuant to Section
4.02(d) on such Distribution Date).
Undercollateralized Certificate Sub-Loan Group: With respect any
Distribution Date, a Certificate Sub-Loan Group for which the related
Undercollateralized Amount exceeds zero.
Underwriter: Greenwich Capital Markets, Inc.
Section 1.02 Use of Words and Phrases.
"Herein," "hereby," "hereunder," "hereof," "hereinbefore," "hereinafter"
and other equivalent words refer to the Pooling and Servicing Agreement as a
whole. All references herein to Articles, Sections or Subsections shall mean the
corresponding Articles, Sections and Subsections in the Pooling and Servicing
Agreement. The definitions set forth herein include both the singular and the
plural.
ARTICLE II
CONVEYANCE OF MORTGAGE LOANS;
ORIGINAL ISSUANCE OF CERTIFICATES
Section 2.01 Conveyance of Mortgage Loans. (See Section 2.01 of the Standard
Terms)
(a) The Company, concurrently with the execution and delivery hereof,
does hereby assign to the Trustee without recourse all the right, title and
interest of the Company in and to the Mortgage Loans, including all interest and
principal received on or with respect to the Mortgage Loans after the Cut-off
Date (other than payments of principal and interest due on the Mortgage Loans in
the month of the Cut-off Date). In connection with such transfer and assignment,
the Company does hereby deliver to the Trustee the Certificate Policy (as
defined in the Series Supplement), if any. The Company, the Master Servicer and
the Trustee agree that it is not intended that any mortgage loan be included in
the Trust that is (i) a "High-Cost Home Loan" as defined in the New Jersey Home
Ownership Act effective November 27, 2003, (ii) a "High-Cost Home Loan" as
defined in the New Mexico Home Loan Protection Act effective January 1, 2004,
(iii) a "High Cost Home Mortgage Loan" as defined in the Massachusetts Predatory
Home Practices Act effective November 7, 2004 or (iv) a "High-Cost Home Loan" as
defined in the Indiana House Enrolled Act No. 1229, effective as of January 1,
2005.
23
(b) - (h) (See Section 2.01(b) - (h) of the Standard Terms)
Section 2.02 Acceptance by Trustee. (See Section 2.02 Of The Standard Terms)
Section 2.03 Representations, Warranties and Covenants of the Master Servicer
and the Company.
(a) For representations, warranties and covenants of the Master Servicer,
see Section 2.03(a) of the Standard Terms.
(b) The Company hereby represents and warrants to the Trustee for the
benefit of Certificateholders that as of the Closing Date (or, if
otherwise specified below, as of the date so specified):
(i) No Mortgage Loan is 30 or more days Delinquent in payment of principal
and interest as of the Cut-off Date and no Mortgage Loan has been so
Delinquent more than once in the 12-month period prior to the Cut-off
Date;
(ii) The information set forth in Exhibits One, Two, Three, Four and Five
hereto with respect to each Mortgage Loan or the Mortgage Loans, as the
case may be, in Sub-Loan Group I-1, Sub-Loan Group I-2, Sub-Loan Group
I-3, Sub-Loan Group II-1 and Sub-Loan Group II-2, respectively, is true
and correct in all material respects at the date or dates respecting
which such information is furnished;
(iii) The Mortgage Loans are fully-amortizing (subject to interest only
periods, if applicable), hybrid adjustable-rate mortgage loans with
level Monthly Payments due, with respect to a majority of the Mortgage
Loans, on the first day of each month and terms to maturity at
origination or modification of not more than 30 years;
(iv) To the best of the Company's knowledge, if a Mortgage Loan is secured by
a Mortgaged Property with a Loan-to-Value Ratio at origination in excess
of 80%, such Mortgage Loan is the subject of a Primary Insurance Policy
that insures that (a) at least 30% of the Stated Principal Balance of
the Mortgage Loan at origination if the Loan-to-Value Ratio is between
95.00% and 90.01%, (b) at least 25% of such balance if the Loan-to-Value
Ratio is between 90.00% and 85.01%, and (c) at least 12% of such balance
if the Loan-to-Value Ratio is between 85.00% and 80.01%. To the best of
the Company's knowledge, each such Primary Insurance Policy is in full
force and effect and the Trustee is entitled to the benefits thereunder;
(v) The issuers of the Primary Insurance Policies are insurance companies
whose claims-paying abilities are currently acceptable to each Rating
Agency;
(vi) No more than 1.0% of the Group I Loans by aggregate Stated Principal
Balance as of the Cut-off Date are secured by Mortgaged Properties
located in any one zip code area in Virginia, no more than 1.7% of the
Sub-Loan Group I-1 Loans by aggregate Stated Principal Balance as of the
Cut-off Date are secured by Mortgaged Properties located in any one zip
code area in Arizona, no more than 2.2% of the Sub-Loan Group I-2 Loans
by aggregate Stated Principal Balance as of the Cut-off Date are secured
by Mortgaged Properties located in any one zip code area in Virginia, no
more than 5.3% of the Sub-Loan Group I-3 Loans by aggregate Stated
Principal Balance as of the Cut-off Date are secured by Mortgaged
Properties located in any one zip code area in Virginia, no more than
1.0% of the Group II Loans by aggregate Stated Principal Balance as of
the Cut-off Date are secured by Mortgaged Properties located in any one
zip code area in Virginia, no more than 1.8% of the Sub-Loan Group II-1
24
Loans by aggregate Stated Principal Balance as of the Cut-off Date are
secured by Mortgaged Properties located in any one zip code area in
Virginia, no more than 1.1% of the Sub-Loan Group II-2 Loans by
aggregate Stated Principal Balance as of the Cut-off Date are secured by
Mortgaged Properties located in any one zip code area in Virginia, no
more than 0.8% of the Group I Loans are secured by Mortgaged Properties
located in any one zip code area outside Virginia, no more than 1.3% of
the Sub-Loan Group I-1 Loans are secured by Mortgaged Properties located
in any one zip code area outside Arizona, no more than 1.7% of the
Sub-Loan Group I-2 Loans are secured by Mortgaged Properties located in
any one zip code area outside Virginia, no more than 5.1% of the
Sub-Loan Group I-3 Loans are secured by Mortgaged Properties located in
any one zip code area outside Virginia, no more than 0.9% of the Group
II Loans are secured by Mortgaged Properties located in any one zip code
area outside Virginia, no more than 0.8% of the Sub-Loan Group II-1
Loans are secured by Mortgaged Properties located in any one zip code
area outside Virginia, no more than 1.0% of the Sub-Loan Group II-2
Loans are secured by Mortgaged Properties located in any one zip code
area outside Virginia;
(vii) The improvements upon the Mortgaged Properties are insured against loss
by fire and other hazards as required by the Program Guide, including
flood insurance if required under the National Flood Insurance Act of
1968, as amended. The Mortgage requires the Mortgagor to maintain such
casualty insurance at the Mortgagor's expense, and on the Mortgagor's
failure to do so, authorizes the holder of the Mortgage to obtain and
maintain such insurance at the Mortgagor's expense and to seek
reimbursement therefor from the Mortgagor;
(viii) Immediately prior to the assignment of the Mortgage Loans to the
Trustee, the Company had good title to, and was the sole owner of, each
Mortgage Loan free and clear of any pledge, lien, encumbrance or
security interest (other than rights to servicing and related
compensation) and such assignment validly transfers ownership of the
Mortgage Loans to the Trustee free and clear of any pledge, lien,
encumbrance or security interest;
(ix) No more than 43.59% of the Group I Loans, no more than 34.03% of the
Sub-Loan Group I-1 Loans, no more than 60.70% of the Sub-Loan Group I-2
Loans, no more than 10.59% of the Sub-Loan Group I-3 Loans, no more than
25.94% of the Group II Loans, no more than 29.09% of the Sub-Loan Group
II-1 Loans and no more than 21.93% of the Sub-Loan Group II-2 Loans,
were underwritten under a reduced loan documentation program;
(x) Each Mortgagor represented in its loan application with respect to the
related Mortgage Loan that the Mortgaged Property would be
owner-occupied and therefore would not be an investor property as of the
date of origination of such Mortgage Loan. No Mortgagor is a corporation
or a partnership;
25
(xi) None of the Mortgage Loans as of the Cut-off Date are Buydown Mortgage
Loans;
(xii) Each Mortgage Loan constitutes a qualified mortgage under Section
860G(a)(3)(A) of the Code and Treasury Regulations Section
1.860G-2(a)(1);
(xiii) A policy of title insurance was effective as of the closing of each
Mortgage Loan and is valid and binding and remains in full force and
effect, unless the Mortgaged Properties are located in the State of Iowa
and an attorney's certificate has been provided as described in the
Program Guide;
(xiv) Five Group I Loans, representing approximately 0.71% of the Group I
Loans, three Sub-Loan Group I-1 Loans, representing approximately 1.01%
of the Sub-Loan Group I-1 Loans, two Sub-Loan Group I-2 Loans,
representing approximately 0.54% of the Sub-Loan Group I-2 Loans, one
Group II Loan, representing approximately 0.03% of the Group II Loans
and one Sub-Loan Group II-2 Loan, representing approximately 0.06% of
the Sub-Loan Group II-2 Loans are Cooperative Loans;
(xv) With respect to each Mortgage Loan originated under a "streamlined"
Mortgage Loan program (through which no new or updated appraisals of
Mortgaged Properties are obtained in connection with the refinancing
thereof), the related Seller has represented that either (a) the value
of the related Mortgaged Property as of the date the Mortgage Loan was
originated was not less than the appraised value of such property at the
time of origination of the refinanced Mortgage Loan or (b) the
Loan-to-Value Ratio of the Mortgage Loan as of the date of origination
of the Mortgage Loan generally meets the Company's underwriting
guidelines;
(xvi) Interest on each Mortgage Loan is calculated on the basis of a 360-day
year consisting of twelve 30-day months;
(xvii) None of the Mortgage Loans contains in the related Mortgage File a
Destroyed Mortgage Note; and
(xviii) None of the Mortgage Loans are Pledged Asset Loans or Additional
Collateral Loans.
It is understood and agreed that the representations and warranties set forth in
this Section 2.03(b) shall survive delivery of the respective Mortgage Files to
the Trustee or any Custodian.
Upon discovery by any of the Company, the Master Servicer, the Trustee
or any Custodian of a breach of any of the representations and warranties set
forth in this Section 2.03(b) that materially and adversely affects the
interests of the Certificateholders in any Mortgage Loan, the party discovering
such breach shall give prompt written notice to the other parties (any Custodian
being so obligated under a Custodial Agreement); provided, however, that in the
event of a breach of the representation and warranty set forth in Section
2.03(b)(xii), the party discovering such breach shall give such notice within
five days of discovery. Within 90 days of its discovery or its receipt of notice
of breach, the Company shall either (i) cure such breach in all material
respects or (ii) purchase such Mortgage Loan from the Trust Fund at the Purchase
26
Price and in the manner set forth in Section 2.02; provided that the Company
shall have the option to substitute a Qualified Substitute Mortgage Loan or
Loans for such Mortgage Loan if such substitution occurs within two years
following the Closing Date; provided that if the omission or defect would cause
the Mortgage Loan to be other than a "qualified mortgage" as defined in Section
860G(a)(3) of the Code, any such cure or repurchase must occur within 90 days
from the date such breach was discovered. Any such substitution shall be
effected by the Company under the same terms and conditions as provided in
Section 2.04 for substitutions by Residential Funding. It is understood and
agreed that the obligation of the Company to cure such breach or to so purchase
or substitute for any Mortgage Loan as to which such a breach has occurred and
is continuing shall constitute the sole remedy respecting such breach available
to the Certificateholders or the Trustee on behalf of the Certificateholders.
Notwithstanding the foregoing, the Company shall not be required to cure
breaches or purchase or substitute for Mortgage Loans as provided in this
Section 2.03(b) if the substance of the breach of a representation set forth
above also constitutes fraud in the origination of the Mortgage Loan.
Section 2.04 Representations and Warranties of Sellers.
The Company, as assignee of Residential Funding under the Assignment
Agreement, hereby assigns to the Trustee for the benefit of Certificateholders
all of its right, title and interest in respect of the Assignment Agreement and
each Seller's Agreement (to the extent assigned to the Company pursuant to the
Assignment Agreement) applicable to a Mortgage Loan. Insofar as the Assignment
Agreement or the Company's rights under such Seller's Agreement relate to the
representations and warranties made by Residential Funding or the related Seller
in respect of such Mortgage Loan and any remedies provided thereunder for any
breach of such representations and warranties, such right, title and interest
may be enforced by the Master Servicer on behalf of the Trustee and the
Certificateholders. Upon the discovery by the Company, the Master Servicer, the
Trustee or any Custodian of a breach of any of the representations and
warranties made in a Seller's Agreement that have been assigned to the Trustee
pursuant to this Section 2.04 or of a breach of any of the representations and
warranties made in the Assignment Agreement (which, for purposes hereof, will be
deemed to include any other cause giving rise to a repurchase obligation under
the Assignment Agreement) in respect of any Mortgage Loan which materially and
adversely affects the interests of the Certificateholders in such Mortgage Loan,
the party discovering such breach shall give prompt written notice to the other
parties (any Custodian being so obligated under a Custodial Agreement). The
Master Servicer shall promptly notify the related Seller or Residential Funding,
as the case may be, of such breach and request that such Seller or Residential
Funding, as the case may be, either (i) cure such breach in all material
respects within 90 days from the date the Master Servicer was notified of such
breach or (ii) purchase such Mortgage Loan from the Trust Fund at the Purchase
Price and in the manner set forth in Section 2.02; provided that in the case of
a breach under the Assignment Agreement Residential Funding shall have the
option to substitute a Qualified Substitute Mortgage Loan or Loans for such
Mortgage Loan if such substitution occurs within two years following the Closing
Date; provided that if the breach would cause the Mortgage Loan to be other than
a "qualified mortgage" as defined in Section 860G(a)(3) of the Code, any such
cure, repurchase or substitution must occur within 90 days from the date the
breach was discovered. If the breach of representation and warranty that gave
rise to the obligation to repurchase or substitute a Mortgage Loan pursuant to
Section 4 of the Assignment Agreement was the representation and warranty set
forth in clause (xii) of Section 4 thereof, then the Master Servicer shall
request that Residential Funding pay to the Trust Fund, concurrently with and in
addition to the remedies provided in the preceding sentence, an amount equal to
any liability, penalty or expense that was actually incurred and paid out of or
27
on behalf of the Trust Fund, and that directly resulted from such breach, or if
incurred and paid by the Trust Fund thereafter, concurrently with such payment.
In the event that Residential Funding elects to substitute a Qualified
Substitute Mortgage Loan or Loans for a Deleted Mortgage Loan pursuant to this
Section 2.04, Residential Funding shall deliver to the Trustee for the benefit
of the Certificateholders with respect to such Qualified Substitute Mortgage
Loan or Loans, the original Mortgage Note, the Mortgage, an Assignment of the
Mortgage in recordable form if required pursuant to Section 2.01, and such other
documents and agreements as are required by Section 2.01, with the Mortgage Note
endorsed as required by Section 2.01. No substitution will be made in any
calendar month after the Determination Date for such month. Monthly Payments due
with respect to Qualified Substitute Mortgage Loans in the month of substitution
shall not be part of the Trust Fund and will be retained by the Master Servicer
and remitted by the Master Servicer to Residential Funding on the next
succeeding Distribution Date. For the month of substitution, distributions to
the Certificateholders will include the Monthly Payment due on a Deleted
Mortgage Loan for such month and thereafter Residential Funding shall be
entitled to retain all amounts received in respect of such Deleted Mortgage
Loan. The Master Servicer shall amend or cause to be amended the Mortgage Loan
Schedule, for the benefit of the Certificateholders to reflect the removal of
such Deleted Mortgage Loan and the substitution of the Qualified Substitute
Mortgage Loan or Loans and the Master Servicer shall deliver the amended
Mortgage Loan Schedule, to the Trustee. Upon such substitution, the Qualified
Substitute Mortgage Loan or Loans shall be subject to the terms of this
Agreement and the related Subservicing Agreement in all respects, the related
Seller shall be deemed to have made the representations and warranties with
respect to the Qualified Substitute Mortgage Loan contained in the related
Seller's Agreement as of the date of substitution, insofar as Residential
Funding's rights in respect of such representations and warranties are assigned
to the Company pursuant to the Assignment Agreement, and the Company and the
Master Servicer shall be deemed to have made with respect to any Qualified
Substitute Mortgage Loan or Loans, as of the date of substitution, the
covenants, representations and warranties set forth in this Section 2.04, in
Section 2.03 hereof and in Section 4 of the Assignment Agreement, and the Master
Servicer shall be obligated to repurchase or substitute for any Qualified
Substitute Mortgage Loan as to which a Repurchase Event (as defined in the
Assignment Agreement) has occurred pursuant to Section 4 of the Assignment
Agreement.
In connection with the substitution of one or more Qualified Substitute
Mortgage Loans for one or more Deleted Mortgage Loans, the Master Servicer will
determine the amount (if any) by which the aggregate principal balance of all
such Qualified Substitute Mortgage Loans as of the date of substitution is less
than the aggregate Stated Principal Balance of all such Deleted Mortgage Loans
(in each case after application of the principal portion of the Monthly Payments
due in the month of substitution that are to be distributed to the
Certificateholders in the month of substitution). Residential Funding shall
deposit the amount of such shortfall into the Custodial Account on the day of
substitution, without any reimbursement therefor. Residential Funding shall give
28
notice in writing to the Trustee of such event, which notice shall be
accompanied by an Officers' Certificate as to the calculation of such shortfall
and (subject to Section 10.01(f)) by an Opinion of Counsel to the effect that
such substitution will not cause (a) any federal tax to be imposed on the Trust
Fund, including without limitation, any federal tax imposed on "prohibited
transactions" under Section 860F(a)(1) of the Code or on "contributions after
the startup date" under Section 860G(d)(1) of the Code or (b) any portion of any
REMIC to fail to qualify as such at any time that any Certificate is
outstanding.
It is understood and agreed that the obligation of the Seller or
Residential Funding, as the case may be, to cure such breach or purchase (or in
the case of Residential Funding to substitute for) such Mortgage Loan as to
which such a breach has occurred and is continuing and to make any additional
payments required under the Assignment Agreement in connection with a breach of
the representation and warranty in clause (xii) of Section 4 thereof shall
constitute the sole remedy respecting such breach available to the
Certificateholders or the Trustee on behalf of Certificateholders. If the Master
Servicer is Residential Funding, then the Trustee shall also have the right to
give the notification and require the purchase or substitution provided for in
the second preceding paragraph in the event of such a breach of a representation
or warranty made by Residential Funding in the Assignment Agreement. In
connection with the purchase of or substitution for any such Mortgage Loan by
Residential Funding, the Trustee shall assign to Residential Funding all of the
Trustee's right, title and interest in respect of the Seller's Agreement and the
Assignment Agreement applicable to such Mortgage Loan.
Section 2.05 Execution and Authentication of Certificates/Issuance of
Certificates.
The Trustee acknowledges the assignment to it of the Mortgage Loans and
the delivery of the Mortgage Files to it, or any Custodian on its behalf,
subject to any exceptions noted, together with the assignment to it of all other
assets included in the Trust Fund and/or applicable REMIC, receipt of which is
hereby acknowledged. Concurrently with such delivery and in exchange therefor,
the Trustee, pursuant to the written request of the Company executed by an
officer of the Company, has executed and caused to be authenticated and
delivered to or upon the order of the Company the Class R-I Certificates in
authorized denominations which together with the Uncertificated REMIC I Regular
Interests, evidence the beneficial interest in the REMIC I. Concurrently with
such delivery and in exchange therefor, the Trustee, pursuant to the written
request of the Company executed by an officer of the Company, has executed and
caused to be authenticated and delivered to or upon the order of the Company the
Class R-II Certificates in authorized denominations which together with the
other Classes of Certificates, evidence the beneficial interest in the REMIC II.
Section 2.06 Conveyance of Uncertificated REMIC I and REMIC II Regular
Interests; Acceptance by the Trustee.
The Company, as of the Closing Date, and concurrently with the execution
and delivery hereof, does hereby assign without recourse all the right, title
and interest of the Company in and to the Uncertificated REMIC I Regular
Interests to the Trustee for the benefit of the Holders of each Class of
Certificates (other than the Class R-I Certificates). The Trustee acknowledges
receipt of the Uncertificated REMIC I Regular Interests and declares that it
holds and will hold the same in trust for the exclusive use and benefit of all
present and future Holders of each Class of Certificates (other than the Class
R- I Certificates). The rights of the Holders of each Class of Certificates
(other than the Class R-I Certificates) to receive distributions from the
proceeds of REMIC II in respect of such Classes, and all ownership interests of
the Holders of such Classes in such distributions shall be as set forth in this
Agreement.
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Section 2.07 [RESERVED].
Section 2.08 Purposes and Powers of the Trust. (See Section 2.08 of the Standard
Terms)
Section 2.09 Agreement Regarding Ability to Disclose.
The Company, the Master Servicer and the Trustee hereby agree,
notwithstanding any other express or implied agreement to the contrary, that any
and all Persons, and any of their respective employees, representatives, and
other agents may disclose, immediately upon commencement of discussions, to any
and all Persons, without limitation of any kind, the tax treatment and tax
structure of the transaction and all materials of any kind (including opinions
or other tax analyses) that are provided to any of them relating to such tax
treatment and tax structure. For purposes of this paragraph, the terms "tax
treatment" and "tax structure" are defined under Treasury Regulation ss.
1.6011-4(c).
ARTICLE III
ADMINISTRATION AND SERVICING
OF MORTGAGE LOANS
Section 3.01 Master Servicer to Act as Servicer. (See Section 3.01 of the
Standard Terms)
Section 3.02 Subservicing Agreements Between Master Servicer and Subservicers;
Enforcement of Subservicers's and Sellers' Obligations. (See Section
3.02 of the Standard Terms)
Section 3.03 Successor Subservicers. (See Section 3.03 of the Standard Terms)
Section 3.04 Liability of the Master Servicer. (See Section 3.04 of the Standard
Terms)
Section 3.05 No Contractual Relationship Between Subservicer and Trustee or
Certificateholders. (See Section 3.05 of the Standard Terms)
Section 3.06 Assumption or Termination of Subservicing Agreements by Trustee.
(See Section 3.06 of the Standard Terms)
Section 3.07 Collection of Certain Mortgage Loan Payments; Deposits to Custodial
Account. (See Section 3.07 of the Standard Terms)
Section 3.08 Subservicing Accounts; Servicing Accounts. (See Section 3.08 of the
Standard Terms)
30
Section 3.09 Access to Certain Documents and Information Regarding the Mortgage
Loans. (See Section 3.09 of the Standard Terms)
Section 3.10 Permitted Withdrawals from the Custodial Agreement. (See Section
3.10 of the Standard Terms)
Section 3.11 Maintenance of the Primary Insurance Policies; Collections
Thereunder. (See Section 3.11 of the Standard Terms)
Section 3.12 Maintenance of Fire Insurance and Omissions and Fidelity Coverage.
(See Section 3.12 of the Standard Terms)
Section 3.13 Enforcement of Due-on-Sale Clauses; Assumption and Modification
Agreements; Certain Assignments. (See Section 3.13 of the Standard
Terms)
Section 3.14 Realization Upon Defaulted Mortgage Loans. (See Section 3.14 of the
Standard Terms)
Section 3.15 Trustee to Cooperate; Release of Mortgage Files. (See Section 3.15
of the Standard Terms)
Section 3.16 Servicing and Other Compensation; Compensating Interest. (See
Section 3.16 of the Standard Terms)
Section 3.17 Reports to the Trustee and the Company. (See Section 3.17 of the
Standard Terms)
Section 3.18 Annual Statement as to Compliance. (See Section 3.18 of the
Standard Terms)
Section 3.19 Annual Independent Public Accountants' Servicing Report. (See
Section 3.19 of the Standard Terms)
Section 3.20 Rights of the Company in Respect of the Master Servicer. (See
Section 3.20 of the Standard Terms)
Section 3.21 Administration of Buydown Funds. (See Section 3.21 of the Standard
Terms)
Section 3.22 Advance Facility. (See Section 3.22 of the Standard Terms)
Section 3.23 Duties of the Credit Risk Advisor.
(a) The initial Holder of the Group II Senior Certificates, Class II-M
Certificates and Class II-B Certificates by its purchase and acceptance of such
Certificates, appoints Xxxxxxxxx Mortgage Home Loans, Inc. as Credit Risk
Advisor. For and on behalf of the initial Holder of the Group II Senior
Certificates, Class II-M Certificates and Class II-B Certificates, the Credit
Risk Advisor shall monitor the Group II Loans and may provide the Master
Servicer with certain reports and recommendations concerning certain delinquent
and defaulted Group II Loans. In the performance of its duties, the Credit Risk
31
Advisor may rely upon mortgage loan data that is privately procured, publicly
available or obtained through specific arrangement with the Master Servicer. The
Credit Risk Advisor hereby acknowledges that neither the Master Servicer nor any
party to this Agreement shall be under any contractual obligation to perform in
accordance with the Credit Risk Advisor's advice, and the Master Servicer shall
be under no obligation to recommend performance by a Subservicer of the Group II
Loans in accordance with such advice.
(b) The Credit Risk Advisor shall not be entitled to disclose or publish
any records or other information received from the Master Servicer or, at the
Master Servicer's request, a Subservicer of the Group II Loans (collectively,
"Records") that would be considered a consumer's non-public personal information
as such term is defined in 16 C.F.R. Section 313.3(n)(1) and (3). The Credit
Risk Advisor shall comply with all applicable laws and regulations relating to
the protection of non-public consumer information, including but not limited to
15 U.S.C. Sections 6801-6809 (also known as the "Xxxxx-Xxxxx-Xxxxxx Act"). The
obligations under this Section 3.23(b) shall survive the termination of the
Credit Risk Advisor under Section 3.25 below and the termination of this
Agreement.
Section 3.24 Limitation Upon Liability of the Credit Risk Advisor.
Neither the Credit Risk Advisor, nor any of the directors, officers,
employees or agents of the Credit Risk Advisor, shall be under any liability to
the Trustee, the Master Servicer, the Holder of the Group II Senior
Certificates, the Class II-M Certificates and Class II-B Certificates, or the
Company for any action taken or for refraining from the taking of any action in
good faith pursuant to this Agreement, in reliance upon information provided by
the Master Servicer or a Subservicer of the Group II Loans or any other Person
or for errors in judgment; provided, however, that this provision shall not
protect the Credit Risk Advisor against liability that would otherwise be
imposed by reason of willful malfeasance, bad faith or negligence in its
performance of its duties or by reason of negligent disregard for its
obligations and duties under this Agreement. The Credit Risk Advisor and any
director, officer, employee or agent of the Credit Risk Advisor 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, and may rely in good faith
upon the accuracy of information furnished by the Master Servicer or a
Subservicer of the Group II Loans or obtained from publicly available sources in
the performance of its duties hereunder.
Section 3.25 Termination of Duties of the Credit Risk Advisor.
The obligations of the Credit Risk Advisor under this Agreement shall
terminate upon the earliest of (a) the written resignation of the Credit Risk
Advisor, such resignation to be provided to the Company, the Trustee, the Master
Servicer, any Subservicer of the Group II Loans and the Holder of the Group II
Senior Certificates, the Class II-M Certificates and Class II-B Certificates,
(b) the sale of the Group II Senior Certificates by the initial Holder of the
Group II Senior Certificates to any Person other than an affiliate of such
initial Holder and (c) the retirement of the Group II Senior Certificates
pursuant to Sections Article IX of this Agreement.
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ARTICLE IV
PAYMENTS TO CERTIFICATEHOLDERS
Section 4.01 Certificate Account. (See Section 4.01 of the Standard Terms)
Section 4.02 Distributions.
(a) On each Distribution Date (x) the Master Servicer on behalf of the
Trustee or (y) the Paying Agent appointed by the Trustee, shall
distribute, to the Master Servicer, in the case of a distribution
pursuant to Section 4.02(a)(iii) below, the amount required to be
distributed to the Master Servicer or a Sub-Servicer pursuant to Section
4.02(a)(iii) below, and to each Certificateholder of record on the next
preceding Record Date (other than as provided in Section 9.01 respecting
the final distribution), either (1) in immediately available funds (by
wire transfer or otherwise) to the account of such Certificateholder at
a bank or other entity having appropriate facilities therefor, if such
Certificateholder has so notified the Master Servicer or the Paying
Agent, as the case may be, or (2) if such Certificateholder has not so
notified the Master Servicer or the Paying Agent by the Record Date, by
check mailed to such Certificateholder at the address of such Holder
appearing in the Certificate Register, such Certificateholder's share
(which share shall be based on the aggregate of the Percentage Interests
represented by Certificates of the applicable Class held by such Holder)
of the following amounts, in the following order of priority (subject to
the provisions of Sections 4.02(b) and (d) below), in each case to the
extent of the related Available Distribution Amount:
(i) (W) from the Available Distribution Amount related to Sub-Loan Group
I-1, to the holders of the Sub-Loan Group I-1 Senior Certificates
Accrued Certificate Interest on such Classes of Certificates for such
Distribution Date, plus any Accrued Certificate Interest thereon
remaining unpaid from any previous Distribution Date except as provided
in the last paragraph of this Section 4.02(a);
(X) from the Available Distribution Amount related to
Sub-Loan Group I-2, to the holders of the Sub-Loan Group I-2 Senior
Certificates Accrued Certificate Interest on such Classes of
Certificates for such Distribution Date plus any Accrued Certificate
Interest thereon remaining unpaid from any previous Distribution Date
except as provided in the last paragraph of this Section 4.02(a);
(Y) from the Available Distribution Amount related to
Sub-Loan Group I-3, to the holders of the Sub-Loan Group I-3 Senior
Certificates Accrued Certificate Interest on such Classes of
Certificates for such Distribution Date, plus any Accrued Certificate
Interest thereon remaining unpaid from any previous Distribution Date
except as provided in the last paragraph of this Section 4.02(a); and
(Z) from the Available Distribution Amount related to
Sub-Loan Group II-1, to the holders of the Sub-Loan Group II-1 Senior
Certificates Accrued Certificate Interest on such Class of Certificates
for such Distribution Date, plus any Accrued Certificate Interest
thereon remaining unpaid from any previous Distribution Date except as
provided in the last paragraph of this Section 4.02(a);
33
(ii) to the Senior Certificates of each Certificate Group, from the Available
Distribution Amount for the related Sub-Loan Group, as applicable, in
the priorities and amounts set forth in Section 4.02(b) through Section
4.02(f), the sum of the following (applied to reduce the Certificate
Principal Balances of such Senior Certificates, as applicable):
(A) the related Senior Percentage for such Distribution Date and Sub-Loan
Group, times the sum of the following:
(1) the principal portion of each Monthly Payment due during the related Due
Period on each Outstanding Mortgage Loan in the related Sub-Loan Group
whether or not received on or prior to the related Determination Date;
(2) the Stated Principal Balance of any Mortgage Loan in the related
Sub-Loan Group repurchased during the preceding calendar month (or
deemed to have been so repurchased in accordance with Section 3.07(b) of
the Standard Terms) pursuant to Sections 2.02, 2.04 or 4.07 of the
Standard Terms and Section 2.03 of the Standard Terms and this Series
Supplement, and the State Principal Balance of the Mortgage Loans in the
related Sub-Loan Group purchased pursuant to Section 9.01 of the
Standard Terms and this Series Supplement in connection with such
Distribution Date, if applicable, and the amount of any shortfall
deposited in the Custodial Account in connection with the substitution
of a Deleted Mortgage Loan in such Sub-Loan Group pursuant to Section
2.04 of the Standard Terms or Section 2.03 of the Standard Terms and
this Series Supplement, during the preceding calendar month; and
(3) the principal portion of all other unscheduled collections with respect
to the related Sub-Loan Group (other than Principal Prepayments in Full
and Curtailments and amounts received in connection with a Cash
Liquidation or REO Disposition of a Mortgage Loan in such Sub-Loan Group
described in Section 4.02(a)(ii)(B) of this Series Supplement, including
without limitation any related Insurance Proceeds, Liquidation Proceeds
and REO Proceeds), received during the preceding calendar month (or
deemed to have been so received in accordance with Section 3.07(b) of
the Standard Terms) to the extent applied by the Master Servicer as
recoveries of principal of the related Mortgage Loan pursuant to Section
3.14 of the Standard Terms;
(B) with respect to each Mortgage Loan in the related Sub-Loan Group for
which a Cash Liquidation or a REO Disposition occurred during the
preceding calendar month (or was deemed to have occurred during such
period in accordance with Section 3.07(b) of the Standard Terms), an
amount equal to the lesser of (a) the related Senior Percentage for such
Distribution Date times the Stated Principal Balance of such Mortgage
Loan and (b) the related Senior Accelerated Distribution Percentage for
such Distribution Date times the related unscheduled collections
(including without limitation Insurance Proceeds, Liquidation Proceeds
and REO Proceeds) to the extent applied by the Master Servicer as
recoveries of principal of the related Mortgage Loan pursuant to Section
3.14 of the Standard Terms;
34
(C) the related Senior Accelerated Distribution Percentage for such
Distribution Date times the aggregate of all Principal Prepayments in
Full with respect to the related Sub-Loan Group, received in the related
Prepayment Period and Curtailments with respect to the related Sub-Loan
Group received in the preceding calendar month; and
(D) any amounts described in subsection (ii), clauses (A), (B) and (C) of
this Section 4.02(a), as determined for any previous Distribution Date,
which remain unpaid after application of amounts previously distributed
pursuant to this clause (D) to the extent that such amounts are not
attributable to Realized Losses which have been allocated to the
Subordinate Certificates;
(E) to the Holders of the Group I Senior Certificates and Group II Senior
Certificates as applicable, amounts required to be distributed pursuant
to Section 4.02(c); minus
(F) the related Capitalization Reimbursement Amount for such Distribution
Date, multiplied by a fraction, the numerator of which is the related
Senior Principal Distribution Amount, without giving effect to this
clause (F), and the denominator of which is the sum of the principal
distribution amounts for all Classes of related Certificates, payable
from the Available Distribution Amount for the related Sub-Loan Group
without giving effect to any reductions for the related Capitalization
Reimbursement Amount;
(iii) if the Certificate Principal Balances of the Subordinate Certificates
relating to a Loan Group have not been reduced to zero, to the Master
Servicer or a Subservicer, by remitting for deposit to the Custodial
Account, to the extent of and in reimbursement for any Advances or Sub
Servicer Advances previously made with respect to any related Mortgage
Loan or REO Property which remain unreimbursed in whole or in part
following the Cash Liquidation or REO Disposition of such Mortgage Loan
or REO Property;
(iv) to the Holders of the Class I-M-1 Certificates or the Class II-M-1
Certificates, as applicable, the Accrued Certificate Interest thereon
for such Distribution Date, plus any Accrued Certificate Interest
thereon remaining unpaid from any previous Distribution Date, except as
provided below;
(v) to the Holders of the Class I-M-1 Certificates or the Class II-M-1
Certificates, as applicable, an amount equal to the related Subordinate
Principal Distribution Amount for such Class of Certificates for the
related Loan Group for such Distribution Date, applied in reduction of
the Certificate Principal Balance of the Class I-M-1 Certificates or the
Class II-M-1 Certificates, as applicable;
35
(vi) to the Holders of the Class I-M-2 Certificates or the Class II-M-2
Certificates, as applicable, the Accrued Certificate Interest thereon
for such Distribution Date, plus any Accrued Certificate Interest
thereon remaining unpaid from any previous Distribution Date, except as
provided below;
(vii) to the Holders of the Class I-M-2 Certificates or the Class II-M-2
Certificates, as applicable, an amount equal to the related Subordinate
Principal Distribution Amount for such Class of Certificates for the
related Loan Group for such Distribution Date, applied in reduction of
the Certificate Principal Balance of the Class I-M-2 Certificates or the
Class II-M-2 Certificates, as applicable;
(viii) to the Holders of the Class I-M-3 Certificates or the Class II-M-3
Certificates, as applicable, the Accrued Certificate Interest thereon
for such Distribution Date, plus any Accrued Certificate Interest
thereon remaining unpaid from any previous Distribution Date, except as
provided below;
(ix) to the Holders of the Class I-M-3 Certificates or the Class II-M-3
Certificates, as applicable, an amount equal to the related Subordinate
Principal Distribution Amount for such Class of Certificates for the
related Loan Group for such Distribution Date, applied in reduction of
the Certificate Principal Balance of the Class I-M-3 Certificates or the
Class II-M-3 Certificates, as applicable;
(x) to the Holders of the Class I-B-1 Certificates or the Class II-B-1
Certificates, as applicable, the Accrued Certificate Interest thereon
for such Distribution Date, plus any Accrued Certificate Interest
thereon remaining unpaid from any previous Distribution Date, except as
provided below;
(xi) to the Holders of the Class I-B-1 Certificates or the Class II-B-1
Certificates, as applicable, an amount equal to the related Subordinate
Principal Distribution Amount for such Class of Certificates for the
related Loan Group for such Distribution Date, applied in reduction of
the Certificate Principal Balance of the Class I-B-1 Certificates or the
Class II-B-1 Certificates, as applicable;
(xii) to the Holders of the Class I-B-2 Certificates or the Class II-B-2
Certificates, as applicable, the Accrued Certificate Interest thereon
for such Distribution Date, plus any Accrued Certificate Interest
thereon remaining unpaid from any previous Distribution Date, except as
provided below;
(xiii) to the Holders of the Class I-B-2 Certificates or the Class II-B-2
Certificates, as applicable, an amount equal to the related Subordinate
Principal Distribution Amount for such Class of Certificates for the
related Loan Group for such Distribution Date, applied in reduction of
the Certificate Principal Balance of the Class I-B-2 Certificates or the
Class II-B-2 Certificates, as applicable;
(xiv) to the Holders of the Class I-B-3 Certificates or the Class II-B-3
Certificates, as applicable, an amount equal to the Accrued Certificate
Interest thereon for such Distribution Date, plus any Accrued
Certificate Interest thereon remaining unpaid from any previous
Distribution Date, except as provided below
36
(xv) to the Holders of the Class I-B-3 Certificates or the Class II-B-3
Certificates, as applicable, an amount equal to the related Subordinate
Principal Distribution Amount for such Class of Certificates for the
related Loan Group for such Distribution Date, applied in reduction of
the Certificate Principal Balance of the Class I-B-3 Certificates or the
Class II-B-3 Certificates, as applicable ;
(xvi) to the Senior Certificates, on a pro rata basis in accordance with their
respective outstanding Certificate Principal Balances, the portion, if
any, of the Available Distribution Amounts for the related Sub-Loan
Group remaining after the foregoing distributions, applied to reduce the
Certificate Principal Balances of such Senior Certificates, but in no
event more than the aggregate of the outstanding Certificate Principal
Balances of each such Class of Senior Certificates, and thereafter, to
each Class of related Subordinate Certificates then outstanding
beginning with such Class with the Highest Priority, any portion of the
related Available Distribution Amounts remaining after the related
Senior Certificates have been retired, applied to reduce the Certificate
Principal Balance of each such Class of Subordinate Certificates, but in
no event more than the outstanding Certificate Principal Balance of each
such Class of Subordinate Certificates; and
(xvii) to the Class R-II Certificates, the balance, if any, of the Available
Distribution Amounts for all Sub-Loan Groups.
Notwithstanding the foregoing, on any Distribution Date, with respect to
the Class of related Subordinate Certificates outstanding on such Distribution
Date with the Lowest Priority, or in the event the related Subordinate
Certificates are no longer outstanding, the related Senior Certificates, Accrued
Certificate Interest thereon remaining unpaid from any previous Distribution
Date will be distributable only to the extent that (1) a shortfall in the
amounts available to pay Accrued Certificate Interest on any Class of related
Certificates results from an interest rate reduction in connection with a
Servicing Modification, or (2) such unpaid Accrued Certificate Interest was
attributable to interest shortfalls relating to the failure of the Master
Servicer to make any required Advance, or the determination by the Master
Servicer that any proposed Advance would be a Nonrecoverable Advance with
respect to the related Mortgage Loan where such Mortgage Loan has not yet been
the subject of a Cash Liquidation or REO Disposition or the related Liquidation
Proceeds, Insurance Proceeds and REO Proceeds have not yet been distributed to
the Certificateholders.
(b) Distributions of principal on the Senior Certificates on each
Distribution Date occurring prior to the Credit Support Depletion Date
will be made as follows:
(i) the Senior Principal Distribution Amount for Sub-Loan Group I-1 shall be
distributed as follows:
(A) first, to the Class R-I Certificates, until the Certificate Principal
Balance thereof has been reduced to zero; and
(B) second, any remaining amount to the Class I-A1 Certificates, until the
Certificate Principal balance thereof has been reduced to zero;
37
(ii) the Senior Principal Distribution Amount for Sub-Loan Group I-2 shall be
distributed to the Class I-A2-1 Certificates and the Class I-A2-2
Certificates, on a pro rata basis, until the Certificate Principal
Balances thereof have been reduced to zero;
(iii) the Senior Principal Distribution Amount for Sub-Loan Group I-3 shall be
distributed to the Class I-A3-1 Certificates and the Class I-A3-2
Certificates until the Certificate Principal Balances thereof have been
reduced to zero;
(iv) the Senior Principal Distribution Amount for Sub-Loan Group II-1 shall
be distributed as follows:
(A) first, to the Class R-II Certificates, until the Certificate Principal
Balance thereof has been reduced to zero; and
(B) second, any remaining amount to the Class II-A1 Certificates, until the
Certificate Principal Balance thereof has been reduced to zero;
(v) the Senior Principal Distribution Amount for Sub-Loan Group II-2 shall
be distributed to the Class II-A2 Certificates until the Certificate
Principal Balance thereof has been reduced to zero;
(c) Prior to the occurrence of the Credit Support Depletion Date for any
Loan Group, but after the reduction of the Certificate Principal
Balances of the Certificates of any Certificate Sub-Loan Group to zero,
the remaining Certificate Sub-Loan Group or Certificate Sub-Loan Groups,
as applicable, in the related Loan Group, will be entitled to receive,
on a pro rata basis, based on the Certificate Principal Balances of the
related Certificates, in addition to any Principal Prepayments in Full
and Curtailments related to such Certificates' respective Loan Group,
100% of the Principal Prepayments in Full and Curtailments on the
Mortgage Loans in the Loan Group related to the Certificates that have
been reduced to zero, and in accordance with the priorities set forth in
clause 4.02(b) above, and in reduction of the Certificate Principal
Balances thereof, on any Distribution Date unless (i) the weighted
average of the related Subordinate Percentages for each related Sub-Loan
Group, weighted on the basis of the Stated Principal Balances of the
Mortgage Loans in the related Sub-Loan Group, is at least two times the
weighted average of the initial Subordinate Percentages for each related
Sub-Loan Group (calculated on such basis) and (ii) the outstanding
principal balance of the Mortgage Loans in the Loan Group related to
such Sub-Loan Group delinquent 60 days or more averaged over the last
six months, as a percentage of the aggregate outstanding Certificate
Principal Balance of the related Class M Certificates and Class B
Certificates, is less than 50%.
(d) For any Undercollateralized Certificate Sub-Loan Group on any
Distribution Date prior to the Credit Support Depletion Date (i) 100% of
the mortgagor prepayments allocable to the related Class M Certificates
and related Class B Certificates on the Mortgage Loans in a non-related
Sub-Loan Group of the same Loan Group will be distributed to such
Undercollateralized Certificate Sub-Loan Group in accordance with the
priorities set forth in Section 4.02(b) for the related Senior Principal
Distribution Amount, in reduction of the Certificate Principal Balance
of such Undercollateralized Certificate Sub-Loan Group, until such
Certificate Principal Balance equals the aggregate Stated Principal
Balance of the Mortgage Loans in the related Sub-Loan Group and (ii) an
amount equal to one month's interest at the Pass-Through Rate for such
Class or Classes of the Undercollateralized Certificate Sub-Loan Group
on the related Undercollateralized Amount will be distributed from that
portion of the Available Distribution Amount for any non-related
Sub-Loan Groups in a Loan Group that would be otherwise allocable to the
related Class M Certificates and related Class B Certificates, in the
38
following priority: first to pay any unpaid interest on such
Undercollateralized Certificate Sub-Loan Group and then to pay principal
thereon in the priorities set forth in Section 4.02(b). If there exists
more than one Undercollateralized Certificate Sub-Loan Group on a
Distribution Date, amounts distributable to such Undercollateralized
Certificate Sub-Loan Groups pursuant to the preceding sentence will be
allocated between such Undercollateralized Certificate Sub-Loan Groups,
pro rata, based upon their respective Undercollateralized Amounts.
(e) After reduction of the Certificate Principal Balances of the Senior
Certificates in a Certificate Sub-Loan Group to zero but prior to the
related Credit Support Depletion Date, such class or classes of Senior
Certificates will be entitled to no further distributions of principal
and the related Available Distribution Amount will be paid (subject to
clause (c) above) solely to the holders of the related Subordinate
Certificates, in each case as described herein.
(f) On or after the occurrence of the Credit Support Depletion Date for a
Loan Group, all priorities relating to distributions in clauses (a) and
(b) above relating to principal among the various classes of Senior
Certificates in a Certificate Sub-Loan Group will be disregarded, and
(i) the remaining applicable Senior Principal Distribution Amount will
be distributed to the related outstanding Senior Certificates in the
related Certificate Sub-Loan Group, pro rata, in accordance with their
respective outstanding Certificate Principal Balances and (ii) the
related Senior Interest Distribution Amounts will be distributed as
described under Section 4.02(a).
(g) In addition to the foregoing distributions, with respect to any
Subsequent Recoveries, the Master Servicer shall deposit such funds into
the Custodial Account pursuant to Section 3.07(b)(iii). If, after taking
into account such Subsequent Recoveries, the amount of a Realized Loss
is reduced, the amount of such Subsequent Recoveries will be applied to
increase the Certificate Principal Balance of the Class of related
Subordinate Certificates with the Highest Priority to which Realized
Losses, have been allocated, but not by more than the amount of Realized
Losses previously allocated to that Class of Certificates pursuant to
Section 4.05. The amount of any remaining Subsequent Recoveries will be
applied to increase the Certificate Principal Balance of the Class of
Certificates with the next Lower Priority, up to the amount of such
Realized Losses previously allocated to that Class of related
Certificates pursuant to Section 4.05. Any remaining Subsequent
Recoveries will in turn be applied to increase the Certificate Principal
Balance of the Class of related Certificates with the next Lower
Priority up to the amount of such Realized Losses previously allocated
to that Class of Certificates pursuant to Section 4.05, and so on.
Holders of such Certificates will not be entitled to any payment in
respect of Accrued Certificate 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.
39
(h) Each distribution with respect to a Book-Entry Certificate shall be paid
to the Depository, as Holder thereof, and the Depository shall be solely
responsible for crediting the amount of such distribution to the
accounts of its Depository Participants in accordance with its normal
procedures. Each Depository Participant shall be responsible for
disbursing such distribution to the Certificate Owners that it
represents and to each indirect participating brokerage firm (a
"brokerage firm") for which it acts as agent. Each brokerage firm shall
be responsible for disbursing funds to the Certificate Owners that it
represents. None of the Trustee, the Certificate Registrar, the Company
or the Master Servicer shall have any responsibility therefor.
(i) Except as otherwise provided in Section 9.01, if the Master Servicer
anticipates that a final distribution with respect to any Class of
Certificates will be made on a future Distribution Date, the Master
Servicer shall, no later than 60 days prior to such final distribution,
notify the Trustee and the Trustee shall, not earlier than the 15th day
and not later than the 25th day of the month next preceding the month of
such final distribution, mail to each Holder of such Class of
Certificates a notice to the effect that: (i) the Trustee anticipates
that the final distribution with respect to such Class of Certificates
will be made on such Distribution Date but only upon presentation and
surrender of such Certificates at the office of the Trustee or as
otherwise specified therein, and (ii) no interest shall accrue on such
Certificates from and after the end of the prior calendar month. In the
event that Certificateholders required to surrender their Certificates
pursuant to Section 9.01(c) do not surrender their Certificates for
final cancellation, the Trustee shall cause funds distributable with
respect to such Certificates to be withdrawn from the Certificate
Account and credited to a separate escrow account for the benefit of
such Certificateholders as provided in Section 9.01(d).
Section 4.03 Statements to Certificateholders; Statements to Rating Agencies;
Exchange Act Reporting. (See Section 4.03 of the Standard Terms)
Section 4.04 Distribution of Reports to the Trustee and the Company; Advances by
the Master Servicer. (See Section 4.04 of the Standard Terms)
Section 4.05 Allocation of Realized Losses.
Prior to each Distribution Date, the Master Servicer shall determine the
total amount of Realized Losses, if any, that resulted from any Cash
Liquidation, Servicing Modification, Debt Service Reduction, Deficient Valuation
or REO Disposition that occurred during the related Prepayment Period or, in the
case of a Servicing Modification that constitutes a reduction of the interest
rate on a Mortgage Loan, the amount of the reduction in the interest portion of
the Monthly Payment due during the related Due Period. The amount of each
Realized Loss shall be evidenced by an Officers' Certificate. All Realized
Losses on Mortgage Loans in a Loan Group shall be allocated to the Certificates
in the related Certificate Group as follows: first, to the Class I-B-3
Certificates or the Class II-B-3 Certificates, as applicable, until the
Certificate Principal Balance thereof has been reduced to zero; second, to the
Class I-B-2 Certificates or the Class II-B-2 Certificates, as applicable, until
the Certificate Principal Balance thereof has been reduced to zero; third, to
the Class I-B-1 Certificates or the Class II-B-1 Certificates, as applicable,
until the Certificate Principal Balance thereof has been reduced to zero; fourth
to the Class I-M-3 Certificates or the Class II-M-3 Certificates, as applicable,
until the Certificate Principal Balance thereof has been reduced to zero; fifth,
to the Class I-M-2 Certificates or the Class II-M-2 Certificates, as applicable,
until the Certificate Principal Balance thereof has been reduced to zero; sixth,
to the Class I-M-1 Certificates or the Class II-M-1 Certificates, as applicable,
until the Certificate Principal Balance thereof has been reduced to zero; and
thereafter, the entire amount of Realized Losses will be allocated (i) to the
Sub-Loan Group I-1 Senior Certificates, in the case of Realized Losses on
40
Sub-Loan Group I-1 loans, (ii) to the Sub-Loan Group I-2 Senior Certificates, in
the case of Realized Losses on Sub-Loan Group I-2 Loans, (iii) to the Sub-Loan
Group I-3 Senior Certificates, in the case of Realized Losses on Sub-Loan Group
I-3 Loans, (iv) on a pro rata basis to the Sub-Loan Group II-1 Senior
Certificates, in the case of Realized Losses on Sub-Loan Group II-1 Loans and
(v) on a pro rata basis to the Sub-Loan Group II-2 Senior Certificates, in the
case of Realized Losses on Sub-Loan Group II-2 Loans; provided, however, that
such Realized Losses otherwise allocable to the Class I-A2-1 Certificates will
be allocated to the Class I-A2-2 Certificates until the Certificate Principal
Balance of the Class I-A2-2 Certificates has been reduced to zero, and such
Realized Losses otherwise allocable to the Class I-A3-1 Certificates will be
allocated to the Class I-A3-2 Certificates until the Certificate Principal
Balance of the Class I-A3-2 Certificates has been reduced to zero.
On any Distribution Date, Realized Losses will be allocated as set forth
herein after distributions of principal on the Certificates as set forth herein.
As used herein, an allocation of a Realized Loss on a "pro rata basis"
among two or more specified Classes of Certificates means an allocation on a pro
rata basis, among the various Classes so specified, to each such Class of
Certificates on the basis of their then outstanding Certificate Principal
Balances prior to giving effect to distributions to be made on such Distribution
Date in the case of the principal portion of a Realized Loss or based on the
Accrued Certificate Interest thereon payable on such Distribution Date (without
regard to any Compensating Interest for such Distribution Date) in the case of
an interest portion of a Realized Loss. Except as provided in the following
sentence, any allocation of the principal portion of Realized Losses to a Class
of Certificates shall be made by reducing the Certificate Principal Balance
thereof by the amount so allocated, which allocation shall be deemed to have
occurred on such Distribution Date; provided that no such reduction shall reduce
the aggregate Certificate Principal Balance of the Certificates below the
aggregate Stated Principal Balance of the Mortgage Loans. Any allocation of the
principal portion of Realized Losses to the Subordinate Certificates then
outstanding with the Lowest Priority shall be made by operation of the
definition of "Certificate Principal Balance" and by operation of the provisions
of Section 4.02(a). Allocations of the interest portions of Realized Losses
(other than any interest rate reduction resulting from a Servicing Modification)
shall be made in proportion to the amount of Accrued Certificate Interest and by
operation of the definition of "Accrued Certificate Interest" and by operation
of the provisions of Section 4.02(a). Allocations of the interest portion of a
Realized Loss resulting from an interest rate reduction in connection with a
Servicing Modification shall be made by operation of the provisions of Section
4.02(a). All Realized Losses and all other losses allocated to a Class of
Certificates hereunder will be allocated among the Certificates of such Class in
proportion to the Percentage Interests evidenced thereby.
Section 4.06 Reports of Foreclosures and Abandonment of Mortgaged Property. (See
Section 4.06 of the Standard Terms).
41
Section 4.07 Optional Purchase of Defaulted Mortgage Loans. (See Section 4.07 of
the Standard Terms).
ARTICLE V
THE CERTIFICATES
Section 5.01 The Certificates.
(a) (See Section 5.01(a) of the Standard Terms).
(b) Except as provided below, registration of Book-Entry Certificates may not be
transferred by the Trustee except to another Depository that agrees to hold such
Certificates for the respective Certificate Owners with Ownership Interests
therein. The Holders of the Book-Entry Certificates shall hold their respective
Ownership Interests in and to each of such Certificates through the book-entry
facilities of the Depository and, except as provided below, shall not be
entitled to Definitive Certificates in respect of such Ownership Interests. All
transfers by Certificate Owners of their respective Ownership Interests in the
Book-Entry Certificates shall be made in accordance with the procedures
established by the Depository Participant or brokerage firm representing such
Certificate Owner. Each Depository Participant shall transfer the Ownership
Interests only in the Book-Entry Certificates of Certificate Owners it
represents or of brokerage firms for which it acts as agent in accordance with
the Depository's normal procedures.
The Trustee, the Master Servicer and the Company may for all purposes
(including the making of payments due on the respective Classes of Book-Entry
Certificates) deal with the Depository as the authorized representative of the
Certificate Owners with respect to the respective Classes of Book-Entry
Certificates for the purposes of exercising the rights of Certificateholders
hereunder. The rights of Certificate Owners with respect to the respective
Classes of Book-Entry Certificates shall be limited to those established by law
and agreements between such Certificate Owners and the Depository Participants
and brokerage firms representing such Certificate Owners. Multiple requests and
directions from, and votes of, the Depository as Holder of any Class of
Book-Entry Certificates with respect to any particular matter shall not be
deemed inconsistent if they are made with respect to different Certificate
Owners. The Trustee may establish a reasonable record date in connection with
solicitations of consents from or voting by Certificateholders and shall give
notice to the Depository of such record date.
If (i)(A) the Company advises the Trustee in writing that the Depository
is no longer willing or able to properly discharge its responsibilities as
Depository and (B) the Company is unable to locate a qualified successor or (ii)
the Company notifies the Depository of its intent to terminate the book-entry
system and, upon receipt of notice of such intent from the Depository, the
Depository Participants holding beneficial interest in the Book-Entry
Certificates agree to initiate such termination, the Trustee shall notify all
Certificate Owners, through the Depository, of the occurrence of any such event
and of the availability of Definitive Certificates to Certificate Owners
requesting the same. Upon surrender to the Trustee of the Book-Entry
Certificates by the Depository, accompanied by registration instructions from
the Depository for registration of transfer, the Trustee shall issue the
Definitive Certificates.
42
In addition, if an Event of Default has occurred and is continuing, each
Certificate Owner materially adversely affected thereby may at its option
request a Definitive Certificate evidencing such Certificate Owner's Percentage
Interest in the related Class of Certificates. In order to make such request,
such Certificate Owner shall, subject to the rules and procedures of the
Depository, provide the Depository or the related Depository Participant with
directions for the Trustee to exchange or cause the exchange of the Certificate
Owner's interest in such Class of Certificates for an equivalent Percentage
Interest in fully registered definitive form. Upon receipt by the Trustee of
instruction from the Depository directing the Trustee to effect such exchange
(such instructions to contain information regarding the Class of Certificates
and the Certificate Balance being exchanged, the Depository Participant account
to be debited with the decrease, the registered holder of and delivery
instructions for the Definitive Certificates and any other information
reasonably required by the Trustee), (i) the Trustee shall instruct the
Depository to reduce the related Depository Participant's account by the
aggregate Certificate Principal Balance of the Definitive Certificates, (ii) the
Trustee shall execute, authenticate and deliver, in accordance with the
registration and delivery instructions provided by the Depository, a Definitive
Certificate evidencing such Certificate Owner's Percentage Interest in such
Class of Certificates and (iii) the Trustee shall execute and authenticate a new
Book-Entry Certificate reflecting the reduction in the aggregate Certificate
Principal Balance of such Class of Certificates by the amount of the Definitive
Certificates.
None of the Company, the Master Servicer or the Trustee shall be liable
for any actions taken by the Depository or its nominee, including, without
limitation, any delay in delivery of any instruction required under this section
and may conclusively rely on, and shall be protected in relying on, such
instructions. Upon the issuance of Definitive Certificates all references herein
to obligations imposed upon or to be performed by the Depository in connection
with the issuance of the Definitive Certificates pursuant to this Section 5.01
shall be deemed to be imposed upon and performed by the Trustee, and the Trustee
and the Master Servicer shall recognize the Holders of the Definitive
Certificates as Certificateholders hereunder.
(c) (See Section 5.01(c) of the Standard Terms)
ARTICLE VI
THE COMPANY AND THE MASTER SERVICER
(SEE ARTICLE VI OF THE STANDARD TERMS)
ARTICLE VII
DEFAULT
(SEE ARTICLE VII OF THE STANDARD TERMS)
43
ARTICLE VIII
CONCERNING THE TRUSTEE
(SEE ARTICLE VIII OF THE STANDARD TERMS)
ARTICLE IX
TERMINATION
Section 9.01 Optional Purchase by the Master Servicer of All Certificates;
Termination Upon Purchase by the Master Servicer or Liquidation of All Mortgage
Loans.
(a) Subject to Section 9.02, the respective obligations and responsibilities
of the Company, the Master Servicer and the Trustee created hereby in
respect of the Certificates (other than the obligation of the Trustee to
make certain payments after the Final Distribution Date to related
Certificateholders and the obligation of the Company to send certain
notices as hereinafter set forth) shall terminate upon the last action
required to be taken by the Trustee on the Final Distribution Date
pursuant to this Article IX following the earlier of:
(i) the later of the final payment or other liquidation (or any Advance with
respect thereto) of the last Mortgage Loan remaining in the Trust Fund
or the disposition of all property acquired upon foreclosure or deed in
lieu of foreclosure of any Mortgage Loan, or
(ii) the purchase by the Master Servicer of all Mortgage Loans in the
remaining Loan Group and all property acquired in respect of any
Mortgage Loan remaining in the Trust Fund at a price equal to 100% of
the unpaid principal balance of each Mortgage Loan or, if less than such
unpaid principal balance, the fair market value of the related
underlying property of such Mortgage Loan with respect to Mortgage Loans
as to which title has been acquired if such fair market value is less
than such unpaid principal balance on the day of repurchase plus unpaid
accrued interest thereon at the Mortgage Rate (or Modified Mortgage Rate
in the case of any Modified Mortgage Loan) from the Due Date to which
interest was last paid by the Mortgagor to, but not including, the first
day of the month in which such repurchase price is distributed,
provided, however, that in no event shall the trust created hereby
continue beyond the expiration of 21 years from the death of the last
survivor of the descendants of Xxxxxx X. Xxxxxxx, the late ambassador of
the United States to the Court of St. Xxxxx, living on the date hereof
and provided further that the purchase price set forth above shall be
increased as is necessary, as determined by the Master Servicer, to
avoid disqualification of any portion of any REMIC formed under the
Series Supplement as a REMIC. The purchase price paid by the Master
Servicer shall also include any amounts owed by Residential Funding
pursuant to Section 4 of the Assignment Agreement in respect of any
liability, penalty or expense that resulted from a breach of the
representation and warranty set forth in clause (xii) of such Section
that remain unpaid on the date of such purchase.
The right of the Master Servicer to purchase all the assets of the Trust
Fund related to a Loan Group pursuant to clause (ii) above is conditioned upon
the Pool Stated Principal Balance as of the Final Distribution Date, prior to
giving effect to distributions to be made on such Distribution Date, being less
than ten percent of the Cut-off Date Principal Balance of such Mortgage Loans in
44
the related Loan Group. The Master Servicer shall be entitled to reimbursement
for the full amount of any unreimbursed Advances theretofore made by it with
respect to such Mortgage Loans, pursuant to Section 3.10. In addition, the
Master Servicer shall provide to the Trustee the certification required by
Section 3.15 and the Trustee and any Custodian shall, promptly following payment
of the purchase price, release to the Master Servicer the Mortgage Files
pertaining to such Mortgage Loans being purchased.
In addition to the foregoing, on any Distribution Date on which the Pool
Stated Principal Balance of a Loan Group, prior to giving effect to
distributions to be made on such Distribution Date, is less than ten percent of
the Cut-off Date Principal Balance of the Mortgage Loans in the related Loan
Group, the Master Servicer shall have the right, at its option, to purchase the
related Certificates in whole, but not in part, at a price equal to the
outstanding Certificate Principal Balance of such Certificates plus the sum of
Accrued Certificate Interest thereon for the related Interest Accrual Period and
any previously unpaid Accrued Certificate Interest.
(b) (See Section 9.01(b) - (f) of the Standard Terms)
Section 9.02 Additional Termination Requirements. (See Section 9.02 of the
Standard Terms)
Section 9.03 Termination of Multiple REMICs. (See Section 9.03 of the Standard
Terms)
ARTICLE X
REMIC PROVISIONS
Section 10.01 REMIC Administration. (See Section 10.01 of the Standard Terms)
Section 10.02 Master Servicer; REMIC Administrator and Trustee Indemnification.
(See Section 10.02 of the Standard Terms)
Section 10.03 Designation of REMIC(s).
The REMIC Administrator will make an election to treat the segregated
pool of assets described in the definition of REMIC I (as defined herein), and
subject to this Agreement (including the Mortgage Loans but excluding the
Initial Monthly Payment Fund), as a REMIC (REMIC I) for federal income tax
purposes. The REMIC Administrator will make an election to treat the segregated
pool of assets consisting of the Uncertificated REMIC I Regular Interests, and
subject to this Agreement (excluding the Initial Monthly Payment Fund), as a
REMIC (REMIC II) for federal income tax purposes.
The Uncertificated REMIC I Regular Interests will be "regular interests"
in REMIC I and the Class R-I Certificates will be the sole class of "residual
interests" in REMIC I for purposes of the REMIC Provisions (as defined in the
Standard Terms).
45
The Class I-A1, Class I-A2-1, Class I-A2-2, Class I-A3-1, Class I-A3-2,
Class II-A1, Class IIA-2, Class I-M-1, Class I-M-2, Class I-M-3, Class I-B-1,
Class I-B-2, Class I-B-3, Class II-M-1, Class II-M-2, Class II-M-3, Class
II-B-1, Class II-B-2, Class II-B-3 Certificates will be "regular interests" in
REMIC II, and the Class R-II Certificates will be the sole class of "residual
interests" therein for purposes of the REMIC Provisions (as defined in the
Standard Terms) under federal income tax law.
Section 10.04 Distributions on the Uncertificated REMIC I Regular Interests.
(a) On each Distribution Date the Trustee shall be deemed to distribute to
itself, as the holder of the Uncertificated REMIC I Regular Interests and to the
holder of the Class R-I Certificate, Uncertificated Accrued Interest on the
Uncertificated REMIC I Regular Interests and Class R-I Certificate, pro rata,
for such Distribution Date, plus any Uncertificated Accrued Interest thereon
remaining unpaid from any previous Distribution Date.
(b) Distributions of principal from the Sub-Loan Group II-1 Loans and the
Sub-Loan Group I-1 Loans shall be deemed to be made to the Uncertificated REMIC
I Regular Interest R-II and Class R-I Certificate, respectively, until the
Uncertificated Principal Balance of the Uncertificated REMIC I Regular Interest
R-II and the principal balance of the Class R-I Certificate have been reduced to
zero.
(c) Distributions of principal from the Sub-Loan Groups shall then be deemed to
be made to the related Uncertificated REMIC I Regular Interests (other than
Uncertificated REMIC I Regular Interest R-II) first, so as to keep the
Uncertificated Principal Balance of each such related Uncertificated REMIC I
Regular Interest ending with the designation "B" equal to 0.01% of the aggregate
Stated Principal Balance of the Mortgage Loans in the related Sub-Loan Group;
second, so as to keep the principal balance of each such related Uncertificated
REMIC I Regular Interest ending with the designation "A" equal to 0.01% of the
related Sub-Loan Group I Subordinate Component (except that if on any
Distribution Date the Subordinate Component for any Sub-Loan Group is greater
than the Subordinate Component for such Sub-Loan Group on the preceding
Distribution Date, the least amount of principal shall be distributed to
Uncertificated REMIC I Regular Interests I-A1-A, I-A2-A, I-A3-A, II-A1-A and
II-A2-A such that the REMIC I Subordinate Balance Ratio is maintained); and
third, any remaining principal shall be distributed to Uncertificated REMIC I
Regular Interests I-ZZZ or II-ZZZ, as applicable. Realized Losses on the
Mortgage Loans in a Sub-Loan Group shall be applied after all distributions have
been made on each Distribution Date first, so as to keep the related
Uncertificated Principal Balance of each such related Uncertificated REMIC I
Regular Interest ending with the designation "B" equal to 0.01% of the aggregate
Stated Principal Balance of the Mortgage Loans in the related Loan Group;
second, Realized Losses shall be applied after all distributions have been made
on each Distribution Date, so as to keep the principal balance of each related
Uncertificated REMIC I Regular Interest ending with the designation "A" equal to
0.01% of the related Sub-Loan Group Subordinate Component (except that if on any
Distribution Date the Subordinate Component for any Group of Loans is greater
than the Subordinate Component for such Group of Loans on the preceding
Distribution Date, the least amount of Realized Losses shall be applied to
Uncertificated REMIC I Regular Interests I-A1-A, I-A2-A, I-A3-A, II-A1-A and
II-A2-A such that the REMIC I Subordinate Balance Ratio is maintained); and
third, the remaining Realized Losses shall be allocated to Uncertificated REMIC
I Regular Interests I-ZZZ or II-ZZZ, as applicable.
46
(d) In determining from time to time the amounts distributable on the
Uncertificated REMIC I Regular Interests, Realized Losses allocated to the REMIC
II Regular Interests shall be deemed allocated to the Uncertificated REMIC I
Regular Interests in accordance with the priority assigned to each related Class
of Certificates (other than the Class R Certificates), respectively, under
Section 4.05.
(e) Notwithstanding the deemed distributions on the Uncertificated REMIC I
Regular Interests described in this Section 10.04, distributions of funds from
the Certificate Account shall be made only in accordance with Section 4.02.
Section 10.05 Compliance with Withholding Requirements.
Notwithstanding any other provision of this Agreement, the Trustee or
any Paying Agent, as applicable, shall comply with all federal withholding
requirements respecting payments to Certificateholders, including interest or
original interest discount payments or advances thereof that the Trustee or any
Paying Agent, as applicable, reasonably believes are applicable under the Code.
The consent of Certificateholders shall not be required for such withholding. In
the event the Trustee or any Paying Agent, as applicable, does withhold any
amount from interest or original issue discount payments or advances thereof to
any Certificateholder pursuant to federal withholding requirements, the Trustee
or any Paying Agent, as applicable, shall indicate the amount withheld to such
Certificateholder pursuant to the terms of such requirements.
ARTICLE XI
MISCELLANEOUS PROVISIONS
Section 11.01 Amendment. (See Section 11.01 of the Standard Terms)
Section 11.02 Recordation of Agreement. Counterparts. (See Section 11.02 of the
Standard Terms)
Section 11.03 Limitation on Rights of Certificateholders. (See Section 11.03 of
the Standard Terms)
Section 11.04 Governing Laws. (See Section 11.04 of the Standard Terms)
Section 11.05 Notices.
All demands and notices hereunder shall be in writing and shall be
deemed to have been duly given if personally delivered at or mailed by
registered mail, postage prepaid (except for notices to the Trustee which shall
be deemed to have been duly given only when received), to the appropriate
address for each recipient listed in the table below or, in each case, such
other address as may hereafter be furnished in writing to the Master Servicer,
the Trustee and the Company, as applicable:
47
Recipient Address
Company 0000 Xxxxxxxxxx Xxxx Xxxxxxxxx
Xxxxx 000, Xxxxxxxxxxx, Xxxxxxxxx 00000,
Attention: President
Master Servicer 0000 X. Xxxxxxx Xxxxxx, Xxxxx 000
Xxxxxxx, Xxxxxxxxxx 00000-0000,
Attention: Managing Director/Master Servicing
Trustee Corporate Trust Office
U.S. Bank National Association
U.S. Bank Corporate Trust Services
EP-MN-WS3D
00 Xxxxxxxxxx Xxxxxx
Xx. Xxxx, Xxxxxxxxx 00000-0000
Attn: RFMSI 2005-SA4
The Trustee designates its offices located at:
EP-MN-WS3D
00 Xxxxxxxxxx Xxxxxx
Xx. Xxxx, Xxxxxxxxx 00000-0000
Attn: Institutional Trust Services Transfer
Dept. - RFMSI 2005-SA4, for the purposes of
registration of transfer or exchange of the
Certificates
Standard & Poor's 00 Xxxxx Xxxxxx
Xxx Xxxx, Xxx Xxxx 00000
Xxxxx'x 00 Xxxxxx Xxxxxx
Xxx Xxxx, Xxx Xxxx 00000
Any notice required or permitted to be mailed to a Certificateholder shall be
given by first class mail, postage prepaid, at the address of such Holder as
shown in the Certificate Register. Any notice so mailed within the time
prescribed in this Agreement shall be conclusively presumed to have been duly
given, whether or not the Certificateholder receives such notice.
Section 11.06 Required Notices to Rating Agency and Subservicer.
-------------------------------------------------
The Company, the Master Servicer or the Trustee, as applicable, shall
notify each Rating Agency and the Subservicer at such time as it is otherwise
required pursuant to this Agreement to give notice of the occurrence of, any of
the events described in clause (a), (b), (c), (d), (g), (h), (i) or (j) below or
provide a copy to each Rating Agency at such time as otherwise required to be
delivered pursuant to this Agreement of any of the statements described in
clauses (e) and (f) below:
(a) a material change or amendment to this Agreement,
48
(b) the occurrence of an Event of Default,
(c) the termination or appointment of a successor Master Servicer or Trustee or
a change in the majority ownership of the Trustee,
(d) the filing of any claim under the Master Servicer's blanket fidelity bond
and the errors and omissions insurance policy required by Section 3.12 or the
cancellation or modification of coverage under any such instrument,
(e) the statement required to be delivered to the Holders of each Class of
Certificates pursuant to Section 4.03,
(f) the statements required to be delivered pursuant to Sections 3.18 and 3.19,
(g) a change in the location of the Custodial Account or the Certificate
Account,
(h) the occurrence of any monthly cash flow shortfall to the Holders of any
Class of Certificates resulting from the failure by the Master Servicer to make
an Advance pursuant to Section 4.04,
(i) the occurrence of the Final Distribution Date, and
(j) the repurchase of or substitution for any Mortgage Loan,
provided, however, that with respect to notice of the occurrence of the events
described in clauses (d), (g) or (h) above, the Master Servicer shall provide
prompt written notice to each Rating Agency and the Subservicer of any such
event known to the Master Servicer.
Section 11.07 Severability of Provisions. (See Section 11.07 of the Standard
Terms)
Section 11.08 Supplemental Provisions for Resecuritization. (See Section 11.08
of the Standard Terms)
Section 11.09 Allocation of Voting Rights.
99.0% of all Voting Rights shall be allocated among Holders of
Certificates, other than the Residual Certificates, in proportion to the
outstanding Certificate Principal Balances of their respective Certificates,
0.5% and 0.5% of all Voting Rights will be allocated among the Holders of the
Class R-I and Class R-II Certificates, respectively, in accordance with their
respective Percentage Interests.
Section 11.10 No Petition.
The Company, Master Servicer and the Trustee, by entering into this
Agreement, and each Certificateholder, by accepting a Certificate, hereby
covenant and agree that they will not at any time institute against the Trust
Fund, or join in any institution against the Trust Fund of, any bankruptcy
proceedings under any United States federal or state bankruptcy or similar law
in connection with any obligation with respect to the Certificates or this
Agreement.
49
IN WITNESS WHEREOF, the Company, the Master Servicer and the Trustee
have caused their names to be signed hereto by their respective officers
thereunto duly authorized and their respective seals, duly attested, to be
hereunto affixed, all as of the day and year first above written.
[Seal] RESIDENTIAL FUNDING
MORTGAGE SECURITIES I,
INC.
Attest: /s/ Xxxxx Xxxxxx By:/s/ Xxxxxxx Xxxxxxxx
Name: Xxxxx Xxxxxx Name: Xxxxxxx Xxxxxxxx
Title: Vice President Title: Vice President
[Seal] RESIDENTIAL FUNDING CORPORATION
Attest: /s/ Xxxxxxx Xxxxxxxx By:/s/ Xxxxx Xxxxxx
Name: Xxxxxxx Xxxxxxxx Name: Xxxxx Xxxxxx
Title: Associate Title: Associate
[Seal] U.S. BANK NATIONAL
ASSOCIATION as Trustee
Attest: /s/ Xxxxxxx X. Xxxxx By:/s/ Xxxxxxx Xxxxxxx-Xxxx
Name: Xxxxxxx X. Xxxxx Name:Xxxxxx Xxxxxxx-Xxxx
Title:Vice President Title:Vice President
Acknowledged and agreed
Solely as to Section 3.23, Section 3.24 and
Section 3.25 of Article III
[Seal] XXXXXXXXX MORTGAGE HOME LOANS, INC.
By:/s/ Xxxxxxx Xxxxx
Attest: /s/ Xxxxxx Xxxxxxx Name:Xxxxxxx Xxxxx
Name: Xxxxxx Xxxxxxx Title:Sr. Vice President
Title:Sr. Vice President
STATE OF MINNESOTA )
)ss.:
COUNTY OF HENNEPIN )
On the 30th day of August , 2005 before me, a notary public in and for
said State, personally appeared Xxxxxxx Xxxxxxxx, known to me to be a Vice
President of Residential Funding Mortgage Securities I, Inc., one of the
corporations that executed the within instrument, and also known to me to be the
person who executed it on behalf of said corporation, and acknowledged to me
that such corporation executed the within instrument.
IN WITNESS WHEREOF, I have hereunto set my hand and affixed my official
seal the day and year in this certificate first above written.
/s/Xxx Xxx Xxxxx
Notary Public
[Notarial Seal]
STATE OF MINNESOTA )
) ss.:
COUNTY OF HENNEPIN )
On the 30th day of August , 2005 before me, a notary public in and for
said State, personally appeared Xxxxx Xxxxxx, known to me to be an Associate of
Residential Funding Corporation, one of the corporations that executed the
within instrument, and also known to me to be the person who executed it on
behalf of said corporation, and acknowledged to me that such corporation
executed the within instrument.
IN WITNESS WHEREOF, I have hereunto set my hand and affixed my official
seal the day and year in this certificate first above written.
/s/ Xxx Xxx Xxxxx
Notary Public
[Notarial Seal]
STATE OF MINNESOTA )
) ss.:
COUNTY OF XXXXXX )
On the 30th day of August , 2005 before me, a notary public in and for
said State, personally appeared Xxxxxx Xxxxxxx-Xxxx, known to me to be an
Authorized Officer of U.S. Bank National Association, the entity that executed
the within instrument, and also known to me to be the person who executed it on
behalf of said banking entity and acknowledged to me that such banking entity
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.
/s/Xxxxxx X. Xxxxxx
Notary Public
[Notarial Seal]
STATE OF )
) ss.:
COUNTY OF )
On the 30th day of August , 2005 before me, a notary public in and for
said State, personally appeared Xxxxxxx Xxxxx, known to me to be a Sr. Vice
President of Xxxxxxxxx Mortgage Home Loans, Inc., one of the corporations that
executed the within instrument, and also known to me to be the person who
executed it on behalf of said corporation, and acknowledged to me that such
corporation executed the within instrument.
IN WITNESS WHEREOF, I have hereunto set my hand and affixed my official
seal the day and year in this certificate first above written.
/s/ Nyira Gitana
Notary Public
EXHIBIT ONE
MORTGAGE LOAN SCHEDULE FOR SUB-LOAN GROUP I-1
Non Fixed Rate Loan
Loan Number Orig Rate Original Bal Max Neg Amort
Curr Rate Principal Bal Loan Feature
Net Curr Original PI # of Units
Note Ceiling Current PI LTV
City State Zip Net Ceiling Note Date
Servicer Loan # Note Floor First Pay Date MI Co Code
Seller Loan # Net Floor Maturity Date MI Coverage
Investor Loan # Gross Margin 1st IntChgDate Nxt IntChgDate
S/S Code Net Margin 1st PmtChgDate Nxt PmtChgDate
Int Chg Prior Day 1st Yr Floor Pmt Cap Incr Pmt Cap Decr
Payment Type 1st Yr Ceil Int Chg Freq Mos Pmt Chg Freq Mos
Orig Term Adj Index Period Incr Period Decr
Note Life Incr Note Round Type Note Round Mth Note Round Fctr
Net Life Incr Net Round Type Net Round Mth Net Round Fctr
Note Life Decr Loan Purp Convert Code Convert Prd From
Net Life Decr Prop Type Convert Index Convert Prd To
Occup Code Convert Margin
9695496 6.0000 225000.0000 100.0000
6.0000 225,000.00 ZZ
5.7500 1125.00 1
11.0000 1125.00 75
WASHINGTON DC 20009 10.7500 03/10/05
0439061433 0.0000 05/01/05 00
26205010 0.0000 04/01/35 0.0000
0 2.2500 04/01/12 04/01/12
696/G01 2.0000 05/01/12 05/01/12
25 2.2500 0.0000 0.0000
A 11.0000 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 08 00
O 0.0000
9785366 6.5000 200000.0000 100.0000
6.5000 200,000.00 ZZ
6.2500 1083.33 1
11.5000 1083.33 69
SPARKS NV 89436 11.2500 04/14/05
0003984645 0.0000 06/01/05 00
0003984645 0.0000 05/01/35 0.0000
0 2.2500 05/01/12 05/01/12
286/286 2.0000 06/01/12 06/01/12
45 2.2500 0.0000 0.0000
A 11.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9790946 5.8750 437500.0000 100.0000
5.8750 437,500.00 ZZ
5.6250 2141.93 1
10.8750 2141.93 70
RENO NV 89509 10.6250 05/10/05
0004054371 0.0000 07/01/05 00
0004054371 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9824048 5.0000 399000.0000 100.0000
5.0000 399,000.00 ZZ
4.7500 1662.50 1
11.0000 1662.50 74
IRVINE CA 92618 10.7500 05/04/05
0439453051 0.0000 07/01/05 00
3326672 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
A 11.0000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 01 00
O 0.0000
9829478 5.7500 570000.0000 100.0000
5.7500 570,000.00 ZZ
5.5000 2731.25 1
10.7500 2731.25 74
WASHINGTON DC 20016 10.5000 06/03/05
0439427840 0.0000 08/01/05 00
32605122 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
696/G01 2.0000 08/01/12 08/01/12
25 2.2500 0.0000 0.0000
A 10.7500 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9833248 5.3750 273000.0000 100.0000
5.3750 273,000.00 ZZ
5.1250 1222.81 1
10.3750 1222.81 80
FAIRFAX VA 22033 10.1250 06/20/05
0439482811 0.0000 08/01/05 00
23105033 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
696/G01 2.0000 08/01/12 08/01/12
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 09 00
O 0.0000
9833414 5.5000 207960.0000 100.0000
5.5000 207,503.70 ZZ
5.2500 1180.78 1
10.5000 1180.78 80
XXXXXXXX NC 28732 10.2500 05/31/05
0004028080 0.0000 07/01/05 00
0004028080 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9841084 5.5000 424000.0000 100.0000
5.5000 424,000.00 ZZ
5.2500 1943.33 1
10.5000 1943.33 80
BALTIMORE MD 21230 10.2500 06/14/05
0003379213 0.0000 08/01/05 00
0003379213 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9841096 6.0000 399900.0000 100.0000
6.0000 399,900.00 ZZ
5.7500 1999.50 1
11.0000 1999.50 40
SAN DIEGO CA 92106 10.7500 06/13/05
0003980305 0.0000 08/01/05 00
0003980305 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 11.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9841178 5.8750 390000.0000 100.0000
5.8750 389,999.99 ZZ
5.6250 1909.38 1
10.8750 1909.38 65
AUBURN CA 95603 10.6250 06/03/05
0004088872 0.0000 08/01/05 00
0004088872 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9841180 5.6250 280000.0000 100.0000
5.6250 280,000.00 ZZ
5.3750 1312.50 1
10.6250 1312.50 80
CHEVY CHASE MD 20815 10.3750 06/10/05
0004089381 0.0000 08/01/05 00
0004089381 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9841378 5.7500 311200.0000 100.0000
5.7500 311,199.47 ZZ
5.5000 1491.17 1
10.7500 1491.17 80
HAGERSTOWN MD 21742 10.5000 06/16/05
0004104392 0.0000 08/01/05 00
0004104392 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9841386 5.6250 385000.0000 100.0000
5.6250 384,588.41 ZZ
5.3750 2216.28 1
10.6250 2216.28 70
ELK GROVE CA 95624 10.3750 06/06/05
0004106281 0.0000 08/01/05 00
0004106281 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9841388 5.5000 225000.0000 100.0000
5.5000 225,000.00 ZZ
5.2500 1031.25 1
10.5000 1031.25 68
CHICAGO IL 60647 10.2500 06/21/05
0004106574 0.0000 08/01/05 00
0004106574 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9841420 5.6250 330500.0000 100.0000
5.6250 330,500.00 ZZ
5.3750 1549.22 1
10.6250 1549.22 73
SILVER SPRING MD 20906 10.3750 06/09/05
0004119377 0.0000 08/01/05 00
0004119377 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 09 00
O 0.0000
9841464 5.6250 459000.0000 100.0000
5.6250 459,000.00 ZZ
5.3750 2151.56 1
10.6250 2151.56 64
FALLS CHURCH VA 22042 10.3750 06/14/05
0004134297 0.0000 08/01/05 00
0004134297 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9863354 5.5000 412000.0000 100.0000
5.5000 412,000.00 ZZ
5.2500 1888.33 1
11.5000 1888.33 80
SWISHER IA 52338 11.2500 05/25/05
0439555988 0.0000 07/01/05 00
2410152 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
A 11.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9863362 5.8750 481000.0000 100.0000
5.8750 480,089.29 ZZ
5.6250 2354.90 1
11.8750 2354.90 72
SAINT XXXX MN 55124 11.6250 05/19/05
0439556804 0.0000 07/01/05 00
2991417 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
A 11.8750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9863372 5.8750 443200.0000 100.0000
5.8750 442,294.05 ZZ
5.6250 2621.70 1
11.8750 2621.70 80
FAIRFIELD CT 06825 11.6250 06/01/05
0439556580 0.0000 07/01/05 00
3356529 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
A 11.8750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9868186 6.0000 141000.0000 100.0000
6.0000 141,000.00 ZZ
5.7500 705.00 1
11.0000 705.00 63
SAN BERNARDINO CA 92404 10.7500 06/17/05
0004049211 0.0000 08/01/05 00
0004049211 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 11.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9868226 5.7500 426995.0000 100.0000
5.7500 426,995.00 ZZ
5.5000 2046.02 1
10.7500 2046.02 80
CHANTILLY VA 20151 10.5000 06/22/05
0004088794 0.0000 08/01/05 00
0004088794 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9868410 5.8750 163000.0000 100.0000
5.8750 163,000.00 ZZ
5.6250 798.02 1
10.8750 798.02 63
LANDOVER MD 20785 10.6250 06/20/05
0004116155 0.0000 08/01/05 00
0004116155 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9868414 5.5000 324000.0000 100.0000
5.5000 323,645.36 ZZ
5.2500 1839.64 1
10.5000 1839.64 70
CHICAGO IL 60614 10.2500 06/23/05
0004116320 0.0000 08/01/05 00
0004116320 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9868436 5.6250 380000.0000 100.0000
5.6250 380,000.00 ZZ
5.3750 1781.25 1
10.6250 1781.25 77
RENO NV 89523 10.3750 06/17/05
0004122368 0.0000 08/01/05 00
0004122368 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9868468 5.5000 252000.0000 100.0000
5.5000 251,961.44 ZZ
5.2500 1155.00 1
10.5000 1155.00 80
CHICAGO IL 60626 10.2500 06/29/05
0004129917 0.0000 08/01/05 00
0004129917 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9868480 5.5000 637600.0000 100.0000
5.5000 637,600.00 ZZ
5.2500 2922.33 1
10.5000 2922.33 80
CHICAGO IL 60614 10.2500 06/29/05
0004133597 0.0000 08/01/05 00
0004133597 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9868484 5.8750 550000.0000 100.0000
5.8750 549,792.71 ZZ
5.6250 2692.71 1
10.8750 2692.71 76
DAILY CITY CA 94015 10.6250 06/20/05
0004133823 0.0000 08/01/05 00
0004133823 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9868496 5.5000 354000.0000 100.0000
5.5000 354,000.00 ZZ
5.2500 1622.50 1
10.5000 1622.50 70
FREDERICKSBURG VA 22405 10.2500 06/23/05
0004134330 0.0000 08/01/05 00
0004134330 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9868524 5.5000 600000.0000 100.0000
5.5000 600,000.00 ZZ
5.2500 2750.00 1
10.5000 2750.00 71
OAKTON VA 22124 10.2500 06/24/05
0004139049 0.0000 08/01/05 00
0004139049 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9868746 5.7500 700000.0000 100.0000
5.7500 700,000.00 ZZ
5.5000 3354.17 1
10.7500 3354.17 65
HERNDON VA 20171 10.5000 06/21/05
0004143156 0.0000 08/01/05 00
0004143156 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9868760 5.8750 637000.0000 100.0000
5.8750 637,000.00 T
5.6250 3118.65 1
10.8750 3118.65 70
TRUCKEE CA 96161 10.6250 06/18/05
0004145024 0.0000 08/01/05 00
0004145024 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9868782 5.8750 528000.0000 100.0000
5.8750 528,000.00 ZZ
5.6250 2585.00 1
10.8750 2585.00 80
CINCINNATI OH 45243 10.6250 06/24/05
0004147729 0.0000 08/01/05 00
0004147729 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9868822 5.5000 506000.0000 100.0000
5.5000 506,000.00 ZZ
5.2500 2319.17 1
10.5000 2319.17 65
IRVINE CA 92603 10.2500 06/22/05
0004160161 0.0000 08/01/05 00
0004160161 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9891506 5.5000 383200.0000 100.0000
5.5000 383,200.00 ZZ
5.2500 1756.33 1
10.5000 1756.33 80
SILVER SPRING MD 20901 10.2500 07/13/05
0439653023 0.0000 09/01/05 00
31805118 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
696/G01 2.0000 09/01/12 09/01/12
25 2.2500 0.0000 0.0000
A 10.5000 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9904845 6.2500 174400.0000 100.0000
6.2500 174,400.00 ZZ
6.0000 908.33 1
12.2500 908.33 80
FARMINGTON HILL MI 48335 12.0000 04/19/05
0423840081 0.0000 06/01/05 00
0423840081 0.0000 05/01/35 0.0000
0 2.2500 05/01/12 05/01/12
E22/U57 2.0000 06/01/12 06/01/12
45 2.2500 0.0000 0.0000
A 12.2500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9905037 5.7500 212000.0000 100.0000
5.7500 212,000.00 ZZ
5.5000 1015.83 1
11.7500 1015.83 80
NEW ORLEANS LA 70130 11.5000 04/20/05
0423934397 0.0000 06/01/05 00
0423934397 0.0000 05/01/35 0.0000
0 2.2500 05/01/12 05/01/12
E22/G01 2.0000 06/01/12 06/01/12
45 2.2500 0.0000 0.0000
A 11.7500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 01 00
O 0.0000
9917596 5.6250 960000.0000 100.0000
5.6250 960,000.00 ZZ
5.3750 4500.00 1
10.6250 4500.00 80
MCLEAN VA 22101 10.3750 07/28/05
0439778077 0.0000 09/01/05 00
40105301 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
696/G01 2.0000 09/01/12 09/01/12
25 2.2500 0.0000 0.0000
A 10.6250 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9934627 6.2500 223920.0000 100.0000
6.2500 223,920.00 ZZ
6.0000 1166.25 1
12.2500 1166.25 80
CHARLESTON SC 29407 12.0000 05/16/05
0423923242 0.0000 07/01/05 00
0423923242 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
E22/G01 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
A 12.2500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9983803 6.2500 394000.0000 100.0000
6.2500 394,000.00 ZZ
6.0000 2052.08 1
12.2500 2052.08 71
ALISO VIEJO CA 92656 12.0000 06/08/05
0424266898 0.0000 08/01/05 00
0424266898 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
E22/G01 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 12.2500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 01 00
O 0.0000
10003593 5.8750 344000.0000 100.0000
5.8750 344,000.00 ZZ
5.6250 1684.17 1
11.8750 1684.17 80
HIGHLANDS RANCH CO 80130 11.6250 06/24/05
0424473791 0.0000 08/01/05 00
0424473791 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
E22/U57 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 11.8750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
10005913 6.0000 290000.0000 100.0000
6.0000 290,000.00 ZZ
5.7500 1450.00 2
12.0000 1450.00 86
PERTH AMBOY NJ 08861 11.7500 06/24/05
0424223006 0.0000 08/01/05 01
0424223006 0.0000 07/01/35 25.0000
0 2.2500 07/01/12 07/01/12
E22/G01 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 12.0000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
10013803 5.2500 500000.0000 100.0000
5.2500 499,426.48 ZZ
5.0000 2761.02 1
10.2500 2761.02 57
SAN MARCOS CA 92079 10.0000 06/09/05
0439532284 0.0000 08/01/05 00
10027313 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
L49/G01 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
10021299 5.5000 1000000.0000 100.0000
5.5000 1,000,000.00 ZZ
5.2500 4583.33 1
10.5000 4583.33 75
PURCELLEVILLE VA 20132 10.2500 06/30/05
0439533373 0.0000 08/01/05 00
33805084 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
696/G01 2.0000 08/01/12 08/01/12
25 2.2500 0.0000 0.0000
A 10.5000 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
10029217 5.7500 424000.0000 100.0000
5.7500 424,000.00 ZZ
5.5000 2031.67 1
11.7500 2031.67 80
CHANDLER AZ 85249 11.5000 07/01/05
0424629871 0.0000 09/01/05 00
0424629871 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
E22/U57 2.0000 09/01/12 09/01/12
45 2.2500 0.0000 0.0000
A 11.7500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
10030537 5.7500 108000.0000 100.0000
5.7500 108,000.00 ZZ
5.5000 517.50 1
11.7500 517.50 78
TUCSON AZ 85705 11.5000 07/08/05
0424567543 0.0000 09/01/05 00
0424567543 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
E22/U57 2.0000 09/01/12 09/01/12
45 2.2500 0.0000 0.0000
A 11.7500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
10034901 5.8750 252000.0000 100.0000
5.8750 252,000.00 ZZ
5.6250 1233.75 1
10.8750 1233.75 80
TEMPE AZ 85282 10.6250 06/21/05
0439636747 0.0000 08/01/05 00
1146857 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
T44/G01 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
10044915 5.8750 72750.0000 100.0000
5.8750 72,750.00 ZZ
5.6250 356.17 1
11.8750 356.17 75
GREENVILLE SC 29605 11.6250 07/14/05
0424626117 0.0000 09/01/05 00
0424626117 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
E22/G01 2.0000 09/01/12 09/01/12
45 2.2500 0.0000 0.0000
A 11.8750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
10062267 6.5000 87000.0000 100.0000
6.5000 87,000.00 ZZ
6.2500 471.25 1
12.5000 471.25 89
DETROIT MI 48219 12.2500 07/22/05
0424559359 0.0000 09/01/05 04
0424559359 0.0000 08/01/35 25.0000
0 2.2500 08/01/12 08/01/12
E22/G01 2.0000 09/01/12 09/01/12
45 2.2500 0.0000 0.0000
A 12.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
10062649 5.7500 274500.0000 100.0000
5.7500 274,500.00 ZZ
5.5000 1601.91 1
10.7500 1601.91 75
MESA AZ 85212 10.5000 07/25/05
0401145420 0.0000 09/01/05 00
0401145420 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
E82/G01 2.0000 09/01/12 09/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
10081849 5.7500 280000.0000 100.0000
5.7500 280,000.00 ZZ
5.5000 1341.67 1
10.7500 1341.67 74
WALDORF MD 20603 10.5000 07/26/05
0439798794 0.0000 09/01/05 00
32605187 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
696/G01 2.0000 09/01/12 09/01/12
25 2.2500 0.0000 0.0000
A 10.7500 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
Total Number of Loans: 50
Total Original Balance: 19,032,625.00
Total Principal Balance: 19,028,765.90
Total Original P+I: 92,737.44
Total Current P+I: 92,737.44
Arm Rate Passthru
Loan Number Sub Serv Fee RFC Net Ceiling
Principal Bal Mstr Serv Fee Max Net Mort Rate
Curr Note Rate Alloc Exp Max Post Strip Rate
RFC Net Rate Misc Exp Int Rate Margin
Investor Rate Spread PostStrip Margin
Post Strip Rate Strip
9695496 0.2500 10.7500
225000.00 0.0500 10.7000
6.0000 0.0000 10.7000
5.7500 0.0000 1.9500
5.7000 0.0000 1.9500
5.7000 0.0000
9785366 0.2500 11.2500
200000.00 0.0500 11.2000
6.5000 0.0000 11.2000
6.2500 0.0000 1.9500
6.2000 0.0000 1.9500
6.2000 0.0000
9790946 0.2500 10.6250
437500.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
9824048 0.2500 10.7500
399000.00 0.0500 10.7000
5.0000 0.0000 10.7000
4.7500 0.0000 2.2000
4.7000 0.0000 2.2000
4.7000 0.0000
9829478 0.2500 10.5000
570000.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9833248 0.2500 10.1250
273000.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9833414 0.2500 10.2500
207503.70 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9841084 0.2500 10.2500
424000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9841096 0.2500 10.7500
399900.00 0.0500 10.7000
6.0000 0.0000 10.7000
5.7500 0.0000 1.9500
5.7000 0.0000 1.9500
5.7000 0.0000
9841178 0.2500 10.6250
389999.99 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
9841180 0.2500 10.3750
280000.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9841378 0.2500 10.5000
311199.47 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9841386 0.2500 10.3750
384588.41 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9841388 0.2500 10.2500
225000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9841420 0.2500 10.3750
330500.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9841464 0.2500 10.3750
459000.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9863354 0.2500 11.2500
412000.00 0.0500 11.2000
5.5000 0.0000 11.2000
5.2500 0.0000 2.2000
5.2000 0.0000 2.2000
5.2000 0.0000
9863362 0.2500 11.6250
480089.29 0.0500 11.5750
5.8750 0.0000 11.5750
5.6250 0.0000 2.2000
5.5750 0.0000 2.2000
5.5750 0.0000
9863372 0.2500 11.6250
442294.05 0.0500 11.5750
5.8750 0.0000 11.5750
5.6250 0.0000 2.2000
5.5750 0.0000 2.2000
5.5750 0.0000
9868186 0.2500 10.7500
141000.00 0.0500 10.7000
6.0000 0.0000 10.7000
5.7500 0.0000 1.9500
5.7000 0.0000 1.9500
5.7000 0.0000
9868226 0.2500 10.5000
426995.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9868410 0.2500 10.6250
163000.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
9868414 0.2500 10.2500
323645.36 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9868436 0.2500 10.3750
380000.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9868468 0.2500 10.2500
251961.44 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9868480 0.2500 10.2500
637600.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9868484 0.2500 10.6250
549792.71 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
9868496 0.2500 10.2500
354000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9868524 0.2500 10.2500
600000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9868746 0.2500 10.5000
700000.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9868760 0.2500 10.6250
637000.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
9868782 0.2500 10.6250
528000.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
9868822 0.2500 10.2500
506000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9891506 0.2500 10.2500
383200.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9904845 0.2500 12.0000
174400.00 0.0500 11.9500
6.2500 0.0000 11.9500
6.0000 0.0000 1.9500
5.9500 0.0000 1.9500
5.9500 0.0000
9905037 0.2500 11.5000
212000.00 0.0500 11.4500
5.7500 0.0000 11.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9917596 0.2500 10.3750
960000.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9934627 0.2500 12.0000
223920.00 0.0500 11.9500
6.2500 0.0000 11.9500
6.0000 0.0000 1.9500
5.9500 0.0000 1.9500
5.9500 0.0000
9983803 0.2500 12.0000
394000.00 0.0500 11.9500
6.2500 0.0000 11.9500
6.0000 0.0000 1.9500
5.9500 0.0000 1.9500
5.9500 0.0000
10003593 0.2500 11.6250
344000.00 0.0500 11.5750
5.8750 0.0000 11.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
10005913 0.2500 11.7500
290000.00 0.0500 11.7000
6.0000 0.0000 11.7000
5.7500 0.0000 1.9500
5.7000 0.0000 1.9500
5.7000 0.0000
10013803 0.2500 10.0000
499426.48 0.0500 9.9500
5.2500 0.0000 9.9500
5.0000 0.0000 1.9500
4.9500 0.0000 1.9500
4.9500 0.0000
10021299 0.2500 10.2500
1000000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
10029217 0.2500 11.5000
424000.00 0.0500 11.4500
5.7500 0.0000 11.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
10030537 0.2500 11.5000
108000.00 0.0500 11.4500
5.7500 0.0000 11.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
10034901 0.2500 10.6250
252000.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
10044915 0.2500 11.6250
72750.00 0.0500 11.5750
5.8750 0.0000 11.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
10062267 0.2500 12.2500
87000.00 0.0500 12.2000
6.5000 0.0000 12.2000
6.2500 0.0000 1.9500
6.2000 0.0000 1.9500
6.2000 0.0000
10062649 0.2500 10.5000
274500.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
10081849 0.2500 10.5000
280000.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
Total Number of Loans: 50
Total Original Balance: 19,032,625.00
Total Principal Balance: 19,028,765.90
Total Original P+I: 92,737.44
Total Current P+I: 92,737.44
EXHIBIT TWO
MORTGAGE LOAN SCHEDULE FOR SUB-LOAN GROUP I-2
Non Fixed Rate Loan
Loan Number Orig Rate Original Bal Max Neg Amort
Curr Rate Principal Bal Loan Feature
Net Curr Original PI # of Units
Note Ceiling Current PI LTV
City State Zip Net Ceiling Note Date
Servicer Loan # Note Floor First Pay Date MI Co Code
Seller Loan # Net Floor Maturity Date MI Coverage
Investor Loan # Gross Margin 1st IntChgDate Nxt IntChgDate
S/S Code Net Margin 1st PmtChgDate Nxt PmtChgDate
Int Chg Prior Day 1st Yr Floor Pmt Cap Incr Pmt Cap Decr
Payment Type 1st Yr Ceil Int Chg Freq Mos Pmt Chg Freq Mos
Orig Term Adj Index Period Incr Period Decr
Note Life Incr Note Round Type Note Round Mth Note Round Fctr
Net Life Incr Net Round Type Net Round Mth Net Round Fctr
Note Life Decr Loan Purp Convert Code Convert Prd From
Net Life Decr Prop Type Convert Index Convert Prd To
Occup Code Convert Margin
9741098 5.5000 376000.0000 100.0000
5.5000 376,000.00 ZZ
5.2500 1723.33 1
10.5000 1723.33 58
ASHBURN VA 20147 10.2500 04/11/05
0439152257 0.0000 06/01/05 00
26605034 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
696/G01 2.0000 06/01/10 06/01/10
25 2.2500 0.0000 0.0000
A 10.5000 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9787226 5.5000 452000.0000 100.0000
5.5000 451,462.55 ZZ
5.2500 2071.67 1
10.5000 2070.02 76
UPPER FREEHOLD NJ 08514 10.2500 04/21/05
0003992889 0.0000 06/01/05 00
0003992889 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
286/286 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 7.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9787356 5.8750 448000.0000 100.0000
5.8750 448,000.00 ZZ
5.6250 2193.33 1
10.8750 2193.33 80
XXXXXXX XXXXXX MO 63119 10.6250 04/28/05
0004045921 0.0000 06/01/05 00
0004045921 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
286/286 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9787894 5.7500 524650.0000 100.0000
5.7500 524,650.00 ZZ
5.5000 2513.95 1
10.7500 2513.95 80
ASHBURN VA 20148 10.5000 05/19/05
0439339649 0.0000 07/01/05 00
23305096 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
696/G01 2.0000 07/01/10 07/01/10
25 2.2500 0.0000 0.0000
A 10.7500 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9790520 4.8750 252000.0000 100.0000
4.8750 252,000.00 ZZ
4.6250 1023.75 1
9.8750 1023.75 80
OAK ISLAND NC 28465 9.6250 05/06/05
0003898327 0.0000 07/01/05 00
0003898327 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 9.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9790530 5.7500 130400.0000 100.0000
5.7500 130,400.00 ZZ
5.5000 624.83 1
10.7500 624.83 80
AUSTIN TX 78748 10.5000 04/25/05
0003943837 0.0000 06/01/05 00
0003943837 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
286/286 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9790558 5.0000 425000.0000 100.0000
5.0000 425,000.00 ZZ
4.7500 1770.83 1
10.0000 1770.83 77
ASHBURN VA 20147 9.7500 05/18/05
0004001861 0.0000 07/01/05 00
0004001861 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9790582 6.0000 330000.0000 100.0000
6.0000 329,497.50 ZZ
5.7500 1650.00 1
11.0000 1647.47 80
KANSAS CITY MO 64116 10.7500 04/28/05
0004026582 0.0000 06/01/05 00
0004026582 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
286/286 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 11.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9790586 5.5000 235000.0000 100.0000
5.5000 234,765.67 ZZ
5.2500 1077.08 1
10.5000 1076.00 78
CROWNSVILLE MD 21032 10.2500 04/29/05
0004028455 2.2500 06/01/05 00
0004028455 2.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
286/286 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
3.2500 5 0
0.0000 05 00
O 0.0000
9790608 5.7500 110000.0000 100.0000
5.7500 110,000.00 ZZ
5.5000 527.08 1
10.7500 527.08 47
REDMOND OR 97756 10.5000 04/25/05
0004036450 0.0000 06/01/05 00
0004036450 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
286/286 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9790668 5.2500 333600.0000 100.0000
5.2500 333,600.00 ZZ
5.0000 1459.50 1
10.2500 1459.50 80
ARLINGTON VA 22204 10.0000 05/10/05
0004048558 0.0000 07/01/05 00
0004048558 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9790748 5.1250 495000.0000 100.0000
5.1250 495,000.00 ZZ
4.8750 2114.06 1
10.1250 2114.06 76
OCEANSIDE NY 11572 9.8750 05/19/05
0004063780 0.0000 07/01/05 00
0004063780 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9790754 5.3750 199000.0000 100.0000
5.3750 199,000.00 ZZ
5.1250 891.35 1
10.3750 891.35 77
MARYSVILLE WA 98270 10.1250 05/06/05
0004066757 0.0000 07/01/05 00
0004066757 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9811918 4.7500 368700.0000 100.0000
4.7500 368,700.00 ZZ
4.5000 1459.44 1
9.7500 1459.44 80
SILVER SPRING MD 20905 9.5000 05/31/05
0439366436 0.0000 07/01/05 00
25005124 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
696/G01 2.0000 07/01/10 07/01/10
25 2.2500 0.0000 0.0000
A 9.7500 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9816634 5.3750 327000.0000 100.0000
5.3750 327,000.00 ZZ
5.1250 1464.69 1
10.3750 1464.69 67
ROCKVILLE MD 20853 10.1250 05/27/05
0439375338 0.0000 07/01/05 00
32205086 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
696/G01 2.0000 07/01/10 07/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9833260 5.3750 640000.0000 100.0000
5.3750 640,000.00 ZZ
5.1250 2866.67 1
10.3750 2866.67 80
WASHINGTON DC 20007 10.1250 06/02/05
0439483587 0.0000 08/01/05 00
25605151 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 07 00
O 0.0000
9837336 5.3750 277500.0000 100.0000
5.3750 277,500.00 ZZ
5.1250 1242.97 1
10.3750 1242.97 80
VIENNA VA 22181 10.1250 06/17/05
0439485681 0.0000 08/01/05 00
26605107 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 08 00
O 0.0000
9844788 5.6250 188000.0000 100.0000
5.6250 188,000.00 ZZ
5.3750 881.25 1
10.6250 881.25 80
HOOD RIVER OR 97031 10.3750 05/27/05
0439540246 0.0000 07/01/05 00
205197141 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
Y21/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9844790 5.1250 368000.0000 100.0000
5.1250 366,698.30 ZZ
4.8750 2003.72 1
10.1250 2003.72 80
BUFFALO MN 55313 9.8750 04/22/05
0439539073 0.0000 06/01/05 00
205226841 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
Y21/G01 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9844792 5.8750 228000.0000 100.0000
5.8750 228,000.00 ZZ
5.6250 1116.25 1
10.8750 1116.25 51
BIG BEAR LAKE CA 92315 10.6250 06/02/05
0439539982 0.0000 08/01/05 00
205244351 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9844794 5.5000 600000.0000 100.0000
5.5000 600,000.00 ZZ
5.2500 2750.00 1
10.5000 2750.00 80
SAN JOSE CA 95124 10.2500 06/01/05
0439538620 0.0000 08/01/05 00
205305598 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9844798 5.8750 542000.0000 100.0000
5.8750 542,000.00 ZZ
5.6250 2653.54 1
10.8750 2653.54 80
GAINESVILLE VA 20155 10.6250 06/09/05
0439540386 0.0000 08/01/05 00
205338500 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9844800 5.6250 678200.0000 100.0000
5.6250 678,200.00 ZZ
5.3750 3179.06 1
10.6250 3179.06 80
NEWPORT BEACH CA 92660 10.3750 06/03/05
0439540360 0.0000 08/01/05 00
205347070 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 09 00
O 0.0000
9844802 5.7500 494000.0000 100.0000
5.7500 494,000.00 ZZ
5.5000 2367.08 1
10.7500 2367.08 80
BUFFALO GROVE IL 60089 10.5000 06/13/05
0439534918 0.0000 08/01/05 00
205348912 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9844804 5.7500 148800.0000 100.0000
5.7500 148,800.00 ZZ
5.5000 713.00 1
10.7500 713.00 80
APPLE VALLEY MN 55124 10.5000 06/13/05
0439539123 0.0000 08/01/05 00
205382363 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 09 00
O 0.0000
9844806 5.5000 611200.0000 100.0000
5.5000 611,200.00 ZZ
5.2500 2801.33 1
10.5000 2801.33 80
SAN MARCOS CA 92078 10.2500 06/02/05
0439539628 0.0000 08/01/05 00
205384811 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9844808 5.8750 159100.0000 100.0000
5.8750 159,100.00 ZZ
5.6250 778.93 1
10.8750 778.93 80
OCALA FL 34476 10.6250 06/02/05
0439538885 0.0000 07/01/05 00
205403573 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
Y21/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9844810 5.8750 405000.0000 100.0000
5.8750 404,172.14 ZZ
5.6250 2395.73 1
10.8750 2395.73 65
REDONDO BEACH CA 90278 10.6250 05/26/05
0439541368 0.0000 07/01/05 00
205405428 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
Y21/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 01 00
O 0.0000
9844814 5.7500 273750.0000 100.0000
5.7500 273,750.00 ZZ
5.5000 1311.72 1
10.7500 1311.72 75
SACRAMENTO CA 95823 10.5000 06/03/05
0439540956 0.0000 08/01/05 00
205417345 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9844816 5.6250 670000.0000 100.0000
5.6250 670,000.00 ZZ
5.3750 3140.63 1
10.6250 3140.63 57
FOSTER CITY CA 94404 10.3750 06/01/05
0439540147 0.0000 08/01/05 00
205420583 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9844824 5.3750 283000.0000 100.0000
5.3750 283,000.00 ZZ
5.1250 1267.60 1
10.3750 1267.60 77
SACRAMENTO CA 95820 10.1250 06/15/05
0439538406 0.0000 08/01/05 00
205448356 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9844826 5.6250 495200.0000 100.0000
5.6250 495,200.00 T
5.3750 2321.25 1
10.6250 2321.25 80
SOUTH LAKE TAHO CA 96150 10.3750 06/01/05
0439540725 0.0000 08/01/05 00
205449786 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9844828 5.3750 720000.0000 100.0000
5.3750 720,000.00 ZZ
5.1250 3225.00 1
10.3750 3225.00 80
SUMMERLAND KEY FL 33042 10.1250 06/17/05
0439538489 0.0000 08/01/05 00
205452108 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9844830 5.8750 420000.0000 100.0000
5.8750 420,000.00 ZZ
5.6250 2056.25 1
10.8750 2056.25 80
CUPERTINO CA 95014 10.6250 05/26/05
0439540261 0.0000 07/01/05 00
205454755 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
Y21/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9844832 5.5000 414000.0000 100.0000
5.5000 413,546.85 ZZ
5.2500 2350.65 1
10.5000 2350.65 80
OCOEE FL 34761 10.2500 06/08/05
0439548454 0.0000 08/01/05 00
205456375 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9844834 5.5000 165000.0000 100.0000
5.5000 165,000.00 ZZ
5.2500 756.25 1
10.5000 756.25 53
MINNEAPOLIS MN 55412 10.2500 06/02/05
0439541004 0.0000 07/01/05 00
205458793 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
Y21/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9844836 5.8750 224000.0000 100.0000
5.8750 224,000.00 ZZ
5.6250 1096.67 1
10.8750 1096.67 70
SUGARLOAF CA 92386 10.6250 06/16/05
0439540949 0.0000 08/01/05 00
205459501 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9844842 5.6250 503200.0000 100.0000
5.6250 503,200.00 ZZ
5.3750 2358.75 1
10.6250 2358.75 80
SANTA ROSA CA 95409 10.3750 06/09/05
0439540097 0.0000 08/01/05 00
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9844844 5.5000 304000.0000 100.0000
5.5000 304,000.00 ZZ
5.2500 1393.33 1
10.5000 1393.33 80
SNOHOMISH WA 98296 10.2500 06/03/05
0439537259 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
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5.1250 1926.04 1
10.3750 1926.04 74
ARVADA CO 80007 10.1250 06/02/05
0439541095 0.0000 07/01/05 00
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0 2.2500 06/01/10 06/01/10
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45 2.2500 0.0000 0.0000
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9844850 5.6250 440000.0000 100.0000
5.6250 440,000.00 ZZ
5.3750 2062.50 1
10.6250 2062.50 80
STERLING VA 20165 10.3750 06/03/05
0439539867 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9844852 5.5000 237000.0000 100.0000
5.5000 237,000.00 ZZ
5.2500 1086.25 1
10.5000 1086.25 77
ROCKLIN CA 95677 10.2500 05/31/05
0439541376 0.0000 07/01/05 00
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9844854 5.8750 508250.0000 100.0000
5.8750 508,250.00 ZZ
5.6250 2488.31 1
10.8750 2488.31 80
SAN FRANCISCO CA 94107 10.6250 06/01/05
0439540485 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
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9844856 5.8750 650000.0000 100.0000
5.8750 650,000.00 ZZ
5.6250 3182.29 1
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CLEARWATER FL 33764 10.6250 06/21/05
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5.1250 408,000.00 ZZ
4.8750 1742.50 1
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ARNOLD MD 21012 9.8750 06/07/05
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Y21/G01 2.0000 08/01/10 08/01/10
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9844860 5.2500 675300.0000 100.0000
5.2500 675,254.44 ZZ
5.0000 2954.44 1
10.2500 2954.44 80
SAN JOSE CA 95128 10.0000 05/26/05
0439540469 0.0000 07/01/05 00
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0 2.2500 06/01/10 06/01/10
Y21/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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9844864 5.0000 574000.0000 100.0000
5.0000 574,000.00 ZZ
4.7500 2391.67 1
10.0000 2391.67 80
SAN JOSE CA 95130 9.7500 06/08/05
0439540063 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9844866 5.3750 1000000.0000 100.0000
5.3750 1,000,000.00 ZZ
5.1250 4479.17 1
10.3750 4479.17 68
NAPA CA 94558 10.1250 06/09/05
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0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9844868 5.8750 561000.0000 100.0000
5.8750 561,000.00 ZZ
5.6250 2746.56 1
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SAN MATEO CA 94402 10.6250 06/07/05
0439540931 0.0000 08/01/05 00
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Y21/G01 2.0000 08/01/10 08/01/10
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9844870 5.2500 440000.0000 100.0000
5.2500 439,495.30 ZZ
5.0000 2429.70 1
10.2500 2429.70 80
BOTHELL WA 98021 10.0000 06/08/05
0439538414 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
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9844872 5.8750 450000.0000 100.0000
5.8750 450,000.00 ZZ
5.6250 2203.12 1
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FREMONT CA 94538 10.6250 06/09/05
0439536673 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9844874 5.1250 630500.0000 100.0000
5.1250 629,759.76 ZZ
4.8750 3433.00 1
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XXXX BEACH CA 94038 9.8750 06/01/05
0439538570 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9844878 5.7500 524800.0000 100.0000
5.7500 524,800.00 ZZ
5.5000 2514.67 1
10.7500 2514.67 80
SAN FRANCISCO CA 94133 10.5000 06/08/05
0439541442 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9844880 5.6250 174655.0000 100.0000
5.6250 174,655.00 ZZ
5.3750 818.70 1
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DALLAS GA 30132 10.3750 06/10/05
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0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9844884 5.5000 538000.0000 100.0000
5.5000 538,000.00 ZZ
5.2500 2465.83 1
10.5000 2465.83 74
SAN JOSE CA 95148 10.2500 06/20/05
0439540808 0.0000 08/01/05 00
205506658 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9844886 5.8750 460000.0000 100.0000
5.8750 460,000.00 T
5.6250 2252.08 1
10.8750 2252.08 80
OCOEE FL 34761 10.6250 06/08/05
0439539909 0.0000 08/01/05 00
205508111 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9844888 5.5000 440000.0000 100.0000
5.5000 440,000.00 T
5.2500 2016.67 1
10.5000 2016.67 80
CAPE CORAL FL 33914 10.2500 06/09/05
0439538398 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9844890 5.5000 396350.0000 100.0000
5.5000 396,350.00 ZZ
5.2500 1816.60 1
10.5000 1816.60 80
MARYSVILLE WA 98271 10.2500 06/20/05
0439538661 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9844894 5.7500 304000.0000 100.0000
5.7500 304,000.00 ZZ
5.5000 1456.67 1
10.7500 1456.67 80
ANAHEIM CA 92806 10.5000 06/15/05
0439541210 0.0000 08/01/05 00
205516319 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9844902 5.5000 465000.0000 100.0000
5.5000 465,000.00 T
5.2500 2131.25 1
10.5000 2131.25 75
PLEASANT HILL CA 94523 10.2500 06/20/05
0439539610 0.0000 08/01/05 00
205525709 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9844906 5.5000 156000.0000 100.0000
5.5000 156,000.00 T
5.2500 715.00 1
10.5000 715.00 80
WELLINGTON CO 80549 10.2500 06/17/05
0439541251 0.0000 08/01/05 00
205535488 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
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9844910 5.5000 404000.0000 100.0000
5.5000 404,000.00 ZZ
5.2500 1851.67 1
10.5000 1851.67 80
SANTA ROSA CA 95405 10.2500 06/13/05
0439538927 0.0000 08/01/05 00
205551106 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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9844912 5.2500 451000.0000 100.0000
5.2500 451,000.00 ZZ
5.0000 1973.13 1
10.2500 1973.13 72
LOS ANGELES CA 90019 10.0000 06/17/05
0439540964 0.0000 08/01/05 00
205556663 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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O 0.0000
9844914 5.3750 270000.0000 100.0000
5.3750 269,697.45 ZZ
5.1250 1511.93 1
10.3750 1511.93 76
RENTON WA 98059 10.1250 06/21/05
0439540378 0.0000 08/01/05 00
205557759 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9844916 5.1250 588750.0000 100.0000
5.1250 588,058.78 ZZ
4.8750 3205.67 1
10.1250 3205.67 75
SUNNYVALE CA 94086 9.8750 06/16/05
0439539735 0.0000 08/01/05 00
205577857 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9863680 5.3750 272000.0000 100.0000
5.3750 272,000.00 ZZ
5.1250 1218.33 1
10.3750 1218.33 80
CENTREVILLE VA 20121 10.1250 06/30/05
0439543521 0.0000 08/01/05 00
33605062 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
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360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
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9866606 5.7500 210400.0000 100.0000
5.7500 210,378.09 ZZ
5.5000 1008.17 1
10.7500 1008.17 80
CHESAPEAKE VA 23320 10.5000 06/22/05
0001775643 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
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9866644 5.7500 328304.0000 100.0000
5.7500 328,304.00 ZZ
5.5000 1573.12 1
10.7500 1573.12 80
RANCHO CORDOVA CA 95670 10.5000 06/21/05
0003735806 0.0000 08/01/05 00
0003735806 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
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9866652 5.8750 618500.0000 100.0000
5.8750 618,500.00 ZZ
5.6250 3028.07 1
10.8750 3028.07 80
DETROIT MI 48214 10.6250 12/29/04
0003775585 0.0000 03/01/05 00
0003775585 0.0000 02/01/35 0.0000
0 2.2500 02/01/10 02/01/10
286/286 2.0000 03/01/10 03/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
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9866686 5.5000 353800.0000 100.0000
5.5000 353,799.25 ZZ
5.2500 1621.58 1
10.5000 1621.58 80
SUFFOLK VA 23434 10.2500 06/16/05
0003987201 0.0000 08/01/05 00
0003987201 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
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9866700 5.6250 772000.0000 100.0000
5.6250 772,000.00 ZZ
5.3750 3618.75 1
10.6250 3618.75 80
SAN DIEGO CA 92130 10.3750 06/16/05
0004033351 0.0000 08/01/05 00
0004033351 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
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9866704 5.7500 143600.0000 100.0000
5.7500 143,600.00 ZZ
5.5000 688.08 1
10.7500 688.08 80
CHARLOTTESVILLE VA 22902 10.5000 06/21/05
0004036490 0.0000 08/01/05 00
0004036490 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 07 00
O 0.0000
9866714 5.5000 390000.0000 100.0000
5.5000 390,000.00 ZZ
5.2500 1787.50 1
10.5000 1787.50 75
CORONA CA 92883 10.2500 06/09/05
0004041934 0.0000 08/01/05 00
0004041934 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 5 0
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9866754 5.2500 250000.0000 100.0000
5.2500 250,000.00 ZZ
5.0000 1093.75 1
10.2500 1093.75 80
WASHINGTON DC 20037 10.0000 06/21/05
0004061771 0.0000 08/01/05 00
0004061771 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
0.0000 11 00
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9867188 5.8750 385000.0000 100.0000
5.8750 384,999.99 ZZ
5.6250 1884.90 1
10.8750 1884.90 70
THOUSAND OAKS CA 91360 10.6250 03/23/05
0004072773 0.0000 05/01/05 00
0004072773 0.0000 04/01/35 0.0000
0 2.2500 04/01/10 04/01/10
286/286 2.0000 05/01/10 05/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
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9867192 5.8750 359650.0000 100.0000
5.8750 359,650.00 ZZ
5.6250 1760.79 1
10.8750 1760.79 80
ALGONQUIN IL 60102 10.6250 06/15/05
0004073393 0.0000 08/01/05 00
0004073393 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
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9867204 5.2500 500000.0000 100.0000
5.2500 500,000.00 ZZ
5.0000 2187.50 1
10.2500 2187.50 70
BRENTWOOD CA 94513 10.0000 06/09/05
0004076970 0.0000 08/01/05 00
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CLINTON MD 20735 10.3750 06/15/05
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PASSAIC NJ 07055 10.5000 05/12/05
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PURCELLVILLE VA 20132 11.0000 06/16/05
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WOODBRIDGE VA 22192 10.5000 06/23/05
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ORANGE PARK FL 32003 10.6250 06/20/05
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MIAMI FL 33133 10.3750 06/16/05
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OCEANSIDE CA 92056 10.5000 06/09/05
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NEW MARKET MD 21774 10.6250 06/17/05
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5.0000 984.38 1
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CATHEDERAL CITY CA 92234 10.0000 06/16/05
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5.7500 1776.00 1
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STOCKTON CA 95212 10.7500 06/17/05
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LUTZ FL 33559 10.6250 06/17/05
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DIAMOND BAR CA 91765 10.3750 06/21/05
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SAN DIEGO CA 92114 10.1250 06/14/05
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VERONA WI 53593 10.8750 06/17/05
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5.2500 4184.58 1
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GREAT FALLS VA 22066 10.2500 06/21/05
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SILVER SPRING MD 20901 10.7500 06/24/05
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5.5000 1376.93 1
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MIDLOTHIAN VA 23112 10.5000 06/24/05
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45 2.2500 0.0000 0.0000
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5.0000 1750.00 1
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FREDERICK MD 21701 10.0000 06/21/05
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45 2.2500 0.0000 0.0000
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5.3750 1171.88 1
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WASHINGTON DC 20009 10.3750 06/29/05
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45 2.2500 0.0000 0.0000
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5.5000 98,750.00 ZZ
5.2500 452.60 1
10.5000 452.60 56
WALDORF MD 20602 10.2500 06/22/05
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0 2.7500 07/01/10 07/01/10
286/286 2.5000 08/01/10 08/01/10
45 2.7500 0.0000 0.0000
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5.5000 285,000.00 ZZ
5.2500 1306.25 1
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WHEATON MD 20902 10.2500 07/08/05
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0 2.2500 08/01/10 08/01/10
696/G01 2.0000 09/01/10 09/01/10
25 2.5000 0.0000 0.0000
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5.0000 3283.44 1
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CHANTILLY VA 20152 10.0000 06/29/05
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696/G01 2.0000 08/01/10 08/01/10
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WELLINGTON FL 33414 10.6250 06/30/05
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25 2.2500 0.0000 0.0000
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5.1250 1791.67 1
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HERNDON VA 20171 10.1250 07/01/05
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0 2.2500 08/01/10 08/01/10
696/G01 2.0000 09/01/10 09/01/10
25 2.2500 0.0000 0.0000
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4.8750 1469.17 1
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CAMPBELL CA 95008 9.8750 06/22/05
0439778895 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9891602 4.8750 169970.0000 100.0000
4.8750 169,970.00 ZZ
4.6250 690.50 1
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COLORADO SPRING CO 80922 9.6250 06/30/05
0439779638 0.0000 09/01/05 00
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0 2.2500 08/01/10 08/01/10
Y21/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
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5.8750 315,000.00 ZZ
5.6250 1542.19 1
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KINGS PARK NY 11754 10.6250 06/30/05
0439769001 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9891608 5.3750 280000.0000 100.0000
5.3750 280,000.00 T
5.1250 1254.17 1
10.3750 1254.17 80
THREE RIVERS CA 93271 10.1250 06/16/05
0439779588 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
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9891612 5.3750 283200.0000 100.0000
5.3750 283,200.00 ZZ
5.1250 1268.50 1
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EVERETT WA 98208 10.1250 06/15/05
0439776840 0.0000 08/01/05 00
205513751 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
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9891614 5.5000 159920.0000 100.0000
5.5000 159,744.96 ZZ
5.2500 908.01 1
10.5000 908.01 80
DENVER CO 80220 10.2500 06/29/05
0439769373 0.0000 08/01/05 00
205515975 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.2500 400,000.00 ZZ
5.0000 1750.00 1
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HACIENDA HEIGHT CA 91745 10.0000 06/27/05
0439769639 0.0000 08/01/05 00
205518273 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9891620 5.3750 676000.0000 100.0000
5.3750 676,000.00 ZZ
5.1250 3027.92 1
10.3750 3027.92 80
THOUSAND OAKS CA 91362 10.1250 07/01/05
0439771965 0.0000 09/01/05 00
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0 2.2500 08/01/10 08/01/10
Y21/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9891624 5.5000 471200.0000 100.0000
5.5000 471,200.00 ZZ
5.2500 2159.67 1
10.5000 2159.67 80
ESCONDIDO CA 92029 10.2500 06/21/05
0439771833 0.0000 08/01/05 00
205522858 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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O 0.0000
9891626 5.2500 158800.0000 100.0000
5.2500 158,800.00 ZZ
5.0000 876.90 1
10.2500 876.90 65
BEND OR 97701 10.0000 07/01/05
0439780388 0.0000 09/01/05 00
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0 2.2500 08/01/10 08/01/10
Y21/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9891628 5.2500 268000.0000 100.0000
5.2500 268,000.00 ZZ
5.0000 1172.50 1
10.2500 1172.50 80
SMYRNA GA 30080 10.0000 07/01/05
0439772039 0.0000 09/01/05 00
205526365 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
Y21/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
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9891630 5.5000 592400.0000 100.0000
5.5000 592,400.00 T
5.2500 2715.17 1
10.5000 2715.17 80
UNION HALL VA 24176 10.2500 07/07/05
0439768854 0.0000 09/01/05 00
205526748 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
Y21/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
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9891634 5.0000 248000.0000 100.0000
5.0000 248,000.00 T
4.7500 1033.33 1
10.0000 1033.33 80
STATEN ISLAND NY 10314 9.7500 07/01/05
0439780438 0.0000 09/01/05 00
205529763 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
Y21/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 10.0000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9891636 5.5000 900000.0000 100.0000
5.5000 898,925.00 ZZ
5.2500 4125.00 1
10.5000 4125.00 75
CAMARILLO CA 93010 10.2500 06/23/05
0439776642 0.0000 08/01/05 00
205531601 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9891638 5.6250 383200.0000 100.0000
5.6250 383,200.00 ZZ
5.3750 1796.25 1
10.6250 1796.25 80
GRANADA HILLS CA 91344 10.3750 06/20/05
0439782491 0.0000 08/01/05 00
205540724 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9891642 5.3750 240000.0000 100.0000
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5.1250 1075.00 1
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DESTIN FL 32541 10.1250 06/29/05
0439770801 0.0000 08/01/05 00
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4.8750 2131.15 2
10.1250 2131.15 70
IMPERIAL BEACH CA 91932 9.8750 06/17/05
0439780115 0.0000 08/01/05 00
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5.1250 2396.35 1
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SAN DIEGO CA 92124 10.1250 06/23/05
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Y21/G01 2.0000 08/01/10 08/01/10
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5.2500 3318.33 1
10.5000 3318.33 80
SANTA CRUZ CA 95062 10.2500 06/21/05
0439775339 0.0000 08/01/05 00
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5.0000 1531.03 1
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DUVALL WA 98019 10.0000 06/24/05
0439775958 0.0000 08/01/05 00
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5.5000 576,000.00 ZZ
5.2500 2640.00 1
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GLENDALE CA 91202 10.2500 07/05/05
0439777475 0.0000 09/01/05 00
205564097 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
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5.0000 2207.19 1
10.2500 2207.19 77
FOLSOM CA 95630 10.0000 06/23/05
0439777376 0.0000 08/01/05 00
205564178 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
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5.5000 200,000.00 ZZ
5.2500 1135.58 1
10.5000 1135.58 80
LANGHORNE PA 19047 10.2500 07/08/05
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5.1250 400,000.00 ZZ
4.8750 1708.33 1
10.1250 1708.33 75
ANTIOCH CA 94509 9.8750 06/26/05
0439771692 0.0000 09/01/05 00
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0 2.2500 08/01/10 08/01/10
Y21/G01 2.0000 09/01/10 09/01/10
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5.2500 845,600.00 ZZ
5.0000 3699.50 1
10.2500 3699.50 80
LOS ANGELES CA 90048 10.0000 06/27/05
0439774712 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9891670 5.6250 408000.0000 100.0000
5.6250 407,563.82 ZZ
5.3750 2348.68 1
10.6250 2348.68 80
SAN DIEGO CA 92126 10.3750 06/23/05
0439780172 0.0000 08/01/05 00
205568491 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.1250 832,000.00 ZZ
4.8750 3553.33 1
10.1250 3553.33 80
LAFAYETTE CA 94549 9.8750 06/27/05
0439777293 0.0000 08/01/05 00
205569765 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9891676 5.8750 241920.0000 100.0000
5.8750 241,920.00 ZZ
5.6250 1184.40 1
10.8750 1184.40 80
PLUMAS LAKE CA 95961 10.6250 06/24/05
0439769167 0.0000 08/01/05 00
205571506 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9891680 5.5000 380800.0000 100.0000
5.5000 380,800.00 ZZ
5.2500 2162.15 1
10.5000 2162.15 80
RIVERSIDE CA 92508 10.2500 07/01/05
0439779372 0.0000 09/01/05 00
205575765 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
Y21/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
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9891682 5.0000 400000.0000 100.0000
5.0000 400,000.00 ZZ
4.7500 1666.67 1
10.0000 1666.67 79
SANTA CLARITA CA 91355 9.7500 07/01/05
0439780073 0.0000 09/01/05 00
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0 2.2500 08/01/10 08/01/10
Y21/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
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5.1250 507,900.00 ZZ
4.8750 2169.16 1
10.1250 2169.16 80
LAWRENCEVILLE GA 30043 9.8750 07/08/05
0439777152 0.0000 09/01/05 00
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0 2.2500 08/01/10 08/01/10
Y21/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9891686 5.0000 130500.0000 100.0000
5.0000 130,500.00 T
4.7500 543.75 1
10.0000 543.75 90
DESTIN FL 32541 9.7500 06/29/05
0439779786 0.0000 08/01/05 10
205582320 0.0000 07/01/35 25.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9891690 5.2500 494400.0000 100.0000
5.2500 494,400.00 ZZ
5.0000 2163.00 1
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CUPERTINO CA 95014 10.0000 06/23/05
0439779315 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9891692 5.6250 280000.0000 100.0000
5.6250 280,000.00 ZZ
5.3750 1312.50 1
10.6250 1312.50 80
ELK GROVE CA 95758 10.3750 06/28/05
0439779984 0.0000 08/01/05 00
205589651 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9891694 5.3750 400000.0000 100.0000
5.3750 399,984.33 ZZ
5.1250 1791.67 1
10.3750 1791.67 79
CUMMING GA 30040 10.1250 07/06/05
0439780008 0.0000 08/01/05 00
205590829 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9891698 5.6250 153250.0000 100.0000
5.6250 153,250.00 T
5.3750 718.36 1
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CORNING CA 96021 10.3750 07/12/05
0439779596 0.0000 09/01/05 00
205593496 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
Y21/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
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5.3750 2996.25 1
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PORTLAND OR 97219 10.3750 06/29/05
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Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9891702 5.8750 140700.0000 100.0000
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5.6250 688.84 1
10.8750 688.84 70
CASTLE ROCK CO 80104 10.6250 07/06/05
0439779547 0.0000 09/01/05 00
205596649 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
Y21/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
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9891704 5.8750 400000.0000 100.0000
5.8750 400,000.00 ZZ
5.6250 1958.33 1
10.8750 1958.33 78
NORTH BELLMORE NY 11710 10.6250 07/12/05
0439793787 0.0000 09/01/05 00
205598111 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
Y21/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
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9891708 5.7500 689900.0000 100.0000
5.7500 689,900.00 ZZ
5.5000 3305.77 1
10.7500 3305.77 71
WATSONVILLE CA 95076 10.5000 07/08/05
0439779042 0.0000 09/01/05 00
205599583 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
Y21/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
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9891710 5.3750 528800.0000 100.0000
5.3750 528,800.00 ZZ
5.1250 2368.58 1
10.3750 2368.58 80
CONCORD CA 94521 10.1250 06/24/05
0439780503 0.0000 08/01/05 00
205600450 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
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9891712 5.1250 125100.0000 100.0000
5.1250 124,934.28 ZZ
4.8750 534.28 1
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FLEMING OH 45729 9.8750 06/30/05
0439770264 0.0000 08/01/05 00
205605893 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.1250 12 12
360 L12 2.0000 2.0000
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9891716 5.3750 191100.0000 100.0000
5.3750 191,100.00 ZZ
5.1250 855.97 1
10.3750 855.97 80
COLUMBUS OH 43235 10.1250 07/01/05
0439776931 0.0000 08/01/05 00
205609210 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9891718 5.3750 274000.0000 100.0000
5.3750 274,000.00 ZZ
5.1250 1227.29 1
10.3750 1227.29 74
NAPERVILLE IL 60565 10.1250 07/01/05
0439780461 0.0000 09/01/05 00
205609988 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
Y21/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
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9891720 5.2500 316000.0000 100.0000
5.2500 316,000.00 ZZ
5.0000 1382.50 1
10.2500 1382.50 70
CORONA CA 92882 10.0000 07/07/05
0439779489 0.0000 09/01/05 00
205611435 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
Y21/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
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9891722 4.7500 576000.0000 100.0000
4.7500 576,000.00 ZZ
4.5000 2280.00 1
9.7500 2280.00 80
PETALUMA CA 94954 9.5000 07/01/05
0439782137 0.0000 09/01/05 00
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0 2.2500 08/01/10 08/01/10
Y21/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 9.7500 12 12
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9891724 5.7500 410000.0000 100.0000
5.7500 410,000.00 ZZ
5.5000 1964.58 1
10.7500 1964.58 58
WATSONVILLE CA 95076 10.5000 07/06/05
0439771825 0.0000 09/01/05 00
205614817 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
Y21/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
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9891726 5.0000 572000.0000 100.0000
5.0000 572,000.00 ZZ
4.7500 2383.33 1
10.0000 2383.33 80
PINOLE CA 94564 9.7500 07/06/05
0439779554 0.0000 09/01/05 00
205618472 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
Y21/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
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9891728 5.8750 168000.0000 100.0000
5.8750 168,000.00 ZZ
5.6250 822.50 1
10.8750 822.50 80
WOODSTOCK GA 30189 10.6250 07/12/05
0439779331 0.0000 09/01/05 00
205633358 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
Y21/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
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9891730 5.8750 572000.0000 100.0000
5.8750 572,000.00 ZZ
5.6250 2800.42 1
10.8750 2800.42 80
BEVERLY HILLS MI 48025 10.6250 07/14/05
0439778788 2.2500 09/01/05 00
205636390 2.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
Y21/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
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3.6250 1 0
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9891732 5.8750 142000.0000 100.0000
5.8750 142,000.00 ZZ
5.6250 695.21 1
10.8750 695.21 79
COLORADO CITY CO 81019 10.6250 07/08/05
0439777657 0.0000 09/01/05 00
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0 2.2500 08/01/10 08/01/10
Y21/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
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5.2500 299,920.00 ZZ
5.0000 1312.15 1
10.2500 1312.15 80
CHERRY HILL NJ 08034 10.0000 07/11/05
0439780271 0.0000 09/01/05 00
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0 2.2500 08/01/10 08/01/10
Y21/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
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9892130 5.6250 480000.0000 100.0000
5.6250 480,000.00 ZZ
5.3750 2250.00 1
10.6250 2250.00 80
HERNDON VA 20171 10.3750 06/27/05
0439658568 0.0000 08/01/05 00
26205171 0.0000 07/01/35 0.0000
0 3.2500 07/01/10 07/01/10
696/G01 3.0000 08/01/10 08/01/10
25 3.2500 0.0000 0.0000
A 10.6250 6 6
360 E 1.0000 1.0000
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0.0000 S N 0.1250
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9893158 5.3750 356000.0000 100.0000
5.3750 356,000.00 ZZ
5.1250 1594.58 1
10.3750 1594.58 80
CENTREVILLE VA 20121 10.1250 06/30/05
0439665340 0.0000 08/01/05 00
25005143 0.0000 07/01/35 0.0000
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POULSBO WA 98370 10.7500 04/13/05
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ASHBURN VA 20147 10.2500 07/19/05
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STERLING VA 20165 10.2500 07/26/05
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CORAM NY 11727 11.1250 05/09/05
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LOS ANGELES CA 90033 11.0000 03/04/05
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RINCON GA 31326 10.5000 05/10/05
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NORTH PALM BEAC FL 33408 10.5000 03/30/05
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MAULDIN SC 29662 10.6250 04/15/05
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KISSIMMEE FL 34741 10.2500 04/15/05
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FEDERAL WAY WA 98023 10.6250 05/12/05
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BELLINGHAM WA 98229 10.3750 05/19/05
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CROFTON MD 21114 10.6250 05/17/05
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LA MIRADA CA 90638 10.5000 05/23/05
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GOODYEAR AZ 85338 10.6250 05/05/05
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KINGSVILLE MD 21087 10.1250 05/17/05
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BUCKEYE AZ 85326 10.1250 05/19/05
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MANASSAS VA 20110 10.7500 06/06/05
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LOVELAND CO 80538 10.6250 06/06/05
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BEND OR 97701 10.5000 06/06/05
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QUINCY MA 02171 10.3750 06/09/05
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CHANDLER AZ 85224 10.0000 06/10/05
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WOLCOTT CT 06716 10.6250 06/02/05
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ACWORTH GA 30102 10.2500 06/17/05
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TROY MO 63379 10.8750 06/15/05
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LAS VEGAS NV 89131 10.7500 06/10/05
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BENICIA CA 94510 10.2500 06/13/05
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GARDEN CITY GA 31408 10.3750 06/27/05
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CALERA AL 35040 10.5000 06/24/05
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WATERFORD MI 48329 10.8750 06/30/05
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ORLANDO FL 32821 10.8750 06/30/05
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FLORISSANT MO 63031 10.8750 06/27/05
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FORT XXXXX FL 33913 11.1250 06/03/05
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HERNDON VA 20170 11.5000 01/06/05
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FILLMORE CA 93015 11.3750 06/10/05
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NEWPORT BEACH CA 92663 11.6250 05/25/05
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AMERICAN CANYON CA 94503 10.1250 06/15/05
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CAPE CORAL FL 33909 11.6250 06/30/05
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5.8750 1960.00 1
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FREEHOLD NJ 07728 10.8750 07/06/05
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CENTURIA WI 54824 10.5000 06/30/05
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TRAVERSE CITY MI 49686 10.8750 07/01/05
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5.6250 1419.79 1
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TUSTIN CA 92780 10.6250 07/01/05
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MATHER CA 95655 10.5000 07/06/05
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5.6250 403.72 1
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MILWAUKEE WI 53209 10.6250 07/08/05
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0 2.2500 08/01/10 08/01/10
E22/G01 2.0000 09/01/10 09/01/10
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4.7500 546,311.80 ZZ
4.5000 2853.41 1
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AMERICAN CANYON CA 94503 9.5000 06/16/05
0439619685 0.0000 08/01/05 00
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L49/G01 2.0000 08/01/10 08/01/10
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TRACY CA 95377 10.0000 06/02/05
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L49/G01 2.0000 08/01/10 08/01/10
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4.8750 1989.78 1
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WATSONVILLE CA 95076 9.8750 06/15/05
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SAN CLEMENTE CA 92673 9.7500 06/20/05
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GAINESVILLE GA 30504 10.5000 06/30/05
0439557273 2.2500 08/01/05 00
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REDWOOD CITY CA 94065 10.3750 06/10/05
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LA VEGAS NV 89141 11.5000 06/17/05
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SAN DIEGO CA 92037 10.2500 05/24/05
0439636754 0.0000 07/01/05 00
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0 2.2500 06/01/10 06/01/10
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SAN LUIS OBISPO CA 93405 10.0000 06/01/05
0439636416 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
T44/G01 2.0000 08/01/10 08/01/10
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5.6250 748,000.00 ZZ
5.3750 3506.25 1
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SAN RAMON CA 94582 10.3750 05/20/05
0439636390 0.0000 07/01/05 00
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0 2.2500 06/01/10 06/01/10
T44/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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5.5000 158,000.00 ZZ
5.2500 897.11 1
10.5000 897.11 71
WEIDMAN MI 48893 10.2500 07/13/05
0424387496 0.0000 09/01/05 00
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0 3.2500 08/01/10 08/01/10
E22/G02 3.0000 09/01/10 09/01/10
45 3.2500 0.0000 0.0000
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10036279 6.1250 318000.0000 100.0000
6.1250 318,000.00 ZZ
5.8750 1623.13 1
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MOUNT PLEASANT SC 29466 10.8750 07/13/05
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45 2.2500 0.0000 0.0000
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5.7500 647,900.00 ZZ
5.5000 3104.52 1
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ANTHEM AZ 85086 10.5000 05/25/05
0439662115 0.0000 07/01/05 00
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0 2.2500 06/01/10 06/01/10
H58/G01 2.0000 07/01/10 07/01/10
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5.7500 2550.00 1
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LOS ANGELES CA 90049 10.7500 06/07/05
0439661265 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
H58/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.5000 265,300.00 ZZ
5.2500 1215.96 1
10.5000 1215.96 80
SACRAMENTO CA 95823 10.2500 05/26/05
0439661208 0.0000 07/01/05 00
302379 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
H58/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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5.8750 368,000.00 ZZ
5.6250 1801.67 1
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SANTA MARIA CA 93458 10.6250 06/02/05
0439660788 0.0000 08/01/05 00
302544 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
H58/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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6.0000 157,500.00 ZZ
5.7500 787.50 1
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BEND OR 97701 10.7500 06/01/05
0439661141 0.0000 08/01/05 00
302936 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
H58/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.8750 198,500.00 ZZ
5.6250 971.82 1
10.8750 971.82 72
SCOTTSDALE AZ 85251 10.6250 06/24/05
0439661695 0.0000 08/01/05 00
304194 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
H58/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.5000 255,500.00 T
5.2500 1171.04 1
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REDMOND OR 97756 10.2500 06/21/05
0439660978 0.0000 08/01/05 00
304289 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
H58/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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10036641 5.5000 388000.0000 100.0000
5.5000 387,148.68 ZZ
5.2500 2203.02 1
10.5000 2203.02 80
MILPITAS CA 95035 10.2500 05/23/05
0439661299 0.0000 07/01/05 00
305379 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
H58/G01 2.0000 07/01/10 07/01/10
45 3.5000 0.0000 0.0000
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5.8750 195,000.00 T
5.6250 954.69 1
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LITCHFIELD AZ 85340 10.6250 06/02/05
0439662313 0.0000 08/01/05 00
305542 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
H58/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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10036655 5.8750 386100.0000 100.0000
5.8750 386,100.00 ZZ
5.6250 1890.28 1
10.8750 1890.28 90
RAMONA CA 92065 10.6250 05/31/05
0439661315 0.0000 07/01/05 11
306100 0.0000 06/01/35 25.0000
0 2.2500 06/01/10 06/01/10
H58/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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5.7500 390,400.00 ZZ
5.5000 1870.67 1
10.7500 1870.67 80
CAVE CREEK AZ 85531 10.5000 06/16/05
0439660713 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
H58/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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6.0000 476,000.00 ZZ
5.7500 2380.00 1
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MILPITAS CA 95035 10.7500 06/14/05
0439661372 0.0000 08/01/05 00
311001 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
H58/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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0.0000 S N 0.1250
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10036829 5.5000 443200.0000 100.0000
5.5000 443,200.00 ZZ
5.2500 2031.33 1
10.5000 2031.33 80
SAN DIEGO CA 92131 10.2500 06/27/05
0439661331 0.0000 08/01/05 00
312520 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
H58/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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0.0000 1 0
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10044841 6.1250 104000.0000 100.0000
6.1250 104,000.00 ZZ
5.8750 631.91 1
11.1250 631.91 80
SALEM VA 24153 10.8750 07/13/05
0424463503 0.0000 09/01/05 00
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0 2.2500 08/01/10 08/01/10
E22/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
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0.0000 S N 0.1250
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10044907 5.5000 162800.0000 100.0000
5.5000 162,800.00 ZZ
5.2500 746.17 1
10.5000 746.17 80
BEAVERTON OR 97005 10.2500 07/13/05
0424607349 0.0000 09/01/05 00
0424607349 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
E22/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
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0.0000 S N 0.1250
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0.0000 05 00
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10050059 5.6250 586980.0000 100.0000
5.6250 586,980.00 ZZ
5.3750 2751.47 1
10.6250 2751.47 80
OAKLEY CA 94561 10.3750 06/20/05
0439715129 0.0000 08/01/05 00
288892 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
H58/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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0.0000 S N 0.1250
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10050089 5.5000 550000.0000 100.0000
5.5000 550,000.00 ZZ
5.2500 2520.83 1
10.5000 2520.83 80
DISCOVERY BAY CA 94514 10.2500 06/30/05
0439725763 0.0000 09/01/05 00
307086 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
H58/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
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10050133 5.8750 220800.0000 100.0000
5.8750 220,800.00 ZZ
5.6250 1081.00 1
10.8750 1081.00 80
BOTHELL WA 98011 10.6250 06/29/05
0439725953 0.0000 08/01/05 00
311683 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
H58/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.5000 175,000.00 ZZ
5.2500 802.08 1
10.5000 802.08 70
MARTINSBURG WV 25401 10.2500 07/20/05
0424616431 0.0000 09/01/05 00
0424616431 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
E22/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
10053747 6.2500 430000.0000 100.0000
6.2500 429,592.00 ZZ
6.0000 2647.58 1
12.2500 2647.58 70
CORONA CA 92882 12.0000 06/27/05
0439706201 0.0000 08/01/05 00
1001836326 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
944/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 12.2500 6 6
360 E 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
10056805 5.6250 224000.0000 100.0000
5.6250 224,000.00 ZZ
5.3750 1050.00 1
10.6250 1050.00 80
FORT XXXXXXX CO 80524 10.3750 07/21/05
0424926889 0.0000 09/01/05 00
0424926889 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
E22/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
10062261 5.7500 116000.0000 100.0000
5.7500 116,000.00 ZZ
5.5000 676.94 1
10.7500 676.94 79
CHARLOTTE NC 28226 10.5000 07/21/05
0424537298 0.0000 09/01/05 00
0424537298 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
E22/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
10065445 6.3750 221600.0000 100.0000
6.3750 221,600.00 ZZ
6.1250 1177.25 1
11.3750 1177.25 72
XXXXXXX CO 80602 11.1250 07/22/05
0424757888 0.0000 09/01/05 00
0424757888 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
E22/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 11.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
10066089 5.5000 392000.0000 100.0000
5.5000 392,000.00 ZZ
5.2500 1796.67 1
10.5000 1796.67 80
FALLS CHURCH VA 22043 10.2500 07/21/05
0439697434 0.0000 09/01/05 00
40105330 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
696/G01 2.0000 09/01/10 09/01/10
25 2.2500 0.0000 0.0000
A 10.5000 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 09 00
O 0.0000
10071319 5.8750 342000.0000 100.0000
5.8750 342,000.00 ZZ
5.6250 2023.06 3
10.8750 2023.06 77
BOSTON MA 02128 10.6250 07/28/05
0423751296 0.0000 09/01/05 00
0423751296 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
E22/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
10073879 5.6250 2000000.0000 100.0000
5.6250 2,000,000.00 ZZ
5.3750 9375.00 1
10.6250 9375.00 40
MCLEAN VA 22102 10.3750 07/21/05
0439779844 0.0000 09/01/05 00
26305069 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
696/G01 2.0000 09/01/10 09/01/10
25 2.2500 0.0000 0.0000
A 10.6250 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
10078743 5.8750 272000.0000 100.0000
5.8750 272,000.00 ZZ
5.6250 1331.67 1
10.8750 1331.67 58
BIRMINGHAM AL 35223 10.6250 08/03/05
0424984730 0.0000 09/01/05 00
0424984730 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
E22/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
Total Number of Loans: 241
Total Original Balance: 92,806,229.00
Total Principal Balance: 92,789,094.94
Total Original P+I: 439,835.61
Total Current P+I: 439,830.34
Arm Rate Passthru
Loan Number Sub Serv Fee RFC Net Ceiling
Principal Bal Mstr Serv Fee Max Net Mort Rate
Curr Note Rate Alloc Exp Max Post Strip Rate
RFC Net Rate Misc Exp Int Rate Margin
Investor Rate Spread PostStrip Margin
Post Strip Rate Strip
9741098 0.2500 10.2500
376000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9787226 0.2500 10.2500
451462.55 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9787356 0.2500 10.6250
448000.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
9787894 0.2500 10.5000
524650.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9790520 0.2500 9.6250
252000.00 0.0500 9.5750
4.8750 0.0000 9.5750
4.6250 0.0000 1.9500
4.5750 0.0000 1.9500
4.5750 0.0000
9790530 0.2500 10.5000
130400.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9790558 0.2500 9.7500
425000.00 0.0500 9.7000
5.0000 0.0000 9.7000
4.7500 0.0000 1.9500
4.7000 0.0000 1.9500
4.7000 0.0000
9790582 0.2500 10.7500
329497.50 0.0500 10.7000
6.0000 0.0000 10.7000
5.7500 0.0000 1.9500
5.7000 0.0000 1.9500
5.7000 0.0000
9790586 0.2500 10.2500
234765.67 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9790608 0.2500 10.5000
110000.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9790668 0.2500 10.0000
333600.00 0.0500 9.9500
5.2500 0.0000 9.9500
5.0000 0.0000 1.9500
4.9500 0.0000 1.9500
4.9500 0.0000
9790748 0.2500 9.8750
495000.00 0.0500 9.8250
5.1250 0.0000 9.8250
4.8750 0.0000 1.9500
4.8250 0.0000 1.9500
4.8250 0.0000
9790754 0.2500 10.1250
199000.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9811918 0.2500 9.5000
368700.00 0.0500 9.4500
4.7500 0.0000 9.4500
4.5000 0.0000 1.9500
4.4500 0.0000 1.9500
4.4500 0.0000
9816634 0.2500 10.1250
327000.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9833260 0.2500 10.1250
640000.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9837336 0.2500 10.1250
277500.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9844788 0.2500 10.3750
188000.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9844790 0.2500 9.8750
366698.30 0.0500 9.8250
5.1250 0.0000 9.8250
4.8750 0.0000 1.9500
4.8250 0.0000 1.9500
4.8250 0.0000
9844792 0.2500 10.6250
228000.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
9844794 0.2500 10.2500
600000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9844798 0.2500 10.6250
542000.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
9844800 0.2500 10.3750
678200.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9844802 0.2500 10.5000
494000.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9844804 0.2500 10.5000
148800.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9844806 0.2500 10.2500
611200.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9844808 0.2500 10.6250
159100.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
9844810 0.2500 10.6250
404172.14 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
9844814 0.2500 10.5000
273750.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9844816 0.2500 10.3750
670000.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9844824 0.2500 10.1250
283000.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9844826 0.2500 10.3750
495200.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9844828 0.2500 10.1250
720000.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9844830 0.2500 10.6250
420000.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
9844832 0.2500 10.2500
413546.85 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9844834 0.2500 10.2500
165000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9844836 0.2500 10.6250
224000.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
9844842 0.2500 10.3750
503200.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9844844 0.2500 10.2500
304000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9844846 0.2500 10.1250
430000.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9844850 0.2500 10.3750
440000.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9844852 0.2500 10.2500
237000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9844854 0.2500 10.6250
508250.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
9844856 0.2500 10.6250
650000.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
9844858 0.2500 9.8750
408000.00 0.0500 9.8250
5.1250 0.0000 9.8250
4.8750 0.0000 1.9500
4.8250 0.0000 1.9500
4.8250 0.0000
9844860 0.2500 10.0000
675254.44 0.0500 9.9500
5.2500 0.0000 9.9500
5.0000 0.0000 1.9500
4.9500 0.0000 1.9500
4.9500 0.0000
9844864 0.2500 9.7500
574000.00 0.0500 9.7000
5.0000 0.0000 9.7000
4.7500 0.0000 1.9500
4.7000 0.0000 1.9500
4.7000 0.0000
9844866 0.2500 10.1250
1000000.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9844868 0.2500 10.6250
561000.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
9844870 0.2500 10.0000
439495.30 0.0500 9.9500
5.2500 0.0000 9.9500
5.0000 0.0000 1.9500
4.9500 0.0000 1.9500
4.9500 0.0000
9844872 0.2500 10.6250
450000.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
9844874 0.2500 9.8750
629759.76 0.0500 9.8250
5.1250 0.0000 9.8250
4.8750 0.0000 1.9500
4.8250 0.0000 1.9500
4.8250 0.0000
9844878 0.2500 10.5000
524800.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9844880 0.2500 10.3750
174655.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9844884 0.2500 10.2500
538000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9844886 0.2500 10.6250
460000.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
9844888 0.2500 10.2500
440000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9844890 0.2500 10.2500
396350.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9844894 0.2500 10.5000
304000.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9844902 0.2500 10.2500
465000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9844906 0.2500 10.2500
156000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9844910 0.2500 10.2500
404000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9844912 0.2500 10.0000
451000.00 0.0500 9.9500
5.2500 0.0000 9.9500
5.0000 0.0000 1.9500
4.9500 0.0000 1.9500
4.9500 0.0000
9844914 0.2500 10.1250
269697.45 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9844916 0.2500 9.8750
588058.78 0.0500 9.8250
5.1250 0.0000 9.8250
4.8750 0.0000 1.9500
4.8250 0.0000 1.9500
4.8250 0.0000
9863680 0.2500 10.1250
272000.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9866606 0.2500 10.5000
210378.09 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9866644 0.2500 10.5000
328304.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9866652 0.2500 10.6250
618500.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
9866686 0.2500 10.2500
353799.25 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9866700 0.2500 10.3750
772000.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9866704 0.2500 10.5000
143600.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9866714 0.2500 10.2500
390000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9866754 0.2500 10.0000
250000.00 0.0500 9.9500
5.2500 0.0000 9.9500
5.0000 0.0000 1.9500
4.9500 0.0000 1.9500
4.9500 0.0000
9867188 0.2500 10.6250
384999.99 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
9867192 0.2500 10.6250
359650.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
9867204 0.2500 10.0000
500000.00 0.0500 9.9500
5.2500 0.0000 9.9500
5.0000 0.0000 1.9500
4.9500 0.0000 1.9500
4.9500 0.0000
9867222 0.2500 10.3750
180000.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9867242 0.2500 10.5000
532000.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9867268 0.2500 11.0000
433600.00 0.0500 10.9500
6.2500 0.0000 10.9500
6.0000 0.0000 1.9500
5.9500 0.0000 1.9500
5.9500 0.0000
9867294 0.2500 10.5000
213776.57 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9867336 0.2500 10.6250
252950.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
9867492 0.2500 10.3750
444495.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9867498 0.2500 10.5000
273000.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9867524 0.2500 10.6250
348000.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
9867576 0.2500 10.0000
225000.00 0.0500 9.9500
5.2500 0.0000 9.9500
5.0000 0.0000 1.9500
4.9500 0.0000 1.9500
4.9500 0.0000
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5.8750 0.0000 1.9500
5.8250 0.0000 1.9500
5.8250 0.0000
10023251 0.2500 10.6250
290000.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
10023437 0.2500 10.5000
312000.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
10029459 0.2500 10.6250
68250.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
10029963 0.2500 9.5000
546311.80 0.0500 9.4500
4.7500 0.0000 9.4500
4.5000 0.0000 1.9500
4.4500 0.0000 1.9500
4.4500 0.0000
10029971 0.2500 10.0000
533950.00 0.0500 9.9500
5.2500 0.0000 9.9500
5.0000 0.0000 1.9500
4.9500 0.0000 1.9500
4.9500 0.0000
10029983 0.2500 9.8750
465900.00 0.0500 9.8250
5.1250 0.0000 9.8250
4.8750 0.0000 1.9500
4.8250 0.0000 1.9500
4.8250 0.0000
10029993 0.2500 9.7500
738400.00 0.0500 9.7000
5.0000 0.0000 9.7000
4.7500 0.0000 1.9500
4.7000 0.0000 1.9500
4.7000 0.0000
10030107 0.2500 10.5000
182100.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
10030407 0.2500 10.3750
724000.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
10031043 0.2500 11.5000
500000.00 0.0500 11.4500
5.7500 0.0000 11.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
10034881 0.2500 10.2500
994500.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
10034883 0.2500 10.0000
464000.00 0.0500 9.9500
5.2500 0.0000 9.9500
5.0000 0.0000 1.9500
4.9500 0.0000 1.9500
4.9500 0.0000
10034891 0.2500 10.3750
748000.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
10036145 0.2500 10.2500
158000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 2.9500
5.2000 0.0000 2.9500
5.2000 0.0000
10036279 0.2500 10.8750
318000.00 0.0500 10.8250
6.1250 0.0000 10.8250
5.8750 0.0000 1.9500
5.8250 0.0000 1.9500
5.8250 0.0000
10036593 0.2500 10.5000
647900.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
10036599 0.2500 10.7500
510000.00 0.0500 10.7000
6.0000 0.0000 10.7000
5.7500 0.0000 1.9500
5.7000 0.0000 1.9500
5.7000 0.0000
10036605 0.2500 10.2500
265300.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
10036609 0.2500 10.6250
368000.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
10036613 0.2500 10.7500
157500.00 0.0500 10.7000
6.0000 0.0000 10.7000
5.7500 0.0000 1.9500
5.7000 0.0000 1.9500
5.7000 0.0000
10036629 0.2500 10.6250
198500.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
10036631 0.2500 10.2500
255500.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
10036641 0.2500 10.2500
387148.68 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
10036645 0.2500 10.6250
195000.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
10036655 0.2500 10.6250
386100.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
10036701 0.2500 10.5000
390400.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
10036803 0.2500 10.7500
476000.00 0.0500 10.7000
6.0000 0.0000 10.7000
5.7500 0.0000 1.9500
5.7000 0.0000 1.9500
5.7000 0.0000
10036829 0.2500 10.2500
443200.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
10044841 0.2500 10.8750
104000.00 0.0500 10.8250
6.1250 0.0000 10.8250
5.8750 0.0000 1.9500
5.8250 0.0000 1.9500
5.8250 0.0000
10044907 0.2500 10.2500
162800.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
10050059 0.2500 10.3750
586980.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
10050089 0.2500 10.2500
550000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
10050133 0.2500 10.6250
220800.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
10053357 0.2500 10.2500
175000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
10053747 0.2500 12.0000
429592.00 0.0500 11.9500
6.2500 0.0000 11.9500
6.0000 0.0000 1.9500
5.9500 0.0000 1.9500
5.9500 0.0000
10056805 0.2500 10.3750
224000.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
10062261 0.2500 10.5000
116000.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
10065445 0.2500 11.1250
221600.00 0.0500 11.0750
6.3750 0.0000 11.0750
6.1250 0.0000 1.9500
6.0750 0.0000 1.9500
6.0750 0.0000
10066089 0.2500 10.2500
392000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
10071319 0.2500 10.6250
342000.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
10073879 0.2500 10.3750
2000000.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
10078743 0.2500 10.6250
272000.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
Total Number of Loans: 241
Total Original Balance: 92,806,229.00
Total Principal Balance: 92,789,094.94
Total Original P+I: 439,835.61
Total Current P+I: 439,830.34
EXHIBIT THREE
MORTGAGE LOAN SCHEDULE FOR SUB-LOAN GROUP I-3
Non Fixed Rate Loan
Loan Number Orig Rate Original Bal Max Neg Amort
Curr Rate Principal Bal Loan Feature
Net Curr Original PI # of Units
Note Ceiling Current PI LTV
City State Zip Net Ceiling Note Date
Servicer Loan # Note Floor First Pay Date MI Co Code
Seller Loan # Net Floor Maturity Date MI Coverage
Investor Loan # Gross Margin 1st IntChgDate Nxt IntChgDate
S/S Code Net Margin 1st PmtChgDate Nxt PmtChgDate
Int Chg Prior Day 1st Yr Floor Pmt Cap Incr Pmt Cap Decr
Payment Type 1st Yr Ceil Int Chg Freq Mos Pmt Chg Freq Mos
Orig Term Adj Index Period Incr Period Decr
Note Life Incr Note Round Type Note Round Mth Note Round Fctr
Net Life Incr Net Round Type Net Round Mth Net Round Fctr
Note Life Decr Loan Purp Convert Code Convert Prd From
Net Life Decr Prop Type Convert Index Convert Prd To
Occup Code Convert Margin
9700012 4.8750 117000.0000 100.0000
4.8750 116,842.05 ZZ
4.6250 475.31 1
10.8750 474.67 90
HIGH RIDGE MO 63049 10.6250 03/07/05
0439107103 0.0000 05/01/05 28
205155413 0.0000 04/01/35 25.0000
0 2.2500 04/01/08 04/01/08
Y21/G01 2.0000 05/01/08 05/01/08
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9700328 5.0000 359650.0000 100.0000
5.0000 359,646.24 ZZ
4.7500 1498.54 1
11.0000 1498.53 80
WASHINGTON DC 20001 10.7500 03/18/05
0439091430 0.0000 05/01/05 00
31205059 0.0000 04/01/35 0.0000
0 2.2500 04/01/08 04/01/08
696/G01 2.0000 05/01/08 05/01/08
25 2.2500 0.0000 0.0000
A 8.0000 6 6
360 E 1.0000 1.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 07 00
O 0.0000
9708366 5.1250 354400.0000 100.0000
5.1250 352,725.00 ZZ
4.8750 1929.66 1
11.1250 1929.66 80
FAIRFAX VA 22033 10.8750 03/15/05
0439099730 0.0000 05/01/05 00
25104272 0.0000 04/01/35 0.0000
0 2.2500 04/01/08 04/01/08
696/G01 2.0000 05/01/08 05/01/08
45 3.1250 0.0000 0.0000
A 7.1250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 01 00
O 0.0000
9782238 5.3750 303900.0000 100.0000
5.3750 303,900.00 ZZ
5.1250 1361.22 1
11.3750 1361.22 80
WASHINGTON DC 20005 11.1250 05/12/05
0439316365 0.0000 07/01/05 00
33805049 0.0000 06/01/35 0.0000
0 2.2500 06/01/08 06/01/08
696/G01 2.0000 07/01/08 07/01/08
25 2.3750 0.0000 0.0000
A 8.3750 6 6
360 E 1.0000 1.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 08 00
O 0.0000
9786882 5.0000 455000.0000 100.0000
5.0000 454,996.18 T
4.7500 1895.83 1
11.0000 1895.82 79
SOUTHPORT NC 28461 10.7500 03/21/05
0003485759 0.0000 05/01/05 00
0003485759 0.0000 04/01/35 0.0000
0 2.2500 04/01/08 04/01/08
286/286 2.0000 05/01/08 05/01/08
45 3.0000 0.0000 0.0000
A 7.0000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9786892 5.2500 910000.0000 100.0000
5.2500 910,000.00 ZZ
5.0000 3981.25 1
11.2500 3981.25 70
PARK RIDGE IL 60068 11.0000 04/28/05
0003892993 0.0000 06/01/05 00
0003892993 0.0000 05/01/35 0.0000
0 2.2500 05/01/08 05/01/08
286/286 2.0000 06/01/08 06/01/08
45 3.2500 0.0000 0.0000
A 7.2500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9786904 5.3750 475000.0000 100.0000
5.3750 475,000.00 ZZ
5.1250 2127.60 1
11.3750 2127.60 75
LINCROFT NJ 07738 11.1250 04/27/05
0003931979 0.0000 06/01/05 00
0003931979 0.0000 05/01/35 0.0000
0 2.2500 05/01/08 05/01/08
286/286 2.0000 06/01/08 06/01/08
45 3.3750 0.0000 0.0000
A 7.3750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9786908 5.2500 399200.0000 100.0000
5.2500 398,282.20 T
5.0000 2204.40 1
11.2500 2204.40 80
PONTE VEDRA BEA FL 32082 11.0000 05/02/05
0003951053 0.0000 07/01/05 00
0003951053 0.0000 06/01/35 0.0000
0 2.2500 06/01/08 06/01/08
286/286 2.0000 07/01/08 07/01/08
45 3.2500 0.0000 0.0000
A 7.2500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9786916 5.5000 611900.0000 100.0000
5.5000 611,900.00 T
5.2500 2804.54 1
11.5000 2804.54 80
OCEAN CITY MD 21842 11.2500 04/26/05
0003957521 0.0000 06/01/05 00
0003957521 0.0000 05/01/35 0.0000
0 2.2500 05/01/08 05/01/08
286/286 2.0000 06/01/08 06/01/08
45 3.5000 0.0000 0.0000
A 7.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9786936 5.2500 668000.0000 100.0000
5.2500 665,691.24 ZZ
5.0000 3688.73 1
11.2500 3688.73 80
LITTLETON CO 80125 11.0000 04/22/05
0003985292 0.0000 06/01/05 00
0003985292 0.0000 05/01/35 0.0000
0 2.2500 05/01/08 05/01/08
286/286 2.0000 06/01/08 06/01/08
45 3.2500 0.0000 0.0000
A 7.2500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9786948 5.0000 387200.0000 100.0000
5.0000 387,200.00 T
4.7500 1613.33 1
11.0000 1613.33 78
OCEAN VIEW DE 19930 10.7500 04/29/05
0003999099 0.0000 06/01/05 00
0003999099 0.0000 05/01/35 0.0000
0 2.2500 05/01/08 05/01/08
286/286 2.0000 06/01/08 06/01/08
45 3.0000 0.0000 0.0000
A 7.0000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9786950 4.7500 416800.0000 100.0000
4.7500 416,800.00 ZZ
4.5000 1649.83 1
10.7500 1649.83 80
DERWOOD MD 20855 10.5000 04/27/05
0003999297 0.0000 06/01/05 00
0003999297 0.0000 05/01/35 0.0000
0 2.2500 05/01/08 05/01/08
286/286 2.0000 06/01/08 06/01/08
45 2.7500 0.0000 0.0000
A 6.7500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9787006 5.5000 498600.0000 100.0000
5.5000 498,600.00 T
5.2500 2285.25 1
11.5000 2285.25 69
PASADENA MD 21122 11.2500 05/05/05
0004024294 0.0000 07/01/05 00
0004024294 0.0000 06/01/35 0.0000
0 2.2500 06/01/08 06/01/08
286/286 2.0000 07/01/08 07/01/08
45 3.5000 0.0000 0.0000
A 7.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9787040 5.3750 650000.0000 100.0000
5.3750 650,000.00 ZZ
5.1250 2911.46 1
11.3750 2911.46 77
CYPRESS TX 77429 11.1250 05/03/05
0004038567 0.0000 07/01/05 00
0004038567 0.0000 06/01/35 0.0000
0 2.2500 06/01/08 06/01/08
286/286 2.0000 07/01/08 07/01/08
45 3.3750 0.0000 0.0000
A 7.3750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9787054 4.8750 382000.0000 100.0000
4.8750 382,000.00 ZZ
4.6250 1551.88 1
10.8750 1551.88 77
795 NJ 07405 10.6250 05/04/05
0004042224 0.0000 07/01/05 00
0004042224 0.0000 06/01/35 0.0000
0 2.2500 06/01/08 06/01/08
286/286 2.0000 07/01/08 07/01/08
45 2.8750 0.0000 0.0000
A 6.8750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9787058 5.5000 380000.0000 100.0000
5.5000 379,912.92 ZZ
5.2500 1741.67 1
11.5000 1741.27 80
RIO RANCHO NM 87144 11.2500 04/29/05
0004043315 0.0000 06/01/05 00
0004043315 0.0000 05/01/35 0.0000
0 2.2500 05/01/08 05/01/08
286/286 2.0000 06/01/08 06/01/08
45 3.5000 0.0000 0.0000
A 7.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9787070 5.0000 542000.0000 100.0000
5.0000 542,000.00 ZZ
4.7500 2258.33 1
11.0000 2258.33 78
SAN DIEGO CA 92127 10.7500 05/06/05
0004047719 0.0000 07/01/05 00
0004047719 0.0000 06/01/35 0.0000
0 2.2500 06/01/08 06/01/08
286/286 2.0000 07/01/08 07/01/08
45 3.0000 0.0000 0.0000
A 7.0000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 01 00
O 0.0000
9787078 4.8750 704500.0000 100.0000
4.8750 700,000.00 ZZ
4.6250 2862.03 1
10.8750 2843.68 70
BETHESDA MD 20814 10.6250 05/09/05
0004051675 0.0000 07/01/05 00
0004051675 0.0000 06/01/35 0.0000
0 2.2500 06/01/08 06/01/08
286/286 2.0000 07/01/08 07/01/08
45 2.8750 0.0000 0.0000
A 6.8750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9787080 5.0000 712500.0000 100.0000
5.0000 712,500.00 ZZ
4.7500 2968.75 1
11.0000 2968.75 75
BETHESDA MD 20816 10.7500 05/06/05
0004051995 0.0000 07/01/05 00
0004051995 0.0000 06/01/35 0.0000
0 2.2500 06/01/08 06/01/08
286/286 2.0000 07/01/08 07/01/08
45 3.0000 0.0000 0.0000
A 7.0000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9787098 5.5000 705000.0000 100.0000
5.5000 705,000.00 ZZ
5.2500 3231.25 1
11.5000 3231.25 75
GLENVIEW IL 60026 11.2500 05/06/05
0004069194 0.0000 07/01/05 00
0004069194 0.0000 06/01/35 0.0000
0 2.2500 06/01/08 06/01/08
286/286 2.0000 07/01/08 07/01/08
45 3.5000 0.0000 0.0000
A 7.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9801335 4.7500 388200.0000 100.0000
4.7500 388,199.96 ZZ
4.5000 1536.63 1
10.7500 1536.62 50
BIRMINGHAM MI 48009 10.5000 01/14/05
0438931610 0.0000 03/01/05 00
0000039215 0.0000 02/01/35 0.0000
0 2.2500 02/01/08 02/01/08
X64/G01 2.0000 03/01/08 03/01/08
45 2.7500 0.0000 0.0000
A 6.7500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9818129 5.2500 172000.0000 100.0000
5.2500 171,004.88 ZZ
5.0000 949.79 1
11.2500 949.79 67
XXXXXXXX TOWNSH NJ 08050 11.0000 02/18/05
0423066554 0.0000 04/01/05 00
0423066554 0.0000 03/01/35 0.0000
0 2.2500 03/01/08 03/01/08
E22/U57 2.0000 04/01/08 04/01/08
45 3.2500 0.0000 0.0000
A 7.2500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9823443 5.1250 223250.0000 100.0000
5.1250 223,250.00 ZZ
4.8750 953.46 1
11.1250 953.46 95
RENO NV 89509 10.8750 01/18/05
0438987844 0.0000 03/01/05 10
1260300211 0.0000 02/01/35 30.0000
0 2.2500 02/01/08 02/01/08
N67/G01 2.0000 03/01/08 03/01/08
45 5.1250 0.0000 0.0000
A 7.1250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9823958 5.8750 544000.0000 100.0000
5.8750 543,999.99 T
5.6250 2663.34 1
11.8750 2663.33 80
PANAMA CITY BEA FL 32407 11.6250 04/14/05
0439463696 0.0000 06/01/05 00
2947916 0.0000 05/01/35 0.0000
0 2.5000 05/01/08 05/01/08
F28/G01 2.2500 06/01/08 06/01/08
45 2.5000 0.0000 0.0000
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360 L12 2.0000 2.0000
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5.7500 418,000.00 ZZ
5.5000 2002.92 1
11.7500 2002.92 95
ANDOVER MN 55304 11.5000 04/29/05
0439466376 0.0000 06/01/05 14
3047781 0.0000 05/01/35 30.0000
0 2.5000 05/01/08 05/01/08
F28/G01 2.2500 06/01/08 06/01/08
45 2.5000 0.0000 0.0000
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9824074 5.8750 518000.0000 100.0000
5.8750 518,000.00 ZZ
5.6250 2536.05 1
11.8750 2536.04 70
LAKEWOOD IL 60014 11.6250 05/07/05
0439450776 0.0000 07/01/05 00
3528129 0.0000 06/01/35 0.0000
0 2.5000 06/01/08 06/01/08
F28/G01 2.2500 07/01/08 07/01/08
45 2.5000 0.0000 0.0000
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9824096 6.2500 517500.0000 100.0000
6.2500 517,500.00 ZZ
6.0000 2695.32 1
12.2500 2695.31 75
MIAMI FL 33156 12.0000 05/16/05
0439440413 0.0000 07/01/05 00
3789119 0.0000 06/01/35 0.0000
0 2.5000 06/01/08 06/01/08
F28/G01 2.2500 07/01/08 07/01/08
45 2.5000 0.0000 0.0000
A 12.2500 12 12
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9828855 4.8750 227300.0000 100.0000
4.8750 227,300.00 ZZ
4.6250 923.41 1
10.8750 923.41 42
BRIGHTON MI 48116 10.6250 02/25/05
0423422179 0.0000 04/01/05 00
0423422179 0.0000 03/01/35 0.0000
0 2.2500 03/01/08 03/01/08
E22/G01 2.0000 04/01/08 04/01/08
45 2.8750 0.0000 0.0000
A 6.8750 12 12
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9829597 5.6250 80500.0000 100.0000
5.6250 79,863.31 ZZ
5.3750 463.40 1
11.6250 463.40 70
HARTFORD CT 06114 11.3750 02/23/05
0439003450 2.2500 04/01/05 00
40038548 2.0000 03/01/35 0.0000
0 2.2500 03/01/08 03/01/08
Q30/G01 2.0000 04/01/08 04/01/08
45 3.6250 0.0000 0.0000
A 7.6250 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9833265 4.5000 125000.0000 100.0000
4.5000 124,170.75 ZZ
4.2500 633.36 1
10.5000 633.36 25
LAMBERTVILLE NJ 08530 10.2500 02/28/05
0439005125 2.2500 04/01/05 00
1050000495 2.0000 03/01/35 0.0000
0 2.2500 03/01/08 03/01/08
L21/G01 2.0000 04/01/08 04/01/08
45 2.5000 0.0000 0.0000
A 6.5000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
2.2500 1 0
0.0000 03 00
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9843083 5.0000 248800.0000 100.0000
5.0000 248,796.67 ZZ
4.7500 1036.67 1
10.0000 1036.65 80
HOMESTEAD FL 33035 9.7500 02/23/05
0439042755 0.0000 04/01/05 00
4874483716 0.0000 03/01/35 0.0000
0 2.2500 03/01/08 03/01/08
A11/G01 2.0000 04/01/08 04/01/08
25 2.2500 0.0000 0.0000
A 8.0000 6 6
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9845475 4.8750 185000.0000 100.0000
4.8750 185,000.00 ZZ
4.6250 751.56 1
9.8750 751.56 76
OCEAN PINES MD 21811 9.6250 02/26/05
0439041047 0.0000 04/01/05 00
4674601095 0.0000 03/01/35 0.0000
0 2.2500 03/01/08 03/01/08
A11/G01 2.0000 04/01/08 04/01/08
25 2.2500 0.0000 0.0000
A 7.8750 6 6
360 E 1.0000 1.0000
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0.0000 S N 0.1250
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9860315 4.7500 579000.0000 100.0000
4.7500 578,814.17 ZZ
4.5000 2291.88 1
10.7500 2291.51 75
BIRMINGHAM AL 35242 10.5000 03/18/05
0423667294 0.0000 05/01/05 00
0423667294 0.0000 04/01/35 0.0000
0 2.2500 04/01/08 04/01/08
E22/U57 2.0000 05/01/08 05/01/08
45 2.7500 0.0000 0.0000
A 6.7500 12 12
360 L12 2.0000 2.0000
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9860693 4.5000 721680.0000 100.0000
4.5000 721,680.00 ZZ
4.2500 2706.30 1
10.5000 2706.30 80
DANVILLE CA 94526 10.2500 03/01/05
0439097221 0.0000 05/01/05 00
1040026199 0.0000 04/01/35 0.0000
0 2.2500 04/01/08 04/01/08
Y69/G01 2.0000 05/01/08 05/01/08
45 2.5000 0.0000 0.0000
A 6.5000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9863043 5.0000 192000.0000 100.0000
5.0000 190,836.84 ZZ
4.7500 1030.70 1
11.0000 1030.70 72
CANON CITY CO 81212 10.7500 02/28/05
0439095084 2.2500 04/01/05 00
40265241 2.0000 03/01/35 0.0000
0 2.2500 03/01/08 03/01/08
Y65/G01 2.0000 04/01/08 04/01/08
25 2.2500 0.0000 0.0000
A 11.0000 6 6
360 E 1.0000 1.0000
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0.0000 S N 0.1250
2.7500 5 0
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9864927 5.7500 279920.0000 100.0000
5.7500 278,742.54 ZZ
5.5000 1633.54 1
11.7500 1633.54 80
GOODYEAR AZ 85338 11.5000 03/23/05
0423753250 0.0000 05/01/05 00
0423753250 0.0000 04/01/35 0.0000
0 2.2500 04/01/08 04/01/08
E22/G01 2.0000 05/01/08 05/01/08
45 3.7500 0.0000 0.0000
A 7.7500 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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O 0.0000
9866090 5.2500 297500.0000 100.0000
5.2500 297,492.64 ZZ
5.0000 1301.56 1
11.2500 1301.56 68
SILVER SPRING MD 20902 11.0000 06/24/05
0004125459 0.0000 08/01/05 00
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0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.2500 0.0000 0.0000
A 7.2500 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
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9866092 5.3750 232000.0000 100.0000
5.3750 232,000.00 ZZ
5.1250 1039.17 1
11.3750 1039.17 80
WASHINGTON DC 20024 11.1250 06/17/05
0004126453 0.0000 08/01/05 00
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0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.3750 0.0000 0.0000
A 7.3750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9866094 6.0000 289600.0000 100.0000
6.0000 289,598.00 ZZ
5.7500 1448.00 2
12.0000 1448.00 80
SACRAMENTO CA 95828 11.7500 06/09/05
0004126740 0.0000 08/01/05 00
0004126740 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 4.0000 0.0000 0.0000
A 8.0000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9866096 5.8750 221000.0000 100.0000
5.8750 221,000.00 ZZ
5.6250 1081.98 1
11.8750 1081.98 68
ADAMSTOWN MD 21710 11.6250 06/16/05
0004127321 0.0000 08/01/05 00
0004127321 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.8750 0.0000 0.0000
A 7.8750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
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9866098 5.7500 332000.0000 100.0000
5.7500 332,000.00 ZZ
5.5000 1590.83 1
11.7500 1590.83 80
BROWARD FL 33441 11.5000 06/23/05
0004128374 0.0000 08/01/05 00
0004128374 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.7500 0.0000 0.0000
A 7.7500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
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9866100 5.6250 353000.0000 100.0000
5.6250 353,000.00 ZZ
5.3750 1654.69 1
11.6250 1654.69 70
BRENTWOOD CA 94513 11.3750 06/03/05
0004129069 0.0000 08/01/05 00
0004129069 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.6250 0.0000 0.0000
A 7.6250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9866102 4.5000 357600.0000 100.0000
4.5000 357,600.00 ZZ
4.2500 1341.00 1
10.5000 1341.00 80
BELLFLOWER CA 90706 10.2500 06/13/05
0004129596 0.0000 08/01/05 00
0004129596 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.5000 0.0000 0.0000
A 6.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9866106 5.0000 119600.0000 100.0000
5.0000 119,554.05 ZZ
4.7500 498.33 1
11.0000 498.33 80
VALLEJO CA 94589 10.7500 06/13/05
0004129816 0.0000 08/01/05 00
0004129816 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.0000 0.0000 0.0000
A 7.0000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9866108 5.1250 340000.0000 100.0000
5.1250 340,000.00 ZZ
4.8750 1452.08 1
11.1250 1452.08 80
SAN JOSE CA 95131 10.8750 06/20/05
0004130508 0.0000 08/01/05 00
0004130508 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.1250 0.0000 0.0000
A 7.1250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9866110 5.5000 157600.0000 100.0000
5.5000 157,600.00 ZZ
5.2500 722.33 1
11.5000 722.33 80
GLENDALE AZ 85310 11.2500 06/23/05
0004130526 0.0000 08/01/05 00
0004130526 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.5000 0.0000 0.0000
A 7.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9866112 5.1250 688500.0000 100.0000
5.1250 688,500.00 ZZ
4.8750 2940.47 1
11.1250 2940.47 75
CARY NC 27513 10.8750 06/17/05
0004130825 0.0000 08/01/05 00
0004130825 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.2500 0.0000 0.0000
A 8.1250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9866114 4.7500 168000.0000 100.0000
4.7500 167,850.00 ZZ
4.5000 665.00 1
10.7500 665.00 80
GOLDSBORO NC 27534 10.5000 06/21/05
0004130887 0.0000 08/01/05 00
0004130887 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.7500 0.0000 0.0000
A 6.7500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9866116 4.8750 650000.0000 100.0000
4.8750 650,000.00 ZZ
4.6250 2640.63 1
10.8750 2640.63 70
RESTON VA 20194 10.6250 06/16/05
0004131144 0.0000 08/01/05 00
0004131144 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.8750 0.0000 0.0000
A 6.8750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9866118 5.1250 187500.0000 100.0000
5.1250 187,500.00 ZZ
4.8750 800.78 1
11.1250 800.78 90
WASHINGTON DC 20036 10.8750 06/23/05
0004131324 0.0000 08/01/05 01
0004131324 0.0000 07/01/35 25.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.1250 0.0000 0.0000
A 7.1250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 10 00
O 0.0000
9866120 5.2500 431500.0000 100.0000
5.2500 431,500.00 ZZ
5.0000 1887.81 1
11.2500 1887.81 79
CHARLOTTE NC 28277 11.0000 06/23/05
0004131777 0.0000 08/01/05 00
0004131777 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.2500 0.0000 0.0000
A 7.2500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9866122 4.6250 484000.0000 100.0000
4.6250 484,000.00 ZZ
4.3750 1865.42 1
10.6250 1865.42 80
CHULA VISTA CA 91915 10.3750 06/17/05
0004132719 0.0000 08/01/05 00
0004132719 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.6250 0.0000 0.0000
A 6.6250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9866124 5.7500 143000.0000 100.0000
5.7500 143,000.00 ZZ
5.5000 685.21 1
11.7500 685.21 79
PERRY OH 44081 11.5000 06/16/05
0004132940 0.0000 08/01/05 00
0004132940 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.7500 0.0000 0.0000
A 7.7500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9866126 5.3750 494000.0000 100.0000
5.3750 494,000.00 ZZ
5.1250 2212.71 1
11.3750 2212.71 79
CENTREVILLE VA 20120 11.1250 06/22/05
0004133776 0.0000 08/01/05 00
0004133776 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.3750 0.0000 0.0000
A 7.3750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9866128 4.8750 440800.0000 100.0000
4.8750 440,800.00 ZZ
4.6250 1790.75 1
10.8750 1790.75 80
CHANTILLY VA 20151 10.6250 06/21/05
0004134044 0.0000 08/01/05 00
0004134044 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.8750 0.0000 0.0000
A 6.8750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9866130 6.0000 200000.0000 100.0000
6.0000 200,000.00 ZZ
5.7500 1000.00 1
12.0000 1000.00 41
MARSHFIELD MA 02050 11.7500 06/23/05
0004134214 0.0000 08/01/05 00
0004134214 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 4.0000 0.0000 0.0000
A 8.0000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9866132 5.1250 177000.0000 100.0000
5.1250 176,792.19 ZZ
4.8750 963.75 1
11.1250 963.75 39
TRACY CA 95376 10.8750 06/16/05
0004135892 0.0000 08/01/05 00
0004135892 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.1250 0.0000 0.0000
A 7.1250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9866134 5.1250 250000.0000 100.0000
5.1250 249,706.49 ZZ
4.8750 1361.22 1
11.1250 1361.22 72
CHANHASSEN MN 55317 10.8750 06/17/05
0004135990 0.0000 08/01/05 00
0004135990 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.1250 0.0000 0.0000
A 7.1250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9866136 5.5000 416000.0000 100.0000
5.5000 416,000.00 ZZ
5.2500 1906.67 1
11.5000 1906.67 80
SAN DIEGO CA 92123 11.2500 06/17/05
0004136413 0.0000 08/01/05 00
0004136413 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.5000 0.0000 0.0000
A 7.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9866138 4.7500 416000.0000 100.0000
4.7500 416,000.00 ZZ
4.5000 1646.67 2
10.7500 1646.67 80
WINTHROP MA 02152 10.5000 06/30/05
0004137097 0.0000 08/01/05 00
0004137097 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.7500 0.0000 0.0000
A 6.7500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9866140 5.0000 483000.0000 100.0000
5.0000 482,419.65 ZZ
4.7500 2592.85 1
11.0000 2592.85 70
RESTON VA 20190 10.7500 06/29/05
0004138028 0.0000 08/01/05 00
0004138028 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.0000 0.0000 0.0000
A 7.0000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 08 00
O 0.0000
9866142 5.5000 387300.0000 100.0000
5.5000 387,299.99 ZZ
5.2500 1775.13 1
11.5000 1775.13 80
AUSTIN TX 78704 11.2500 06/16/05
0004138909 0.0000 08/01/05 00
0004138909 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.5000 0.0000 0.0000
A 7.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9866144 5.5000 306000.0000 100.0000
5.5000 306,000.00 T
5.2500 1402.50 1
11.5000 1402.50 66
SHOW LOW AZ 85901 11.2500 06/22/05
0004138995 0.0000 08/01/05 00
0004138995 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.5000 0.0000 0.0000
A 7.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9866146 5.7500 725000.0000 100.0000
5.7500 725,000.00 T
5.5000 3473.96 1
11.7500 3473.96 75
GREENSBORO GA 30642 11.5000 06/17/05
0004140450 0.0000 08/01/05 00
0004140450 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.7500 0.0000 0.0000
A 7.7500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9866148 5.1250 176000.0000 100.0000
5.1250 176,000.00 ZZ
4.8750 751.67 1
11.1250 751.67 80
HUNTSVILLE TX 77340 10.8750 06/27/05
0004140708 0.0000 08/01/05 00
0004140708 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.1250 0.0000 0.0000
A 7.1250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9866150 5.0000 525000.0000 100.0000
5.0000 525,000.00 ZZ
4.7500 2187.50 1
11.0000 2187.50 75
SAN DIEGO CA 92127 10.7500 06/22/05
0004141180 0.0000 08/01/05 00
0004141180 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.2500 0.0000 0.0000
A 8.0000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 01 00
O 0.0000
9866152 5.5000 290000.0000 100.0000
5.5000 290,000.00 ZZ
5.2500 1329.17 1
11.5000 1329.17 73
MORENO VALLEY CA 92557 11.2500 06/16/05
0004141554 0.0000 08/01/05 00
0004141554 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.5000 0.0000 0.0000
A 8.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9866154 5.7500 436000.0000 100.0000
5.7500 436,000.00 ZZ
5.5000 2089.17 1
11.7500 2089.17 80
PILOT POINT TX 76258 11.5000 06/23/05
0004142020 0.0000 08/01/05 00
0004142020 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.7500 0.0000 0.0000
A 7.7500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9866156 5.1250 280000.0000 100.0000
5.1250 280,000.00 ZZ
4.8750 1195.83 1
11.1250 1195.83 80
WOODBRIDGE VA 22193 10.8750 06/17/05
0004142371 0.0000 08/01/05 00
0004142371 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.1250 0.0000 0.0000
A 7.1250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9866158 5.3750 264000.0000 100.0000
5.3750 264,000.00 ZZ
5.1250 1182.50 1
11.3750 1182.50 77
CERES CA 95307 11.1250 06/23/05
0004142828 0.0000 08/01/05 00
0004142828 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.3750 0.0000 0.0000
A 7.3750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9866160 5.6250 240000.0000 100.0000
5.6250 240,000.00 ZZ
5.3750 1125.00 1
11.6250 1125.00 80
EAGLE POINT OR 97524 11.3750 06/10/05
0004144062 0.0000 08/01/05 00
0004144062 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.6250 0.0000 0.0000
A 7.6250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9866162 5.1250 488000.0000 100.0000
5.1250 488,000.00 ZZ
4.8750 2084.17 1
11.1250 2084.17 80
ATLANTA GA 30309 10.8750 06/27/05
0004145220 0.0000 08/01/05 00
0004145220 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.1250 0.0000 0.0000
A 7.1250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9866164 5.0000 537000.0000 100.0000
5.0000 536,237.50 ZZ
4.7500 2882.74 1
11.0000 2882.74 66
FREMONT CA 94536 10.7500 06/22/05
0004145245 0.0000 08/01/05 00
0004145245 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.0000 0.0000 0.0000
A 7.0000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9866166 5.1250 174500.0000 100.0000
5.1250 174,499.36 ZZ
4.8750 745.26 1
11.1250 745.26 70
GOLD CANYON AZ 85218 10.8750 06/21/05
0004146279 0.0000 08/01/05 00
0004146279 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.1250 0.0000 0.0000
A 7.1250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9866168 6.0000 260000.0000 100.0000
6.0000 260,000.00 ZZ
5.7500 1300.00 1
12.0000 1300.00 73
CHANDLER AZ 85224 11.7500 06/20/05
0004146786 0.0000 08/01/05 00
0004146786 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 4.0000 0.0000 0.0000
A 8.0000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9866170 5.0000 198750.0000 100.0000
5.0000 198,750.00 ZZ
4.7500 828.13 1
11.0000 828.13 75
LOS ANGELES CA 91402 10.7500 06/22/05
0004148562 0.0000 08/01/05 00
0004148562 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.2500 0.0000 0.0000
A 8.0000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 01 00
O 0.0000
9866172 5.6250 999950.0000 100.0000
5.6250 999,950.00 ZZ
5.3750 4687.27 1
11.6250 4687.27 69
FORT LAUDERDALE FL 33316 11.3750 06/27/05
0004148776 0.0000 08/01/05 00
0004148776 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.6250 0.0000 0.0000
A 8.6250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9866174 5.8750 299600.0000 100.0000
5.8750 299,600.00 ZZ
5.6250 1466.79 1
11.8750 1466.79 80
REDDING CA 96001 11.6250 06/20/05
0004149724 0.0000 08/01/05 00
0004149724 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.8750 0.0000 0.0000
A 7.8750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9866176 5.5000 235000.0000 100.0000
5.5000 234,742.77 ZZ
5.2500 1334.31 1
11.5000 1334.31 73
LOS ANGELES CA 90002 11.2500 06/13/05
0004149824 0.0000 08/01/05 00
0004149824 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.5000 0.0000 0.0000
A 7.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9866178 5.1250 378750.0000 100.0000
5.1250 378,667.58 ZZ
4.8750 1617.58 1
11.1250 1617.58 75
RANCHO SANTA MA CA 92688 10.8750 06/17/05
0004152540 0.0000 08/01/05 00
0004152540 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.1250 0.0000 0.0000
A 7.1250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9866180 5.3750 133800.0000 100.0000
5.3750 133,800.00 ZZ
5.1250 599.31 1
11.3750 599.31 60
OWINGS MILLS MD 21117 11.1250 06/24/05
0004154172 0.0000 08/01/05 00
0004154172 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.3750 0.0000 0.0000
A 7.3750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 07 00
O 0.0000
9866184 5.3750 354400.0000 100.0000
5.3750 354,400.00 ZZ
5.1250 1587.42 1
11.3750 1587.42 80
LEONARDTOWN MD 20650 11.1250 06/28/05
0004158330 0.0000 08/01/05 00
0004158330 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.3750 0.0000 0.0000
A 7.3750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9866186 5.6250 450000.0000 100.0000
5.6250 450,000.00 ZZ
5.3750 2109.38 1
11.6250 2109.38 63
SPRING VALLEY CA 91978 11.3750 06/20/05
0004158436 0.0000 08/01/05 00
0004158436 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.6250 0.0000 0.0000
A 8.6250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9866188 5.7500 302000.0000 100.0000
5.7500 302,000.00 ZZ
5.5000 1447.08 1
11.7500 1447.08 79
RICHMOND CA 94806 11.5000 06/24/05
0004158584 0.0000 08/01/05 00
0004158584 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.7500 0.0000 0.0000
A 8.7500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 01 00
O 0.0000
9866190 5.5000 236800.0000 100.0000
5.5000 236,800.00 T
5.2500 1085.33 1
11.5000 1085.33 80
CHICAGO IL 60614 11.2500 06/29/05
0004165171 0.0000 08/01/05 00
0004165171 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.5000 0.0000 0.0000
A 8.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 08 00
O 0.0000
9866192 4.8750 422760.0000 100.0000
4.8750 422,760.00 ZZ
4.6250 1717.46 1
10.8750 1717.46 79
VIENNA VA 22180 10.6250 06/29/05
0004165378 0.0000 08/01/05 00
0004165378 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.2500 0.0000 0.0000
A 7.8750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9866194 5.6250 242600.0000 100.0000
5.6250 242,600.00 ZZ
5.3750 1137.19 1
11.6250 1137.19 80
CHICAGO IL 60614 11.3750 06/29/05
0004167269 0.0000 08/01/05 00
0004167269 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.6250 0.0000 0.0000
A 8.6250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 08 00
O 0.0000
9866196 5.3750 337500.0000 100.0000
5.3750 337,500.00 ZZ
5.1250 1511.72 1
11.3750 1511.72 75
SAN DIEGO CA 92101 11.1250 06/23/05
0004170104 0.0000 08/01/05 00
0004170104 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.3750 0.0000 0.0000
A 8.3750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 08 00
O 0.0000
9866198 4.5000 542650.0000 100.0000
4.5000 542,650.00 ZZ
4.2500 2034.94 1
10.5000 2034.94 69
ALISO VIEJO CA 92656 10.2500 06/23/05
0004173447 0.0000 08/01/05 00
0004173447 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.2500 0.0000 0.0000
A 7.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9866200 4.7500 532900.0000 100.0000
4.7500 532,900.00 ZZ
4.5000 2109.40 1
10.7500 2109.40 80
SCOTTSDALE AZ 85255 10.5000 06/22/05
0004174327 0.0000 08/01/05 00
0004174327 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.2500 0.0000 0.0000
A 7.7500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9866202 5.0000 260000.0000 100.0000
5.0000 260,000.00 ZZ
4.7500 1083.33 1
11.0000 1083.33 52
CAVE CREEK AZ 85331 10.7500 06/24/05
0004180424 0.0000 08/01/05 00
0004180424 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.2500 0.0000 0.0000
A 8.0000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9866204 5.0000 650000.0000 100.0000
5.0000 52,966.14 ZZ
4.7500 3489.35 1
11.0000 3489.35 66
OVERLAND PARK KS 61427 10.7500 05/02/05
0002784411 0.0000 07/01/05 00
0002784411 0.0000 06/01/35 0.0000
0 2.2500 06/01/08 06/01/08
286/286 2.0000 07/01/08 07/01/08
45 3.0000 0.0000 0.0000
A 7.0000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9866206 5.5000 249500.0000 100.0000
5.5000 249,500.00 ZZ
5.2500 1143.54 1
11.5000 1143.54 77
XXXXXX OH 43065 11.2500 06/16/05
0003196693 0.0000 08/01/05 00
0003196693 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.5000 0.0000 0.0000
A 7.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9866208 6.1250 419600.0000 100.0000
6.1250 419,600.00 T
5.8750 2141.71 1
12.1250 2141.71 80
LAKE HAVASU CIT AZ 86404 11.8750 02/28/05
0003285085 0.0000 04/01/05 00
0003285085 0.0000 03/01/35 0.0000
0 2.2500 03/01/08 03/01/08
286/286 2.0000 04/01/08 04/01/08
45 4.1250 0.0000 0.0000
A 8.1250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 4 0
0.0000 03 00
O 0.0000
9866210 5.3750 432000.0000 100.0000
5.3750 431,803.25 ZZ
5.1250 1935.00 1
11.3750 1935.00 80
XXXXXX OR 97053 11.1250 02/03/05
0003350964 0.0000 04/01/05 00
0003350964 0.0000 03/01/35 0.0000
0 2.2500 03/01/08 03/01/08
286/286 2.0000 04/01/08 04/01/08
45 3.3750 0.0000 0.0000
A 7.3750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 4 0
0.0000 05 00
O 0.0000
9866212 6.1250 400000.0000 100.0000
6.1250 400,000.00 ZZ
5.8750 2041.67 1
12.1250 2041.67 94
LOXAHATCHEE FL 33470 11.8750 05/27/05
0003362025 0.0000 07/01/05 11
0003362025 0.0000 06/01/35 30.0000
0 2.2500 06/01/08 06/01/08
286/286 2.0000 07/01/08 07/01/08
45 4.1250 0.0000 0.0000
A 8.1250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 4 0
0.0000 05 00
O 0.0000
9866214 5.5000 350000.0000 100.0000
5.5000 350,000.00 ZZ
5.2500 1604.17 1
11.5000 1604.17 53
RIDGEWOOD NJ 07450 11.2500 06/24/05
0003378969 0.0000 08/01/05 00
0003378969 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.5000 0.0000 0.0000
A 7.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9866216 5.2500 490000.0000 100.0000
5.2500 490,000.00 ZZ
5.0000 2143.75 1
11.2500 2143.75 78
ALEXANDRIA VA 22315 11.0000 06/24/05
0003379373 0.0000 08/01/05 00
0003379373 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.2500 0.0000 0.0000
A 7.2500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9866218 5.5000 266696.0000 100.0000
5.5000 266,696.00 T
5.2500 1222.36 1
11.5000 1222.36 80
BULLHEAD CITY AZ 86429 11.2500 05/17/05
0003409321 0.0000 07/01/05 00
0003409321 0.0000 06/01/35 0.0000
0 2.2500 06/01/08 06/01/08
286/286 2.0000 07/01/08 07/01/08
45 3.5000 0.0000 0.0000
A 7.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 4 0
0.0000 03 00
O 0.0000
9866222 6.2500 520000.0000 100.0000
6.2500 520,000.00 ZZ
6.0000 2708.33 1
12.2500 2708.33 80
GARDNERVILLE NV 89460 12.0000 05/25/05
0003436683 0.0000 07/01/05 00
0003436683 0.0000 06/01/35 0.0000
0 2.2500 06/01/08 06/01/08
286/286 2.0000 07/01/08 07/01/08
45 4.2500 0.0000 0.0000
A 8.2500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9866224 4.8750 400000.0000 100.0000
4.8750 399,508.16 T
4.6250 2116.84 1
10.8750 2116.84 56
SAN DIEGO CA 92128 10.6250 06/24/05
0003521991 0.0000 08/01/05 00
0003521991 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.8750 0.0000 0.0000
A 6.8750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9866226 5.6250 430000.0000 100.0000
5.6250 430,000.00 ZZ
5.3750 2015.63 1
11.6250 2015.63 67
ALPINE CA 91901 11.3750 06/17/05
0003601599 0.0000 08/01/05 00
0003601599 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.6250 0.0000 0.0000
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9866228 5.6250 257000.0000 100.0000
5.6250 257,000.00 ZZ
5.3750 1204.69 1
11.6250 1204.69 39
WALNUT CA 91789 11.3750 06/13/05
0003621356 0.0000 08/01/05 00
0003621356 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.6250 0.0000 0.0000
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9866230 5.3750 461000.0000 100.0000
5.3750 460,800.00 ZZ
5.1250 2064.90 1
11.3750 2064.90 70
ROSEVILLE CA 95747 11.1250 06/20/05
0003629223 0.0000 08/01/05 00
0003629223 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.3750 0.0000 0.0000
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0.0000 S N 0.1250
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9866232 5.6250 386400.0000 100.0000
5.6250 386,400.00 ZZ
5.3750 1811.25 1
11.6250 1811.25 95
CHANDLER AZ 85249 11.3750 06/09/05
0003651764 0.0000 08/01/05 10
0003651764 0.0000 07/01/35 30.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.6250 0.0000 0.0000
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0.0000 S N 0.1250
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9866234 4.8750 404000.0000 100.0000
4.8750 404,000.00 ZZ
4.6250 1641.25 1
10.8750 1641.25 80
FORT WORTH TX 76108 10.6250 05/05/05
0003704489 0.0000 07/01/05 00
0003704489 0.0000 06/01/35 0.0000
0 2.2500 06/01/08 06/01/08
286/286 2.0000 07/01/08 07/01/08
45 2.8750 0.0000 0.0000
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0.0000 S N 0.1250
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9866236 5.8750 599920.0000 100.0000
5.8750 599,000.00 ZZ
5.6250 2937.11 1
11.8750 2937.11 80
VIRGINIA BEACH VA 23454 11.6250 02/15/05
0003723626 0.0000 04/01/05 00
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0 2.2500 03/01/08 03/01/08
286/286 2.0000 04/01/08 04/01/08
45 3.8750 0.0000 0.0000
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9866238 5.3750 439550.0000 100.0000
5.3750 439,450.00 ZZ
5.1250 1968.82 1
11.3750 1968.82 78
MANASSAS VA 20112 11.1250 06/24/05
0003742120 0.0000 08/01/05 00
0003742120 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.3750 0.0000 0.0000
A 8.3750 12 12
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9866240 4.8750 427450.0000 100.0000
4.8750 426,396.68 ZZ
4.6250 2262.11 1
10.8750 2262.11 80
CLARKSTON MI 48348 10.6250 05/26/05
0003765603 0.0000 07/01/05 00
0003765603 0.0000 06/01/35 0.0000
0 2.2500 06/01/08 06/01/08
286/286 2.0000 07/01/08 07/01/08
45 2.8750 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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0.0000 01 00
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9866242 5.5000 260250.0000 100.0000
5.5000 260,250.00 ZZ
5.2500 1192.81 1
11.5000 1192.81 80
CHESTERFIELD VA 23832 11.2500 06/24/05
0003766437 0.0000 08/01/05 00
0003766437 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.5000 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
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9866244 5.5000 222900.0000 100.0000
5.5000 221,221.62 ZZ
5.2500 1021.63 1
11.5000 1021.63 80
MORENO VALLEY CA 92555 11.2500 01/18/05
0003769544 0.0000 03/01/05 00
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0 2.2500 02/01/08 02/01/08
286/286 2.0000 03/01/08 03/01/08
45 3.5000 0.0000 0.0000
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360 L12 2.0000 2.0000
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9866246 5.1250 332400.0000 100.0000
5.1250 332,399.99 T
4.8750 1419.63 1
11.1250 1419.63 80
LAS VEGAS NV 89123 10.8750 02/01/05
0003785521 0.0000 04/01/05 00
0003785521 0.0000 03/01/35 0.0000
0 2.2500 03/01/08 03/01/08
286/286 2.0000 04/01/08 04/01/08
45 3.1250 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9866248 5.0000 599272.0000 100.0000
5.0000 599,147.15 ZZ
4.7500 2496.97 1
11.0000 2496.97 80
PETALUMA CA 94954 10.7500 06/07/05
0003785818 0.0000 08/01/05 00
0003785818 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.0000 0.0000 0.0000
A 7.0000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
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9866250 4.7500 396000.0000 100.0000
4.7500 395,839.22 ZZ
4.5000 1567.50 1
10.7500 1567.50 75
MT PLEASANT SC 29466 10.5000 02/22/05
0003899954 0.0000 04/01/05 00
0003899954 0.0000 03/01/35 0.0000
0 2.2500 03/01/08 03/01/08
286/286 2.0000
45 2.7500 0.0000 0.0000
A 6.7500 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9866252 5.8750 320000.0000 100.0000
5.8750 320,000.00 ZZ
5.6250 1566.67 1
11.8750 1566.67 80
DES PLAINES IL 60016 11.6250 03/14/05
0003907082 0.0000 05/01/05 00
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0 2.2500 04/01/08 04/01/08
286/286 2.0000 05/01/08 05/01/08
45 3.8750 0.0000 0.0000
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360 L12 2.0000 2.0000
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9866256 5.6250 263000.0000 100.0000
5.6250 262,538.20 ZZ
5.3750 1232.81 1
11.6250 1232.81 52
ALTADENA CA 91001 11.3750 06/06/05
0003940574 0.0000 08/01/05 00
0003940574 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.6250 0.0000 0.0000
A 7.6250 12 12
360 L12 2.0000 2.0000
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9866258 5.8750 182610.0000 100.0000
5.8750 182,610.00 ZZ
5.6250 894.03 1
11.8750 894.03 90
ORLANDO FL 32822 11.6250 06/16/05
0003979261 0.0000 08/01/05 11
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0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.8750 0.0000 0.0000
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360 L12 2.0000 2.0000
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9866260 5.2500 343200.0000 100.0000
5.2500 343,200.00 ZZ
5.0000 1501.50 1
11.2500 1501.50 80
UPPER NAZARETH PA 18064 11.0000 06/24/05
0003986427 0.0000 08/01/05 00
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0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9866262 6.1250 67500.0000 100.0000
6.1250 67,500.00 T
5.8750 344.53 1
12.1250 344.53 50
NASHVILLE TN 37204 11.8750 04/14/05
0003990793 0.0000 06/01/05 00
0003990793 0.0000 05/01/35 0.0000
0 2.2500 05/01/08 05/01/08
286/286 2.0000 06/01/08 06/01/08
45 4.1250 0.0000 0.0000
A 8.1250 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 5 0
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9866264 5.6250 239900.0000 100.0000
5.6250 239,900.00 ZZ
5.3750 1124.53 1
11.6250 1124.53 80
RESTON VA 20190 11.3750 06/21/05
0004009065 0.0000 08/01/05 00
0004009065 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.6250 0.0000 0.0000
A 7.6250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9866266 5.1250 300800.0000 100.0000
5.1250 300,446.85 ZZ
4.8750 1637.82 1
11.1250 1637.82 80
SLIDELL LA 70461 10.8750 06/27/05
0004012286 0.0000 08/01/05 00
0004012286 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.1250 0.0000 0.0000
A 7.1250 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9866268 5.3750 375950.0000 100.0000
5.3750 375,950.00 T
5.1250 1683.94 1
11.3750 1683.94 80
PORT ST. XXXXX FL 34986 11.1250 05/16/05
0004014792 0.0000 07/01/05 00
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0 2.2500 06/01/08 06/01/08
286/286 2.0000 07/01/08 07/01/08
45 3.3750 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9866270 5.5000 175000.0000 100.0000
5.5000 175,000.00 ZZ
5.2500 802.08 1
11.5000 802.08 54
WASHINGTON DC 20024 11.2500 06/27/05
0004016893 0.0000 08/01/05 00
0004016893 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.5000 0.0000 0.0000
A 7.5000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9866272 5.3750 245600.0000 100.0000
5.3750 245,600.00 ZZ
5.1250 1100.08 1
11.3750 1100.08 80
STAFFORD VA 22554 11.1250 06/16/05
0004032607 0.0000 08/01/05 00
0004032607 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.3750 0.0000 0.0000
A 7.3750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 07 00
O 0.0000
9866274 5.2500 359650.0000 100.0000
5.2500 359,649.99 ZZ
5.0000 1573.47 1
11.2500 1573.47 72
ATLANTA GA 30316 11.0000 05/23/05
0004033594 0.0000 07/01/05 00
0004033594 0.0000 06/01/35 0.0000
0 2.2500 06/01/08 06/01/08
286/286 2.0000 07/01/08 07/01/08
45 3.2500 0.0000 0.0000
A 7.2500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9866276 5.6250 340000.0000 100.0000
5.6250 340,000.00 ZZ
5.3750 1593.75 1
11.6250 1593.75 80
LAS VEGAS NV 89148 11.3750 04/19/05
0004036451 0.0000 06/01/05 00
0004036451 0.0000 05/01/35 0.0000
0 2.2500 05/01/08 05/01/08
286/286 2.0000 06/01/08 06/01/08
45 3.6250 0.0000 0.0000
A 7.6250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9866280 4.1250 235000.0000 100.0000
4.1250 235,000.00 ZZ
3.8750 807.81 1
10.1250 807.81 79
LANCASTER CA 93536 9.8750 06/14/05
0004054078 0.0000 08/01/05 00
0004054078 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.2500 0.0000 0.0000
A 6.1250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9866284 5.1250 650000.0000 100.0000
5.1250 650,000.00 ZZ
4.8750 2776.04 1
11.1250 2776.04 68
VENTURA CA 93001 10.8750 06/15/05
0004059659 0.0000 08/01/05 00
0004059659 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.2500 0.0000 0.0000
A 8.1250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9866286 5.0000 303500.0000 100.0000
5.0000 303,500.00 ZZ
4.7500 1264.58 1
11.0000 1264.58 79
SOUTHAMPTON PA 18966 10.7500 06/14/05
0004060568 0.0000 08/01/05 00
0004060568 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.0000 0.0000 0.0000
A 7.0000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9866288 5.7500 436000.0000 100.0000
5.7500 436,000.00 ZZ
5.5000 2089.17 1
11.7500 2544.38 80
SAN XXXXX CA 90731 11.5000 04/27/05
0004061204 0.0000 07/01/05 00
0004061204 0.0000 06/01/35 0.0000
0 2.2500 06/01/08 06/01/08
286/286 2.0000 07/01/08 07/01/08
45 3.7500 0.0000 0.0000
A 7.7500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9866290 4.6250 302400.0000 100.0000
4.6250 302,400.00 ZZ
4.3750 1165.50 1
10.6250 1165.50 80
CENTREVILLE VA 20121 10.3750 06/22/05
0004061599 0.0000 08/01/05 00
0004061599 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.6250 0.0000 0.0000
A 6.6250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 07 00
O 0.0000
9866292 5.7500 132500.0000 100.0000
5.7500 132,500.00 ZZ
5.5000 634.90 1
11.7500 634.90 47
AIEA HI 96701 11.5000 06/08/05
0004062312 0.0000 08/01/05 00
0004062312 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.7500 0.0000 0.0000
A 7.7500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 08 00
O 0.0000
9866294 4.6250 532000.0000 100.0000
4.6250 531,315.19 ZZ
4.3750 2735.23 1
10.6250 2735.23 80
CHICAGO IL 60608 10.3750 06/22/05
0004064799 0.0000 08/01/05 00
0004064799 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.6250 0.0000 0.0000
A 6.6250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9866296 4.7500 188000.0000 100.0000
4.7500 188,000.00 ZZ
4.5000 744.17 1
10.7500 744.17 80
WASHINGTON DC 20008 10.5000 05/20/05
0004066157 0.0000 07/01/05 00
0004066157 0.0000 06/01/35 0.0000
0 2.2500 06/01/08 06/01/08
286/286 2.0000 07/01/08 07/01/08
45 2.7500 0.0000 0.0000
A 6.7500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 08 00
O 0.0000
9866298 5.5000 182000.0000 100.0000
5.5000 182,000.00 ZZ
5.2500 834.17 1
11.5000 834.17 69
WAUCONDA IL 60084 11.2500 06/15/05
0004066844 0.0000 08/01/05 00
0004066844 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.5000 0.0000 0.0000
A 7.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 01 00
O 0.0000
9866300 6.3750 521980.0000 100.0000
6.3750 521,980.00 ZZ
6.1250 2773.02 1
12.3750 2773.02 80
WASHINGTON DC 20024 12.1250 06/21/05
0004070854 0.0000 08/01/05 00
0004070854 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 4.3750 0.0000 0.0000
A 8.3750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 12 00
O 0.0000
9866302 4.7500 356000.0000 100.0000
4.7500 356,000.00 ZZ
4.5000 1409.17 1
10.7500 1409.17 80
VIRGINIA BEACH VA 23463 10.5000 06/21/05
0004070974 0.0000 08/01/05 00
0004070974 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.7500 0.0000 0.0000
A 6.7500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9866304 5.6250 105600.0000 100.0000
5.6250 105,487.10 ZZ
5.3750 607.90 1
11.6250 607.90 80
PALMYRA PA 17078 11.3750 06/27/05
0004071177 0.0000 08/01/05 00
0004071177 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.6250 0.0000 0.0000
A 7.6250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 09 00
O 0.0000
9866306 5.1250 225000.0000 100.0000
5.1250 225,000.00 ZZ
4.8750 960.94 1
11.1250 960.94 69
PLANO TX 75093 10.8750 05/26/05
0004072144 0.0000 07/01/05 00
0004072144 0.0000 06/01/35 0.0000
0 2.2500 06/01/08 06/01/08
286/286 2.0000 07/01/08 07/01/08
45 3.1250 0.0000 0.0000
A 7.1250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9866308 5.2500 105000.0000 100.0000
5.2500 104,879.56 T
5.0000 579.82 1
11.2500 579.82 54
TAVERNIER FL 33070 11.0000 06/24/05
0004075751 0.0000 08/01/05 00
0004075751 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.2500 0.0000 0.0000
A 7.2500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 01 00
O 0.0000
9866310 4.8750 155000.0000 100.0000
4.8750 154,809.41 ZZ
4.6250 820.28 1
10.8750 820.28 80
MATTOON IL 61938 10.6250 06/17/05
0004075806 0.0000 08/01/05 00
0004075806 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.8750 0.0000 0.0000
A 6.8750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
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0.0000 05 00
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9866312 5.1250 1000000.0000 100.0000
5.1250 1,000,000.00 ZZ
4.8750 4270.83 1
11.1250 4270.83 73
UNIVERSITY PARK TX 75225 10.8750 05/27/05
0004077099 0.0000 07/01/05 00
0004077099 0.0000 06/01/35 0.0000
0 2.2500 06/01/08 06/01/08
286/286 2.0000 07/01/08 07/01/08
45 3.1250 0.0000 0.0000
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360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
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0.0000 05 00
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9866314 5.0000 507120.0000 100.0000
5.0000 507,120.00 ZZ
4.7500 2113.00 1
11.0000 2113.00 80
WASHINGTON DC 20004 10.7500 06/24/05
0004077325 0.0000 08/01/05 00
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0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.0000 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9866316 5.8750 630000.0000 100.0000
5.8750 630,000.00 ZZ
5.6250 3084.38 1
11.8750 3084.38 75
UNION IL 60180 11.6250 06/21/05
0004077744 0.0000 08/01/05 00
0004077744 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.8750 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9866320 5.3750 324800.0000 100.0000
5.3750 324,800.00 ZZ
5.1250 1454.83 1
11.3750 1454.83 43
SCOTTSDALE AZ 85258 11.1250 06/18/05
0004079069 0.0000 08/01/05 00
0004079069 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.3750 0.0000 0.0000
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360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
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9866322 5.0000 1000000.0000 100.0000
5.0000 1,000,000.00 ZZ
4.7500 4166.67 1
11.0000 4166.67 64
WILMETTE IL 60091 10.7500 06/16/05
0004080367 0.0000 08/01/05 00
0004080367 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.0000 0.0000 0.0000
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360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
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9866324 5.3750 498000.0000 100.0000
5.3750 497,962.10 ZZ
5.1250 2230.63 1
11.3750 2230.63 75
BRENTWOOD CA 94513 11.1250 06/09/05
0004084099 0.0000 08/01/05 00
0004084099 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.3750 0.0000 0.0000
A 7.3750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
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0.0000 05 00
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9866326 5.3750 110000.0000 100.0000
5.3750 110,000.00 ZZ
5.1250 492.71 1
11.3750 492.71 39
LOS ANGELES CA 90003 11.1250 06/07/05
0004084966 0.0000 08/01/05 00
0004084966 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.3750 0.0000 0.0000
A 7.3750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
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9866328 5.5000 496000.0000 100.0000
5.5000 495,773.33 T
5.2500 2273.33 1
11.5000 2273.33 79
GREENSBORO GA 30642 11.2500 06/07/05
0004087075 0.0000 08/01/05 00
0004087075 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.5000 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
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9866330 4.8750 576975.0000 100.0000
4.8750 576,975.00 ZZ
4.6250 2343.96 1
10.8750 2343.96 75
CHULA VISTA CA 91914 10.6250 06/16/05
0004088962 0.0000 08/01/05 00
0004088962 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.8750 0.0000 0.0000
A 6.8750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
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9866332 5.3750 353000.0000 100.0000
5.3750 353,000.00 ZZ
5.1250 1581.15 1
11.3750 1581.15 68
PHOENIX AZ 85048 11.1250 06/17/05
0004089691 0.0000 08/01/05 00
0004089691 0.0000 07/01/35 0.0000
0 2.7500 07/01/08 07/01/08
286/286 2.5000 08/01/08 08/01/08
45 3.3750 0.0000 0.0000
A 7.3750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
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9866334 5.2500 406000.0000 100.0000
5.2500 406,000.00 ZZ
5.0000 1776.25 1
11.2500 1776.25 80
BEAUMONT CA 92223 11.0000 06/09/05
0004090004 0.0000 08/01/05 00
0004090004 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.2500 0.0000 0.0000
A 7.2500 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9866336 5.6250 357600.0000 100.0000
5.6250 357,516.19 ZZ
5.3750 1676.25 1
11.6250 1676.25 80
GERMANTOWN MD 20874 11.3750 06/20/05
0004090520 0.0000 08/01/05 00
0004090520 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.6250 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9866338 5.6250 248400.0000 100.0000
5.6250 248,400.00 ZZ
5.3750 1164.38 1
11.6250 1164.38 68
RIVERSIDE CA 92503 11.3750 06/13/05
0004090888 0.0000 08/01/05 00
0004090888 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.6250 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 5 0
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9866340 4.8750 1000000.0000 100.0000
4.8750 1,000,000.00 ZZ
4.6250 4062.50 1
10.8750 4062.50 71
SEATTLE WA 98122 10.6250 06/20/05
0004090920 0.0000 08/01/05 00
0004090920 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.8750 0.0000 0.0000
A 6.8750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9866342 5.5000 290000.0000 100.0000
5.5000 290,000.00 ZZ
5.2500 1329.17 1
11.5000 1329.17 73
WASHINGTON DC 20011 11.2500 06/22/05
0004091241 0.0000 08/01/05 00
0004091241 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.5000 0.0000 0.0000
A 7.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9866344 5.1250 457500.0000 100.0000
5.1250 457,500.00 ZZ
4.8750 1953.91 1
11.1250 1953.91 75
ARLINGTON VA 22204 10.8750 06/22/05
0004093034 0.0000 08/01/05 00
0004093034 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.1250 0.0000 0.0000
A 7.1250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9866346 5.5000 133000.0000 100.0000
5.5000 133,000.00 ZZ
5.2500 609.58 1
11.5000 609.58 62
GIBERTSVILLE PA 19525 11.2500 05/17/05
0004093357 0.0000 07/01/05 00
0004093357 0.0000 06/01/35 0.0000
0 1.9500 06/01/08 06/01/08
286/286 1.7000 07/01/08 07/01/08
45 3.5000 0.0000 0.0000
A 7.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
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9866350 5.5000 486400.0000 100.0000
5.5000 486,400.00 ZZ
5.2500 2229.33 1
11.5000 2229.33 80
ESCONDIDO CA 92026 11.2500 06/09/05
0004094679 0.0000 08/01/05 00
0004094679 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.5000 0.0000 0.0000
A 7.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9866352 5.3750 800900.0000 100.0000
5.3750 800,900.00 ZZ
5.1250 3587.36 1
11.3750 3587.36 75
BIRMINGHAM MI 48009 11.1250 05/16/05
0004096761 0.0000 07/01/05 00
0004096761 0.0000 06/01/35 0.0000
0 2.2500 06/01/08 06/01/08
286/286 2.0000 07/01/08 07/01/08
45 3.3750 0.0000 0.0000
A 7.3750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
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9866354 5.2500 156500.0000 100.0000
5.2500 156,500.00 ZZ
5.0000 684.69 1
11.2500 684.69 80
ST XXXXXXX MO 63301 11.0000 06/17/05
0004098690 0.0000 08/01/05 00
0004098690 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.2500 0.0000 0.0000
A 7.2500 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9866356 5.8750 120000.0000 100.0000
5.8750 120,000.00 ZZ
5.6250 587.50 1
11.8750 587.50 71
APPLE VALLEY CA 92307 11.6250 06/13/05
0004099018 0.0000 08/01/05 00
0004099018 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.8750 0.0000 0.0000
A 7.8750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9866358 4.8750 630000.0000 100.0000
4.8750 630,000.00 ZZ
4.6250 2559.38 1
10.8750 2559.38 75
KULA HI 96790 10.6250 06/21/05
0004099054 0.0000 08/01/05 00
0004099054 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.8750 0.0000 0.0000
A 6.8750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9866360 5.0000 717500.0000 100.0000
5.0000 717,500.00 ZZ
4.7500 2989.58 1
11.0000 2989.58 70
CHARLOTTE NC 28211 10.7500 06/15/05
0004099132 0.0000 08/01/05 00
0004099132 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.0000 0.0000 0.0000
A 7.0000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9866364 4.8750 307123.0000 100.0000
4.8750 307,123.00 ZZ
4.6250 1247.69 1
10.8750 1247.69 95
BETHESDA MD 20814 10.6250 06/24/05
0004101370 0.0000 08/01/05 01
0004101370 0.0000 07/01/35 30.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.8750 0.0000 0.0000
A 6.8750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 11 00
O 0.0000
9866366 5.7500 210600.0000 100.0000
5.7500 210,351.29 ZZ
5.5000 1009.13 1
11.7500 1009.13 89
BRYANS ROAD MD 20616 11.5000 06/20/05
0004101789 0.0000 08/01/05 01
0004101789 0.0000 07/01/35 25.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.7500 0.0000 0.0000
A 7.7500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9866368 5.7500 397995.0000 100.0000
5.7500 397,579.46 ZZ
5.5000 2322.60 1
11.7500 2322.60 75
CORONA CA 92880 11.5000 06/17/05
0004101818 0.0000 08/01/05 00
0004101818 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.7500 0.0000 0.0000
A 7.7500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9866370 5.5000 348000.0000 100.0000
5.5000 348,000.00 ZZ
5.2500 1595.00 1
11.5000 1595.00 60
CHICAGO IL 60611 11.2500 06/07/05
0004102113 0.0000 08/01/05 00
0004102113 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.5000 0.0000 0.0000
A 7.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 08 00
O 0.0000
9866372 5.5000 380000.0000 100.0000
5.5000 380,000.00 ZZ
5.2500 1741.67 1
11.5000 1741.67 69
SPRINGFIELD VA 22153 11.2500 06/15/05
0004102635 0.0000 08/01/05 00
0004102635 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.5000 0.0000 0.0000
A 7.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
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9866374 5.3750 294400.0000 100.0000
5.3750 294,400.00 ZZ
5.1250 1318.67 1
11.3750 1318.67 79
RICHMOND TX 77469 11.1250 06/28/05
0004103339 0.0000 08/01/05 00
0004103339 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.3750 0.0000 0.0000
A 7.3750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
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9866376 5.0000 476000.0000 100.0000
5.0000 476,000.00 ZZ
4.7500 1983.33 1
11.0000 1983.33 80
VIENNA VA 22180 10.7500 06/28/05
0004103520 0.0000 08/01/05 00
0004103520 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.0000 0.0000 0.0000
A 7.0000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9866378 6.0000 731920.0000 100.0000
6.0000 731,920.00 T
5.7500 3659.60 1
12.0000 3659.60 80
GAINESVILLE GA 30506 11.7500 06/08/05
0004104749 0.0000 08/01/05 00
0004104749 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 4.0000 0.0000 0.0000
A 8.0000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9866380 5.3750 352000.0000 100.0000
5.3750 352,000.00 ZZ
5.1250 1576.67 1
11.3750 1576.67 75
WEST COVINA CA 91792 11.1250 06/14/05
0004104832 0.0000 08/01/05 00
0004104832 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.3750 0.0000 0.0000
A 7.3750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9866382 5.1250 186400.0000 100.0000
5.1250 186,181.15 ZZ
4.8750 1014.93 1
11.1250 1014.93 80
HARRISONBURG VA 22801 10.8750 06/22/05
0004105145 0.0000 08/01/05 00
0004105145 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.1250 0.0000 0.0000
A 7.1250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
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9866384 5.0000 359650.0000 100.0000
5.0000 359,650.00 ZZ
4.7500 1498.54 1
11.0000 1498.54 78
SAVANNAH GA 31405 10.7500 06/08/05
0004105886 0.0000 08/01/05 00
0004105886 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.0000 0.0000 0.0000
A 7.0000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9866386 4.8750 261500.0000 100.0000
4.8750 261,500.00 ZZ
4.6250 1062.34 1
10.8750 1062.34 74
WOODBRIDGE VA 22193 10.6250 06/17/05
0004106466 0.0000 08/01/05 00
0004106466 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.8750 0.0000 0.0000
A 6.8750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9866388 5.1250 276000.0000 100.0000
5.1250 275,675.96 ZZ
4.8750 1502.79 1
11.1250 1502.79 75
CHICAGO IL 60618 10.8750 06/21/05
0004106669 0.0000 08/01/05 00
0004106669 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.1250 0.0000 0.0000
A 7.1250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9866392 5.3750 299000.0000 100.0000
5.3750 299,000.00 ZZ
5.1250 1339.27 1
11.3750 1339.27 67
HERCULES CA 94547 11.1250 06/08/05
0004108837 0.0000 08/01/05 00
0004108837 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.3750 0.0000 0.0000
A 7.3750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9866394 4.7500 284000.0000 100.0000
4.7500 284,000.00 ZZ
4.5000 1124.17 1
10.7500 1124.17 80
CHANDLER AZ 85224 10.5000 06/23/05
0004109402 0.0000 08/01/05 00
0004109402 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.7500 0.0000 0.0000
A 6.7500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9866396 4.8750 231000.0000 100.0000
4.8750 231,000.00 ZZ
4.6250 938.44 1
10.8750 938.44 80
PASADENA MD 21112 10.6250 06/15/05
0004110295 0.0000 08/01/05 00
0004110295 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.8750 0.0000 0.0000
A 6.8750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 09 00
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9866398 5.2500 123300.0000 100.0000
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5.0000 539.44 1
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MONROE NC 28112 11.0000 06/22/05
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5.3750 3937.50 1
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SANTA ROSA CA 95404 11.3750 06/13/05
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0 2.2500 07/01/08 07/01/08
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4.7500 4166.67 1
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HATTERAS NC 27943 10.7500 06/20/05
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45 3.0000 0.0000 0.0000
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4.5000 2816.90 1
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ANN ARBOR MI 48104 10.5000 06/24/05
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0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.7500 0.0000 0.0000
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5.7500 630,000.00 ZZ
5.5000 3018.75 1
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MORGAN HILL CA 95037 11.5000 06/16/05
0004113652 0.0000 08/01/05 00
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0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.7500 0.0000 0.0000
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5.5000 1261.17 1
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RENO NV 89506 11.5000 06/15/05
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286/286 2.0000 08/01/08 08/01/08
45 3.7500 0.0000 0.0000
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5.1250 1773.75 1
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VIRGINIA BEACH VA 23453 11.1250 06/20/05
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0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.3750 0.0000 0.0000
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5.1250 1629.30 1
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LIVERMORE CA 94551 11.1250 06/14/05
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0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.3750 0.0000 0.0000
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5.1250 1610.71 1
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SCOTTSDALE AZ 85255 11.1250 06/02/05
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0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.3750 0.0000 0.0000
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5.5000 212,000.00 ZZ
5.2500 971.67 1
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AURORA CO 80015 11.2500 06/15/05
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0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.5000 0.0000 0.0000
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4.2500 433,280.00 ZZ
4.0000 1534.53 1
10.2500 1534.53 80
OAKTON VA 22124 10.0000 06/22/05
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0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.2500 0.0000 0.0000
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4.7500 2496.67 1
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FALLBROOK CA 92028 10.7500 06/15/05
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0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.0000 0.0000 0.0000
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5.0000 2222.50 1
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BOYDS MD 20841 11.0000 06/17/05
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4.3750 914.02 1
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VIRGINIA BEACH VA 23453 10.3750 06/28/05
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0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 2.6250 0.0000 0.0000
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5.0000 319,800.00 ZZ
4.7500 1333.33 1
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CENTREVILLE VA 20121 10.7500 06/24/05
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0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.0000 0.0000 0.0000
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9866430 5.2500 548000.0000 100.0000
5.2500 548,000.00 T
5.0000 2397.50 1
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NAGS HEAD NC 27959 11.0000 06/21/05
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0 2.2500 07/01/08 07/01/08
286/286 2.0000 08/01/08 08/01/08
45 3.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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5.1250 261,600.00 ZZ
4.8750 1117.25 1
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WASHINGTON DC 20009 10.8750 06/29/05
0439555129 0.0000 08/01/05 00
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0 2.2500 07/01/08 07/01/08
696/G01 2.0000 08/01/08 08/01/08
25 2.2500 0.0000 0.0000
A 8.1250 6 6
360 E 1.0000 1.0000
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9868191 5.6250 322500.0000 100.0000
5.6250 322,500.00 ZZ
5.3750 1511.72 1
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SANTA ANA CA 92703 11.3750 03/21/05
0423713601 0.0000 05/01/05 00
0423713601 0.0000 04/01/35 0.0000
0 2.2500 04/01/08 04/01/08
E22/U57 2.0000 05/01/08 05/01/08
45 3.6250 0.0000 0.0000
A 7.6250 12 12
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4.6250 200,000.00 ZZ
4.3750 770.83 1
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TUCSON AZ 85735 10.3750 03/17/05
0423467638 0.0000 05/01/05 00
0423467638 0.0000 04/01/35 0.0000
0 2.2500 04/01/08 04/01/08
E22/G01 2.0000 05/01/08 05/01/08
45 2.6250 0.0000 0.0000
A 6.6250 12 12
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5.3750 220,973.20 ZZ
5.1250 989.90 1
11.3750 989.78 75
ARLINGTON HEIGH IL 60004 11.1250 03/25/05
0423572288 0.0000 05/01/05 00
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0 2.2500 04/01/08 04/01/08
E22/G01 2.0000 05/01/08 05/01/08
45 3.3750 0.0000 0.0000
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4.8750 744,205.83 ZZ
4.6250 3969.06 1
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SCOTTSDALE AZ 85255 10.6250 03/25/05
0423646371 0.0000 05/01/05 00
0423646371 0.0000 04/01/35 0.0000
0 2.2500 04/01/08 04/01/08
E22/G01 2.0000 05/01/08 05/01/08
45 2.8750 0.0000 0.0000
A 6.8750 12 12
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9894543 4.6250 585000.0000 100.0000
4.6250 585,000.00 ZZ
4.3750 2254.69 1
10.6250 2254.69 35
LAFAYETTE CA 94549 10.3750 03/29/05
0439185638 0.0000 05/01/05 00
W01816041 0.0000 04/01/35 0.0000
0 2.2500 04/01/08 04/01/08
944/G01 2.0000 05/01/08 05/01/08
45 2.6250 0.0000 0.0000
A 6.6250 12 12
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9897609 5.3750 256000.0000 100.0000
5.3750 256,000.00 ZZ
5.1250 1146.67 1
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WILMINGTON MA 01887 11.1250 04/15/05
0423664416 0.0000 06/01/05 00
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0 2.2500 05/01/08 05/01/08
E22/U57 2.0000 06/01/08 06/01/08
45 3.3750 0.0000 0.0000
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9898541 5.2500 408000.0000 100.0000
5.2500 406,589.88 ZZ
5.0000 2252.99 1
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NORTH ATTLEBORO MA 02760 11.0000 04/15/05
0439193772 0.0000 06/01/05 00
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0 2.2500 05/01/08 05/01/08
P44/U57 2.0000 06/01/08 06/01/08
25 3.2500 0.0000 0.0000
A 7.2500 6 6
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5.7500 144,000.00 ZZ
5.5000 690.00 1
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BROCKTON MA 02302 11.5000 03/31/05
0439212093 2.2500 05/01/05 00
3274025640 2.0000 04/01/35 0.0000
0 2.2500 04/01/08 04/01/08
N67/G01 2.0000 05/01/08 05/01/08
25 2.2500 0.0000 0.0000
A 11.7500 6 6
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3.5000 1 0
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9901205 5.8750 184000.0000 100.0000
5.8750 184,000.00 ZZ
5.6250 900.83 1
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CARSON CITY NV 89706 11.6250 03/14/05
0439208893 0.0000 05/01/05 00
1260300678 0.0000 04/01/35 0.0000
0 2.2500 04/01/08 04/01/08
N67/G01 2.0000 05/01/08 05/01/08
45 3.8750 0.0000 0.0000
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9901215 6.0000 456000.0000 100.0000
6.0000 456,000.00 ZZ
5.7500 2280.00 1
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SPARKS NV 89436 11.7500 03/28/05
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0 2.2500 04/01/08 04/01/08
N67/G01 2.0000 05/01/08 05/01/08
45 4.0000 0.0000 0.0000
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9909251 5.5000 145600.0000 100.0000
5.5000 145,119.70 ZZ
5.2500 826.70 1
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PLANT CITY FL 33566 11.2500 04/28/05
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0 3.2500 05/01/08 05/01/08
E22/G02 3.0000 06/01/08 06/01/08
45 3.5000 0.0000 0.0000
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9914675 4.6250 288800.0000 100.0000
4.6250 288,800.00 ZZ
4.3750 1113.08 1
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FARMINGTON MN 55024 10.3750 02/04/05
359017586 0.0000 04/01/05 00
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0 1.8750 03/01/08 03/01/08
Z51/600 1.6250 04/01/08 04/01/08
45 2.6250 0.0000 0.0000
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5.7500 275,605.00 ZZ
5.5000 1322.50 1
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HAVERTOWN PA 19083 11.5000 04/30/05
0423883081 0.0000 06/01/05 00
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0 2.2500 05/01/08 05/01/08
E22/G01 2.0000 06/01/08 06/01/08
45 3.7500 0.0000 0.0000
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9930145 4.8750 394000.0000 100.0000
4.8750 393,700.67 ZZ
4.5000 1600.63 1
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DIAMOND BAR CA 91765 10.5000 02/11/05
777003331 0.0000 04/01/05 00
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0 2.2500 03/01/08 03/01/08
Z51/600 1.8750 04/01/08 04/01/08
45 2.8750 0.0000 0.0000
A 6.8750 12 12
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4.5000 1576.25 1
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SAN XXXXXXX ARE CA 91775 10.5000 02/17/05
777003332 0.0000 04/01/05 00
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0 2.2500 03/01/08 03/01/08
Z51/600 1.8750 04/01/08 04/01/08
45 2.8750 0.0000 0.0000
A 6.8750 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9930149 4.6250 393750.0000 100.0000
4.6250 389,806.66 ZZ
4.2500 2024.42 1
10.6250 2024.42 75
SAN JOSE CA 95132 10.2500 02/10/05
777003333 0.0000 04/01/05 00
777003333 0.0000 03/01/35 0.0000
0 2.7500 03/01/08 03/01/08
Z51/600 2.3750 04/01/08 04/01/08
45 2.7500 0.0000 0.0000
A 6.6250 12 12
360 1 2.0000 2.0000
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0.0000 S N 0.1250
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9930153 4.6250 119000.0000 100.0000
4.6250 118,373.12 ZZ
4.2500 611.83 1
10.6250 611.83 37
POMONA CA 91768 10.2500 02/23/05
777003335 0.0000 05/01/05 00
777003335 0.0000 04/01/35 0.0000
0 2.7500 04/01/08 04/01/08
Z51/600 2.3750 05/01/08 05/01/08
45 2.7500 0.0000 0.0000
A 6.6250 12 12
360 1 2.0000 2.0000
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0.0000 S N 0.1250
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9953659 5.7500 551200.0000 100.0000
5.7500 551,200.00 ZZ
5.5000 2641.17 1
11.7500 2641.17 80
ESCONDIDO CA 92027 11.5000 04/22/05
0439418880 2.2500 06/01/05 00
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0 2.2500 05/01/08 05/01/08
N67/G02 2.0000 06/01/08 06/01/08
25 2.2500 0.0000 0.0000
A 11.7500 6 6
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0.0000 S N 0.1250
3.5000 1 0
0.0000 03 00
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9954223 6.1250 163200.0000 100.0000
6.1250 163,200.00 T
5.8750 833.00 1
12.1250 833.00 80
MESA AZ 85208 11.8750 05/06/05
0439424821 2.7500 07/01/05 00
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0 2.7500 06/01/08 06/01/08
N67/G01 2.5000 07/01/08 07/01/08
25 2.7500 0.0000 0.0000
A 12.1250 6 6
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9956377 5.8750 164800.0000 100.0000
5.8750 164,800.00 ZZ
5.6250 806.83 1
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PHOENIX AZ 85021 11.6250 04/25/05
0439384199 2.7500 06/01/05 00
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0 2.7500 05/01/08 05/01/08
N67/G02 2.5000 06/01/08 06/01/08
25 2.7500 0.0000 0.0000
A 11.8750 6 6
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3.1250 1 0
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9956507 5.8750 220800.0000 100.0000
5.8750 220,800.00 ZZ
5.6250 1081.00 1
11.8750 1081.00 80
CHANDLER AZ 85249 11.6250 05/02/05
0439424268 2.7500 07/01/05 00
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0 2.7500 06/01/08 06/01/08
N67/G01 2.5000 07/01/08 07/01/08
25 2.7500 0.0000 0.0000
A 11.8750 6 6
360 E 1.0000 1.0000
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0.0000 S N 0.1250
3.1250 1 0
0.0000 03 00
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9960419 5.1250 292000.0000 100.0000
5.1250 291,996.96 ZZ
4.8750 1247.08 1
11.1250 1247.07 80
UNIVERSITY PLAC WA 98467 10.8750 05/24/05
0424181865 0.0000 07/01/05 00
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0 2.2500 06/01/08 06/01/08
E22/U57 2.0000 07/01/08 07/01/08
45 3.1250 0.0000 0.0000
A 7.1250 12 12
360 L12 2.0000 2.0000
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TRUCKEE CA 96161 10.2150 03/16/05
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BRIARWOOD NY 11435 11.7500 06/28/05
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CYPRESS TX 77429 11.6250 07/08/05
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SANTA XXX XXXXX CA 92707 11.6250 06/30/05
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PITTSBURG CA 94565 11.7500 07/01/05
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SAN FRANCISCO CA 94123 10.6000 06/20/05
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IRVINE CA 92614 10.6250 06/20/05
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BUFORD GA 30518 10.6250 06/22/05
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TWP OF BRICK NJ 08724 10.7400 06/29/05
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SAN RAMON CA 94583 11.3750 04/04/05
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FOUNTAIN VALLEY CA 92708 11.7500 06/07/05
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LINCOLN CA 95648 11.0000 06/20/05
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OAKLAND CA 94603 11.2500 06/20/05
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GOLD CANYON AZ 85218 11.5000 06/14/05
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GLENDALE AZ 85310 11.3750 07/11/05
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BELLEVUE WA 98006 11.6250 07/13/05
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POWAY CA 92064 11.6250 06/06/05
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CAPE CORAL FL 33991 11.5000 07/13/05
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SAN DIEGO CA 92119 11.6250 07/08/05
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PHOENIX AZ 85022 11.5000 07/15/05
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EL CAJON CA 92021 11.6250 07/22/05
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OZARK MO 65721 12.0000 07/18/05
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LA JOLLA CA 92037 11.6250 07/15/05
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GARDEN GROVE CA 92841 11.3750 07/18/05
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CHANDLER AZ 85226 11.5000 07/19/05
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PLUMAS LAKE CA 95961 11.6250 07/19/05
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EAST WAREHAM MA 02538 11.8750 07/21/05
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45 4.1250 0.0000 0.0000
A 8.1250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
10062001 6.1250 328000.0000 100.0000
6.1250 328,000.00 ZZ
5.8750 1674.17 1
12.1250 1674.17 80
LAKE OSWEGO OR 97035 11.8750 06/28/05
0439727561 0.0000 08/01/05 00
0650610006 0.0000 07/01/35 0.0000
0 2.2500 07/01/08 07/01/08
Y46/G01 2.0000 08/01/08 08/01/08
45 4.1250 0.0000 0.0000
A 8.1250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
10062179 5.8750 132050.0000 100.0000
5.8750 132,050.00 T
5.6250 781.13 1
11.8750 781.13 95
MERRIAM KS 66203 11.6250 07/25/05
0425004546 0.0000 09/01/05 10
0425004546 0.0000 08/01/35 30.0000
0 2.2500 08/01/08 08/01/08
E22/G01 2.0000 09/01/08 09/01/08
45 3.8750 0.0000 0.0000
A 7.8750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
10062415 5.7500 208000.0000 100.0000
5.7500 208,000.00 ZZ
5.5000 996.67 1
11.7500 996.67 80
OLYMPIA WA 98502 11.5000 07/22/05
0424742179 0.0000 09/01/05 00
0424742179 0.0000 08/01/35 0.0000
0 2.2500 08/01/08 08/01/08
E22/G01 2.0000 09/01/08 09/01/08
45 3.7500 0.0000 0.0000
A 7.7500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
10063911 6.2500 189905.0000 100.0000
6.2500 189,905.00 T
6.0000 989.09 1
12.2500 989.09 95
FORT XXXXX FL 33919 12.0000 07/27/05
0424964617 0.0000 09/01/05 01
0424964617 0.0000 08/01/35 30.0000
0 2.2500 08/01/08 08/01/08
E22/G01 2.0000 09/01/08 09/01/08
45 4.2500 0.0000 0.0000
A 8.2500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
10065717 5.5000 520000.0000 100.0000
5.5000 520,000.00 ZZ
5.2500 2383.33 1
11.5000 2383.33 80
CHULA VISTA CA 91911 11.2500 07/25/05
0425002490 0.0000 09/01/05 00
0425002490 0.0000 08/01/35 0.0000
0 2.2500 08/01/08 08/01/08
E22/G01 2.0000 09/01/08 09/01/08
45 3.5000 0.0000 0.0000
A 7.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
10065787 6.1250 439200.0000 100.0000
6.1250 439,200.00 ZZ
5.8750 2241.75 2
12.1250 2241.75 80
SACRAMENTO CA 95831 11.8750 07/21/05
0424847069 0.0000 09/01/05 00
0424847069 0.0000 08/01/35 0.0000
0 2.2500 08/01/08 08/01/08
E22/G01 2.0000 09/01/08 09/01/08
45 4.1250 0.0000 0.0000
A 8.1250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
10065885 5.8750 136000.0000 100.0000
5.8750 136,000.00 ZZ
5.6250 665.83 1
11.8750 665.83 72
NEW ORLEANS LA 70115 11.6250 07/25/05
0424294650 0.0000 09/01/05 00
0424294650 0.0000 08/01/35 0.0000
0 2.2500 08/01/08 08/01/08
E22/G01 2.0000 09/01/08 09/01/08
45 3.8750 0.0000 0.0000
A 7.8750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
10068469 6.0000 234000.0000 100.0000
6.0000 234,000.00 ZZ
5.7500 1402.95 1
12.0000 1402.95 80
DENVER CO 80212 11.7500 07/28/05
0401133087 0.0000 09/01/05 00
0401133087 0.0000 08/01/35 0.0000
0 2.2500 08/01/08 08/01/08
E82/G01 2.0000 09/01/08 09/01/08
45 4.0000 0.0000 0.0000
A 8.0000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
10069027 6.0000 612000.0000 100.0000
6.0000 612,000.00 ZZ
5.7500 3060.00 1
12.0000 3060.00 80
IRVINE CA 92606 11.7500 07/20/05
0439785718 0.0000 09/01/05 00
2052758 0.0000 08/01/35 0.0000
0 2.2500 08/01/08 08/01/08
975/G01 2.0000 09/01/08 09/01/08
45 4.0000 0.0000 0.0000
A 8.0000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
10071797 5.8750 760000.0000 100.0000
5.8750 760,000.00 ZZ
5.6250 3720.83 1
11.8750 3720.83 65
MESA AZ 85213 11.6250 07/25/05
0439784042 2.2500 09/01/05 00
20981748 2.0000 08/01/35 0.0000
0 2.2500 08/01/08 08/01/08
L01/G01 2.0000 09/01/08 09/01/08
25 3.8750 0.0000 0.0000
A 7.8750 6 6
360 E 1.0000 1.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
3.6250 5 0
0.0000 03 00
O 0.0000
10073783 6.2500 96000.0000 100.0000
6.2500 96,000.00 ZZ
6.0000 500.00 1
12.2500 500.00 64
NEW CUYAMA CA 93254 12.0000 07/20/05
0439795170 2.7500 09/01/05 00
AT009555 2.5000 08/01/35 0.0000
0 2.7500 08/01/08 08/01/08
P59/G01 2.5000 09/01/08 09/01/08
45 4.2500 0.0000 0.0000
A 8.2500 12 12
360 1 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
3.5000 5 0
0.0000 05 00
O 0.0000
10076595 6.2500 120550.0000 100.0000
6.2500 120,550.00 T
6.0000 627.86 1
12.2500 627.86 95
INVERNESS FL 34453 12.0000 08/04/05
0425030020 0.0000 09/01/05 01
0425030020 0.0000 08/01/35 30.0000
0 2.2500 08/01/08 08/01/08
E22/G01 2.0000 09/01/08 09/01/08
45 4.2500 0.0000 0.0000
A 8.2500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
Total Number of Loans: 270
Total Original Balance: 101,459,165.00
Total Principal Balance: 100,468,235.59
Total Original P+I: 466,692.19
Total Current P+I: 467,125.07
EXHIBIT FOUR
MORTGAGE LOAN SCHEDULE FOR SUB-LOAN GROUP II-1
Non Fixed Rate Loan
Loan Number Orig Rate Original Bal Max Neg Amort
Curr Rate Principal Bal Loan Feature
Net Curr Original PI # of Units
Note Ceiling Current PI LTV
City State Zip Net Ceiling Note Date
Servicer Loan # Note Floor First Pay Date MI Co Code
Seller Loan # Net Floor Maturity Date MI Coverage
Investor Loan # Gross Margin 1st IntChgDate Nxt IntChgDate
S/S Code Net Margin 1st PmtChgDate Nxt PmtChgDate
Int Chg Prior Day 1st Yr Floor Pmt Cap Incr Pmt Cap Decr
Payment Type 1st Yr Ceil Int Chg Freq Mos Pmt Chg Freq Mos
Orig Term Adj Index Period Incr Period Decr
Note Life Incr Note Round Type Note Round Mth Note Round Fctr
Net Life Incr Net Round Type Net Round Mth Net Round Fctr
Note Life Decr Loan Purp Convert Code Convert Prd From
Net Life Decr Prop Type Convert Index Convert Prd To
Occup Code Convert Margin
9670136 5.8750 145600.0000 100.0000
5.8750 144,807.79 ZZ
5.6250 861.28 1
10.8750 861.28 80
BETHLEHEM PA 18017 10.6250 02/15/05
0003846419 0.0000 04/01/05 00
0003846419 0.0000 03/01/35 0.0000
0 2.7500 03/01/12 03/01/12
286/286 2.5000 04/01/12 04/01/12
45 2.7500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9670472 5.5000 158720.0000 100.0000
5.5000 158,720.00 ZZ
5.2500 727.47 1
10.5000 727.47 80
NORFOLK VA 23513 10.2500 02/16/05
0003829509 0.0000 04/01/05 00
0003829509 0.0000 03/01/35 0.0000
0 2.7500 03/01/12 03/01/12
286/286 2.5000 04/01/12 04/01/12
45 2.7500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9739282 5.5000 284781.0000 100.0000
5.5000 284,313.34 ZZ
5.2500 1305.25 1
10.5000 1303.82 80
SPARKS NV 89436 10.2500 03/01/05
0003216736 0.0000 05/01/05 00
0003216736 0.0000 04/01/35 0.0000
0 2.7500 04/01/12 04/01/12
286/286 2.5000 05/01/12 05/01/12
45 2.7500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9739292 5.3750 96000.0000 100.0000
5.3750 96,000.00 ZZ
5.1250 430.00 1
10.3750 430.00 38
OXON HILL MD 20745 10.1250 03/21/05
0003903522 0.0000 05/01/05 00
0003903522 0.0000 04/01/35 0.0000
0 2.7500 04/01/12 04/01/12
286/286 2.5000 05/01/12 05/01/12
45 2.7500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9739306 5.3750 62500.0000 100.0000
5.3750 62,500.00 ZZ
5.1250 279.95 1
10.3750 279.95 46
LENEXA KS 66215 10.1250 03/24/05
0003950519 0.0000 05/01/05 00
0003950519 0.0000 04/01/35 0.0000
0 2.7500 04/01/12 04/01/12
286/286 2.5000 05/01/12 05/01/12
45 2.7500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9739326 5.5000 224000.0000 100.0000
5.5000 223,012.50 ZZ
5.2500 1271.85 1
10.5000 1271.85 80
CINCINNATI OH 45208 10.2500 03/24/05
0003885848 0.0000 05/01/05 00
0003885848 0.0000 04/01/35 0.0000
0 2.7500 04/01/12 04/01/12
286/286 2.5000 05/01/12 05/01/12
45 2.7500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9739328 5.7500 300000.0000 100.0000
5.7500 300,000.00 ZZ
5.5000 1437.50 1
10.7500 1437.50 80
RICHMOND VA 23233 10.5000 03/22/05
0003892234 0.0000 05/01/05 00
0003892234 0.0000 04/01/35 0.0000
0 2.7500 04/01/12 04/01/12
286/286 2.5000 05/01/12 05/01/12
45 2.7500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9739330 5.5000 210400.0000 100.0000
5.5000 210,400.00 ZZ
5.2500 964.33 1
10.5000 964.33 80
ST PETERSBURG FL 33710 10.2500 03/22/05
0003898207 0.0000 05/01/05 00
0003898207 0.0000 04/01/35 0.0000
0 2.7500 04/01/12 04/01/12
286/286 2.5000 05/01/12 05/01/12
45 2.7500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9739382 5.6250 328000.0000 100.0000
5.6250 328,000.00 ZZ
5.3750 1537.50 1
10.6250 1537.50 80
FAIRFAX VA 22033 10.3750 03/23/05
0003944796 0.0000 05/01/05 00
0003944796 0.0000 04/01/35 0.0000
0 2.7500 04/01/12 04/01/12
286/286 2.5000 05/01/12 05/01/12
45 2.7500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9739388 5.8750 207200.0000 100.0000
5.8750 207,200.00 ZZ
5.6250 1014.42 1
10.8750 1014.42 80
ODENTON MD 21113 10.6250 03/28/05
0003950729 0.0000 05/01/05 00
0003950729 0.0000 04/01/35 0.0000
0 2.7500 04/01/12 04/01/12
286/286 2.5000 05/01/12 05/01/12
45 2.7500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 09 00
O 0.0000
9770584 5.1250 650000.0000 100.0000
5.1250 646,736.23 ZZ
4.8750 3539.17 1
11.1250 3539.17 65
CHAPEL HILL NC 27517 10.8750 03/30/05
0439264474 0.0000 05/01/05 00
1272355 0.0000 04/01/35 0.0000
0 2.5000 04/01/12 04/01/12
F28/G01 2.2500 05/01/12 05/01/12
45 2.5000 0.0000 0.0000
A 11.1250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9770598 5.3750 500000.0000 100.0000
5.3750 497,743.78 ZZ
5.1250 2799.86 1
11.3750 2799.86 53
STAMFORD CT 06903 11.1250 03/15/05
0439265331 0.0000 05/01/05 00
2870447 0.0000 04/01/35 0.0000
0 2.5000 04/01/12 04/01/12
F28/G01 2.2500 05/01/12 05/01/12
45 2.5000 0.0000 0.0000
A 11.3750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9770602 4.8750 440000.0000 100.0000
4.8750 437,822.70 ZZ
4.6250 2328.52 1
10.8750 2328.52 80
BRIARCLIFF MANO NY 10510 10.6250 03/21/05
0439263716 0.0000 05/01/05 00
2852983 0.0000 04/01/35 0.0000
0 2.5000 04/01/12 04/01/12
F28/G01 2.2500 05/01/12 05/01/12
45 2.5000 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9770604 5.3750 519200.0000 100.0000
5.3750 516,857.13 ZZ
5.1250 2907.38 1
11.3750 2907.38 80
ENGLEWOOD CO 80113 11.1250 03/23/05
0439262866 0.0000 05/01/05 00
2835640 0.0000 04/01/35 0.0000
0 2.5000 04/01/12 04/01/12
F28/G01 2.2500 05/01/12 05/01/12
45 2.5000 0.0000 0.0000
A 11.3750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9770608 5.2500 399223.0000 100.0000
5.2500 397,379.24 ZZ
5.0000 2204.52 1
11.2500 2204.52 78
WELCH MN 55089 11.0000 03/24/05
0439263732 0.0000 05/01/05 00
2917521 0.0000 04/01/35 0.0000
0 2.5000 04/01/12 04/01/12
F28/G01 2.2500 05/01/12 05/01/12
45 2.5000 0.0000 0.0000
A 11.2500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9770612 5.2500 633000.0000 100.0000
5.2500 630,076.59 ZZ
5.0000 3495.45 1
11.2500 3495.45 63
CALABASAS CA 91302 11.0000 03/23/05
0439263450 0.0000 05/01/05 00
2981980 0.0000 04/01/35 0.0000
0 2.5000 04/01/12 04/01/12
F28/G01 2.2500 05/01/12 05/01/12
45 2.5000 0.0000 0.0000
A 11.2500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9770628 5.1250 430000.0000 100.0000
5.1250 427,967.66 ZZ
4.8750 2341.30 1
11.1250 2341.30 60
IRVINE CA 92612 10.8750 03/01/05
0439264961 0.0000 05/01/05 00
3234890 0.0000 04/01/35 0.0000
0 2.5000 04/01/12 04/01/12
F28/G01 2.2500 05/01/12 05/01/12
45 2.5000 0.0000 0.0000
A 11.1250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9770630 5.2500 394381.0000 100.0000
5.2500 392,559.60 ZZ
5.0000 2177.79 1
11.2500 2177.79 49
SCOTTSDALE AZ 85255 11.0000 03/11/05
0439261892 0.0000 05/01/05 00
3227284 0.0000 04/01/35 0.0000
0 2.5000 04/01/12 04/01/12
F28/G01 2.2500 05/01/12 05/01/12
45 2.5000 0.0000 0.0000
A 11.2500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9770636 5.2500 400000.0000 100.0000
5.2500 397,685.74 ZZ
5.0000 2208.82 1
11.2500 2208.82 72
NORTHVILLE MI 48167 11.0000 02/24/05
0439264201 0.0000 04/01/05 00
3267437 0.0000 03/01/35 0.0000
0 2.5000 03/01/12 03/01/12
F28/G01 2.2500 04/01/12 04/01/12
45 2.5000 0.0000 0.0000
A 11.2500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9770640 5.5000 465000.0000 100.0000
5.5000 463,466.08 ZZ
5.2500 2640.22 1
11.5000 2640.22 57
GULF BREEZE FL 32561 11.2500 04/14/05
0439262908 0.0000 06/01/05 00
3381089 0.0000 05/01/35 0.0000
0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.5000 0.0000 0.0000
A 11.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9770642 5.2500 600000.0000 100.0000
5.2500 597,926.26 ZZ
5.0000 3313.23 1
11.2500 3313.23 75
PORTLAND OR 97231 11.0000 04/13/05
0439265653 0.0000 06/01/05 00
3529705 0.0000 05/01/35 0.0000
0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.2500 0.0000 0.0000
A 11.2500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9770644 5.5000 327091.0000 100.0000
5.5000 325,284.41 ZZ
5.2500 1857.19 1
11.5000 1857.19 80
CHICAGO IL 60661 11.2500 02/18/05
0439263930 0.0000 04/01/05 00
6625785 0.0000 03/01/35 0.0000
0 2.5000 03/01/12 03/01/12
F28/G01 2.2500 04/01/12 04/01/12
45 2.5000 0.0000 0.0000
A 11.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 06 00
O 0.0000
9779462 5.7500 716000.0000 100.0000
5.7500 716,000.00 ZZ
5.5000 3430.83 1
10.7500 3430.83 80
WASHINGTON DC 20016 10.5000 05/12/05
0439309105 0.0000 07/01/05 00
31105063 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
696/G01 2.0000 07/01/12 07/01/12
25 2.2500 0.0000 0.0000
A 10.7500 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9779466 5.6250 236000.0000 100.0000
5.6250 236,000.00 ZZ
5.3750 1106.25 1
10.6250 1106.25 80
WASHINGTON DC 20007 10.3750 05/10/05
0439326455 0.0000 07/01/05 00
31105077 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
696/G01 2.0000 07/01/12 07/01/12
25 2.2500 0.0000 0.0000
A 10.6250 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9783859 5.5000 255000.0000 100.0000
5.5000 254,711.54 ZZ
5.2500 1168.75 1
10.5000 1167.63 80
CLERMONT GA 30527 10.2500 01/12/05
0438893182 2.2500 03/01/05 00
26503201 2.0000 02/01/35 0.0000
0 2.2500 02/01/12 02/01/12
L21/G01 2.0000 03/01/12 03/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
3.2500 2 0
0.0000 05 00
O 0.0000
9785326 5.8750 648000.0000 100.0000
5.8750 648,000.00 ZZ
5.6250 3172.50 1
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FT LAUDERDALE FL 33301 10.6250 04/18/05
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0 2.2500 05/01/12 05/01/12
286/286 2.0000 06/01/12 06/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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6.1250 190,400.00 ZZ
5.8750 971.83 1
11.1250 971.83 80
GOODYEAR AZ 85338 10.8750 04/14/05
0003966477 0.0000 06/01/05 00
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0 2.2500 05/01/12 05/01/12
286/286 2.0000 06/01/12 06/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9785384 6.2500 715000.0000 100.0000
6.2500 714,955.10 ZZ
6.0000 3723.96 1
11.2500 3723.84 76
GREAT FALLS VA 22066 11.0000 04/18/05
0004007306 0.0000 06/01/05 00
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0 2.2500 05/01/12 05/01/12
286/286 2.0000 06/01/12 06/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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5.7500 392,000.00 ZZ
5.5000 1878.33 1
10.7500 1878.33 80
WASHINGTON DC 20011 10.5000 05/20/05
0439342791 0.0000 07/01/05 00
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0 2.2500 06/01/12 06/01/12
696/G01 2.0000 07/01/12 07/01/12
25 2.2500 0.0000 0.0000
A 10.7500 6 6
360 E 1.0000 1.0000
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5.7500 235,446.32 ZZ
5.5000 1128.44 1
10.7500 1128.18 78
FEDERAL WAY WA 98003 10.5000 05/09/05
0003379036 0.0000 07/01/05 00
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0 2.3750 06/01/12 06/01/12
286/286 2.1250 07/01/12 07/01/12
45 2.3750 0.0000 0.0000
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9789610 5.8750 207000.0000 100.0000
5.8750 207,000.00 ZZ
5.6250 1013.44 1
10.8750 1013.44 74
SPARKS NV 89436 10.6250 05/03/05
0003978344 0.0000 07/01/05 00
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0 2.7500 06/01/12 06/01/12
286/286 2.5000 07/01/12 07/01/12
45 2.7500 0.0000 0.0000
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0.0000 S N 0.1250
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9789612 5.8750 224000.0000 100.0000
5.8750 223,900.27 ZZ
5.6250 1096.67 1
10.8750 1096.18 80
FREDERICK MD 21702 10.6250 05/06/05
0004012550 0.0000 07/01/05 00
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0 2.7500 06/01/12 06/01/12
286/286 2.5000 07/01/12 07/01/12
45 2.7500 0.0000 0.0000
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0.0000 S N 0.1250
0.0000 5 0
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9789614 5.6250 204250.0000 100.0000
5.6250 203,720.80 ZZ
5.3750 1175.78 1
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WASHINGTON DC 20024 10.3750 05/04/05
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0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9789618 5.1250 191900.0000 100.0000
5.1250 191,448.42 ZZ
4.8750 1044.88 1
10.1250 1044.88 80
DENVER CO 80211 9.8750 05/11/05
0004027173 0.0000 07/01/05 00
0004027173 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
A 10.1250 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
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9789620 5.3750 248000.0000 100.0000
5.3750 247,442.96 ZZ
5.1250 1388.73 1
10.3750 1388.73 80
PEORIA IL 61615 10.1250 05/03/05
0004027935 0.0000 07/01/05 00
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0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
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9789622 6.0000 236000.0000 100.0000
6.0000 236,000.00 ZZ
5.7500 1180.00 1
11.0000 1180.00 80
GARDNERVILLE NV 89460 10.7500 05/05/05
0004030579 0.0000 07/01/05 00
0004030579 0.0000 06/01/35 0.0000
0 2.7500 06/01/12 06/01/12
286/286 2.5000 07/01/12 07/01/12
45 2.7500 0.0000 0.0000
A 11.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9789624 6.3750 188000.0000 100.0000
6.3750 188,000.00 ZZ
6.1250 998.75 1
11.3750 998.75 80
BALTIMORE MD 21220 11.1250 05/06/05
0004035429 0.0000 07/01/05 00
0004035429 0.0000 06/01/35 0.0000
0 2.7500 06/01/12 06/01/12
286/286 2.5000 07/01/12 07/01/12
45 2.7500 0.0000 0.0000
A 11.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9789630 5.8750 255000.0000 100.0000
5.8750 255,000.00 ZZ
5.6250 1248.44 1
10.8750 1248.44 55
SPRINGFIELD VA 22152 10.6250 05/06/05
0004042643 0.0000 07/01/05 00
0004042643 0.0000 06/01/35 0.0000
0 2.7500 06/01/12 06/01/12
286/286 2.5000 07/01/12 07/01/12
45 2.7500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9789634 5.7500 280000.0000 100.0000
5.7500 279,986.26 ZZ
5.5000 1341.67 1
10.7500 1341.60 74
COTTONWOOD CA 96022 10.5000 05/10/05
0004057983 0.0000 07/01/05 00
0004057983 0.0000 06/01/35 0.0000
0 2.7500 06/01/12 06/01/12
286/286 2.5000 07/01/12 07/01/12
45 2.7500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9789636 5.3750 292500.0000 100.0000
5.3750 292,500.00 ZZ
5.1250 1310.16 1
10.3750 1310.16 72
SPARKS NV 89436 10.1250 05/06/05
0004061916 0.0000 07/01/05 00
0004061916 0.0000 06/01/35 0.0000
0 2.7500 06/01/12 06/01/12
286/286 2.5000 07/01/12 07/01/12
45 2.7500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9789682 5.7500 230000.0000 100.0000
5.7500 230,000.00 ZZ
5.5000 1102.08 1
10.7500 1102.08 80
GREENBELT MD 20770 10.5000 05/12/05
0004073087 0.0000 07/01/05 00
0004073087 0.0000 06/01/35 0.0000
0 2.7500 06/01/12 06/01/12
286/286 2.5000 07/01/12 07/01/12
45 2.7500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 07 00
O 0.0000
9790854 5.7500 168400.0000 100.0000
5.7500 168,400.00 ZZ
5.5000 806.92 1
10.7500 806.92 80
LANSDALE PA 19446 10.5000 05/13/05
0003919846 0.0000 07/01/05 00
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0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 07 00
O 0.0000
9790856 5.3750 200000.0000 100.0000
5.3750 200,000.00 ZZ
5.1250 895.83 1
10.3750 895.83 32
BOULDER CO 80301 10.1250 04/20/05
0003924862 0.0000 06/01/05 00
0003924862 0.0000 05/01/35 0.0000
0 2.2500 05/01/12 05/01/12
286/286 2.0000 06/01/12 06/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9790860 5.0000 940000.0000 100.0000
5.0000 940,000.00 ZZ
4.7500 3916.67 1
10.0000 3916.67 80
SCOTTSDALE AZ 85255 9.7500 05/13/05
0003930140 0.0000 07/01/05 00
0003930140 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
A 10.0000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9790882 5.6250 476000.0000 100.0000
5.6250 474,979.85 ZZ
5.3750 2740.13 1
10.6250 2740.13 80
WASHINGTON DC 20003 10.3750 05/18/05
0004015111 0.0000 07/01/05 00
0004015111 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 07 00
O 0.0000
9790884 5.6250 356700.0000 100.0000
5.6250 356,700.00 ZZ
5.3750 1672.03 1
10.6250 1672.03 95
WASHINGTON DC 20009 10.3750 05/16/05
0004015795 0.0000 07/01/05 01
0004015795 0.0000 06/01/35 30.0000
0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 07 00
O 0.0000
9790886 5.3750 376000.0000 100.0000
5.3750 376,000.00 ZZ
5.1250 1684.17 1
10.3750 1684.17 79
WASHINGTON DC 20008 10.1250 05/12/05
0004016306 0.0000 07/01/05 00
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0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 09 00
O 0.0000
9790892 5.5000 130500.0000 100.0000
5.5000 130,500.00 ZZ
5.2500 598.13 1
10.5000 598.12 69
BELCAMP MD 21017 10.2500 05/11/05
0004025559 0.0000 07/01/05 00
0004025559 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9790916 5.1250 339000.0000 100.0000
5.1250 338,202.28 ZZ
4.8750 1845.82 1
10.1250 1845.82 46
OAK HILL VA 20171 9.8750 05/10/05
0004045195 0.0000 07/01/05 00
0004045195 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
A 10.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9790918 5.3750 285000.0000 100.0000
5.3750 284,900.56 ZZ
5.1250 1276.56 1
10.3750 1276.12 80
CHALFONT PA 18914 10.1250 05/10/05
0004045592 0.0000 07/01/05 00
0004045592 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9790932 5.5000 333000.0000 100.0000
5.5000 333,000.00 ZZ
5.2500 1526.25 1
10.5000 1526.25 77
FAIRFAX VA 22033 10.2500 05/09/05
0004049114 0.0000 07/01/05 00
0004049114 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 01 00
O 0.0000
9790936 5.7500 330000.0000 100.0000
5.7500 329,309.25 ZZ
5.5000 1925.80 1
10.7500 1925.80 79
BOULDER CO 80302 10.5000 05/09/05
0004051145 0.0000 07/01/05 00
0004051145 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9790942 5.0000 400000.0000 100.0000
5.0000 400,000.00 ZZ
4.7500 1666.67 1
10.0000 1666.67 69
MIDLOTHIAN VA 23113 9.7500 05/18/05
0004052951 0.0000 07/01/05 00
0004052951 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
A 10.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9790954 5.0000 359000.0000 100.0000
5.0000 358,135.49 ZZ
4.7500 1927.19 1
10.0000 1927.19 74
RESTON VA 20190 9.7500 05/12/05
0004057879 0.0000 07/01/05 00
0004057879 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
A 10.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 08 00
O 0.0000
9790956 5.6250 380000.0000 100.0000
5.6250 379,994.91 ZZ
5.3750 1781.25 1
10.6250 1781.24 66
ROCKVILLE MD 20850 10.3750 05/12/05
0004059349 0.0000 07/01/05 00
0004059349 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 09 00
O 0.0000
9790964 5.5000 279200.0000 100.0000
5.5000 279,200.00 ZZ
5.2500 1279.67 1
10.5000 1279.67 80
TUCSON AZ 85737 10.2500 05/11/05
0004069216 0.0000 07/01/05 00
0004069216 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9798770 5.6250 367200.0000 100.0000
5.6250 367,200.00 ZZ
5.3750 1721.25 1
10.6250 1721.25 80
WASHINGTON DC 20005 10.3750 06/01/05
0439360686 0.0000 07/01/05 00
25605160 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
696/G01 2.0000 07/01/12 07/01/12
25 2.2500 0.0000 0.0000
A 10.6250 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9823924 5.2500 506400.0000 100.0000
5.2500 506,400.00 ZZ
5.0000 2215.50 1
11.2500 2215.50 80
CYPRESS CA 90630 11.0000 04/26/05
0439452780 0.0000 06/01/05 00
2994114 0.0000 05/01/35 0.0000
0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.5000 0.0000 0.0000
A 11.2500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9823930 5.1250 999950.0000 100.0000
5.1250 999,950.00 ZZ
4.8750 4270.62 1
11.1250 4270.62 42
MEDINA WA 98039 10.8750 04/21/05
0439441338 0.0000 06/01/05 00
2723655 0.0000 05/01/35 0.0000
0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.2500 0.0000 0.0000
A 11.1250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9823950 5.6250 780000.0000 100.0000
5.6250 780,000.00 ZZ
5.3750 3656.25 1
11.6250 3656.25 80
ST LOUIS MO 63105 11.3750 04/19/05
0439453150 0.0000 06/01/05 00
2839519 0.0000 05/01/35 0.0000
0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.5000 0.0000 0.0000
A 11.6250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9823954 5.3750 435000.0000 100.0000
5.3750 435,000.00 ZZ
5.1250 1948.44 1
11.3750 1948.44 67
RANCHO SANTA MA CA 92688 11.1250 04/12/05
0439440991 0.0000 06/01/05 00
2960313 0.0000 05/01/35 0.0000
0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.5000 0.0000 0.0000
A 11.3750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9823956 5.2500 461000.0000 100.0000
5.2500 458,870.94 ZZ
5.0000 2545.66 1
11.2500 2545.66 80
STAMFORD CT 06902 11.0000 04/01/05
0439453408 0.0000 05/01/05 00
2939616 0.0000 04/01/35 0.0000
0 2.5000 04/01/12 04/01/12
F28/G01 2.2500 05/01/12 05/01/12
45 2.5000 0.0000 0.0000
A 11.2500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9823960 5.8750 600000.0000 100.0000
5.8750 600,000.00 ZZ
5.6250 2937.50 1
11.8750 2937.50 80
IRVINE CA 92606 11.6250 05/03/05
0439441940 0.0000 07/01/05 00
3150484 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
A 11.8750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9823968 5.2500 407900.0000 100.0000
5.2500 406,962.20 ZZ
5.0000 2252.44 1
11.2500 2252.44 80
PROVIDENCE RI 02906 11.0000 05/02/05
0439450818 0.0000 07/01/05 00
3033746 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
A 11.2500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9823972 5.3750 513000.0000 100.0000
5.3750 512,999.99 ZZ
5.1250 2297.81 1
11.3750 2297.81 45
GLENDALE CA 91207 11.1250 04/13/05
0439438755 0.0000 06/01/05 00
3040741 0.0000 05/01/35 0.0000
0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.5000 0.0000 0.0000
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360 L12 2.0000 2.0000
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9823980 5.6250 413800.0000 100.0000
5.6250 355,739.69 ZZ
5.3750 1939.69 1
11.6250 1666.25 75
SAN DIEGO CA 92101 11.3750 04/11/05
0439456161 0.0000 06/01/05 00
3037261 0.0000 05/01/35 0.0000
0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.5000 0.0000 0.0000
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360 L12 2.0000 2.0000
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9823986 5.5000 447920.0000 100.0000
5.5000 447,920.00 ZZ
5.2500 2052.97 1
11.5000 2052.97 80
MARIETTA GA 30062 11.2500 04/21/05
0439440801 0.0000 06/01/05 00
3349575 0.0000 05/01/35 0.0000
0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.5000 0.0000 0.0000
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360 L12 2.0000 2.0000
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9823994 4.8750 440200.0000 100.0000
4.8750 440,099.99 ZZ
4.6250 1788.32 1
10.8750 1787.90 69
LAS VEGAS NV 89138 10.6250 04/15/05
0439442930 0.0000 06/01/05 00
3361388 0.0000 05/01/35 0.0000
0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.5000 0.0000 0.0000
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9824002 5.3750 406000.0000 100.0000
5.3750 404,629.03 ZZ
5.1250 2273.49 1
11.3750 2273.49 70
SEATTLE WA 98115 11.1250 04/08/05
0439450842 0.0000 06/01/05 00
3211377 0.0000 05/01/35 0.0000
0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.5000 0.0000 0.0000
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360 L12 2.0000 2.0000
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9824004 5.6250 440000.0000 100.0000
5.6250 440,000.00 ZZ
5.3750 2062.50 1
11.6250 2062.50 80
WILMINGTON NC 28411 11.3750 04/28/05
0439436908 0.0000 06/01/05 00
3284240 0.0000 05/01/35 0.0000
0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.5000 0.0000 0.0000
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360 L12 2.0000 2.0000
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9824008 5.7500 484000.0000 100.0000
5.7500 484,000.00 ZZ
5.5000 2319.17 1
11.7500 2319.17 71
CHICAGO IL 60618 11.5000 04/25/05
0439452822 0.0000 06/01/05 00
3479909 0.0000 05/01/35 0.0000
0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.5000 0.0000 0.0000
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360 L12 2.0000 2.0000
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9824010 5.5000 541350.0000 100.0000
5.5000 541,350.00 ZZ
5.2500 2481.19 1
11.5000 2481.19 80
LAKE FOREST CA 92630 11.2500 04/26/05
0439453093 0.0000 06/01/05 00
3100131 0.0000 05/01/35 0.0000
0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.5000 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9824016 5.1250 874000.0000 100.0000
5.1250 874,000.00 ZZ
4.8750 3732.71 1
11.1250 3732.71 71
SEATTLE WA 98105 10.8750 04/29/05
0439450990 0.0000 06/01/05 00
3108252 0.0000 05/01/35 0.0000
0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.5000 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9824020 5.8750 571200.0000 100.0000
5.8750 571,196.50 ZZ
5.6250 2796.50 1
11.8750 2796.48 80
ANAHEIM CA 92807 11.6250 04/05/05
0439450826 0.0000 06/01/05 00
3321729 0.0000 05/01/35 0.0000
0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.5000 0.0000 0.0000
A 11.8750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
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9824022 5.7500 405000.0000 100.0000
5.7500 405,000.00 ZZ
5.5000 1940.63 1
11.7500 1940.63 65
NEW YORK NY 10023 11.5000 03/31/05
0439452434 0.0000 06/01/05 00
3299745 0.0000 05/01/35 0.0000
0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.5000 0.0000 0.0000
A 11.7500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
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9824026 5.6250 396000.0000 100.0000
5.6250 395,949.77 ZZ
5.3750 1856.25 1
11.6250 1856.01 80
CORAL GABLES FL 33134 11.3750 04/25/05
0439438524 0.0000 06/01/05 00
3317572 0.0000 05/01/35 0.0000
0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.5000 0.0000 0.0000
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360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
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9824032 5.2500 548000.0000 100.0000
5.2500 546,106.00 ZZ
5.0000 3026.08 1
11.2500 3026.08 80
SAN DIEGO CA 92101 11.0000 04/05/05
0439441502 0.0000 06/01/05 00
3117568 0.0000 05/01/35 0.0000
0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.5000 0.0000 0.0000
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360 L12 2.0000 2.0000
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9824034 5.6250 396800.0000 100.0000
5.6250 396,800.00 ZZ
5.3750 1860.00 1
11.6250 1860.00 80
FULLERTON CA 92833 11.3750 04/14/05
0439437880 0.0000 06/01/05 00
3503401 0.0000 05/01/35 0.0000
0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.5000 0.0000 0.0000
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360 L12 2.0000 2.0000
6.0000 S N 0.1250
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9824046 5.6250 668000.0000 100.0000
5.6250 668,000.00 ZZ
5.3750 3131.25 1
11.6250 3131.25 80
LAFAYETTE CA 94549 11.3750 04/15/05
0439441429 0.0000 06/01/05 00
3325583 0.0000 05/01/35 0.0000
0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.5000 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9824052 5.6250 464000.0000 100.0000
5.6250 462,504.86 ZZ
5.3750 2671.05 1
11.6250 2671.05 80
SAN JOSE CA 95126 11.3750 04/08/05
0439440561 0.0000 06/01/05 00
3382376 0.0000 05/01/35 0.0000
0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.5000 0.0000 0.0000
A 11.6250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9824054 5.7500 470400.0000 100.0000
5.7500 470,400.00 ZZ
5.5000 2254.00 1
11.7500 2254.00 80
PHOENIX AZ 85028 11.5000 05/06/05
0439452863 0.0000 07/01/05 00
3733834 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
A 11.7500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9824058 5.7500 850000.0000 100.0000
5.7500 850,000.00 ZZ
5.5000 4072.92 1
11.7500 4072.92 57
LAGUNA BEACH CA 92651 11.5000 05/06/05
0439455072 0.0000 07/01/05 00
3757405 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
A 11.7500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9824060 5.5000 560000.0000 100.0000
5.5000 560,000.00 ZZ
5.2500 2566.67 1
11.5000 2566.67 80
EVERGREEN CO 80439 11.2500 05/09/05
0439453242 0.0000 07/01/05 00
3643696 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
A 11.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
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9824066 5.5000 452150.0000 100.0000
5.5000 451,650.00 ZZ
5.2500 2072.35 1
11.5000 2072.35 79
ADAMSTOWN MD 21710 11.2500 05/03/05
0439440876 0.0000 07/01/05 00
4375488 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
A 11.5000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
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O 0.0000
9824070 5.7500 806250.0000 100.0000
5.7500 803,712.54 ZZ
5.5000 4705.06 1
11.7500 4705.06 75
SATELLITE BEACH FL 32937 11.5000 05/06/05
0439452467 0.0000 06/01/05 00
3524961 0.0000 05/01/35 0.0000
0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.5000 0.0000 0.0000
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360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9824080 5.5000 446000.0000 100.0000
5.5000 445,500.00 ZZ
5.2500 2044.17 1
11.5000 2041.86 70
THOUSAND OAKS CA 91362 11.2500 04/28/05
0439441163 0.0000 06/01/05 00
3418600 0.0000 05/01/35 0.0000
0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.5000 0.0000 0.0000
A 11.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9824094 6.1250 416000.0000 100.0000
6.1250 415,999.99 ZZ
5.8750 2123.34 1
12.1250 2123.33 78
SOUTH HERO VT 05486 11.8750 03/31/05
0439441890 0.0000 05/01/05 00
4460072 0.0000 04/01/35 0.0000
0 2.5000 04/01/12 04/01/12
F28/G01 2.2500 05/01/12 05/01/12
45 2.5000 0.0000 0.0000
A 12.1250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
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0.0000 05 00
O 0.0000
9824104 5.5000 975000.0000 100.0000
5.5000 975,000.00 ZZ
5.2500 4468.75 1
11.5000 4468.75 69
SAN FRANCISCO CA 94108 11.2500 05/04/05
0439455304 0.0000 07/01/05 00
3454159 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
A 11.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 08 00
O 0.0000
9824108 5.3750 416000.0000 100.0000
5.3750 415,916.35 ZZ
5.1250 1863.34 1
11.3750 1862.96 80
RICHMOND VA 23220 11.1250 04/27/05
0439441700 0.0000 06/01/05 00
3540635 0.0000 05/01/35 0.0000
0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.2500 0.0000 0.0000
A 11.3750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9824110 5.6250 514000.0000 100.0000
5.6250 514,000.00 ZZ
5.3750 2409.38 1
11.6250 2409.38 80
CULVER CITY CA 90230 11.3750 05/04/05
0439452111 0.0000 07/01/05 00
3561872 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
A 11.6250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 01 00
O 0.0000
9824116 5.7500 514400.0000 100.0000
5.7500 514,399.99 ZZ
5.5000 2464.84 1
11.7500 2464.83 78
WHITE PLAINS GA 30678 11.5000 04/25/05
0439451782 0.0000 06/01/05 00
3579066 0.0000 05/01/35 0.0000
0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.5000 0.0000 0.0000
A 11.7500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9824120 5.3750 475000.0000 100.0000
5.3750 475,000.00 ZZ
5.1250 2127.61 1
11.3750 2127.60 66
CUMMING GA 30040 11.1250 05/11/05
0439440397 0.0000 07/01/05 00
3613846 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
A 11.3750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9824124 5.6250 500000.0000 100.0000
5.6250 500,000.00 ZZ
5.3750 2343.75 1
11.6250 2343.75 80
CAMBRIDGE MA 02142 11.3750 05/16/05
0439447798 0.0000 07/01/05 00
3567392 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
A 11.6250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 08 00
O 0.0000
9824128 5.6250 491500.0000 100.0000
5.6250 491,500.00 ZZ
5.3750 2303.91 1
11.6250 2303.91 60
ENCINITAS CA 92024 11.3750 05/10/05
0439436981 0.0000 07/01/05 00
3599716 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
A 11.6250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 01 00
O 0.0000
9824130 5.5000 582000.0000 100.0000
5.5000 582,000.00 ZZ
5.2500 2667.50 1
11.5000 2667.50 80
MERCER ISLAND WA 98040 11.2500 04/25/05
0439438714 0.0000 06/01/05 00
3604308 0.0000 05/01/35 0.0000
0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.5000 0.0000 0.0000
A 11.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9824132 5.5000 450000.0000 100.0000
5.5000 450,000.00 ZZ
5.2500 2062.50 1
11.5000 2062.50 48
LOS ANGELES CA 91602 11.2500 05/04/05
0439451048 0.0000 07/01/05 00
3618690 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
A 11.5000 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9826020 5.7500 481000.0000 100.0000
5.7500 480,400.00 ZZ
5.5000 2304.79 1
10.7500 2303.35 57
VIENNA VA 22182 10.5000 05/25/05
0004045422 0.0000 07/01/05 00
0004045422 0.0000 06/01/35 0.0000
0 2.7500 06/01/12 06/01/12
286/286 2.5000 07/01/12 07/01/12
45 2.7500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9826022 5.7500 200800.0000 100.0000
5.7500 200,375.00 ZZ
5.5000 962.17 1
10.7500 960.12 80
RENO NV 89506 10.5000 05/25/05
0004058809 0.0000 07/01/05 00
0004058809 0.0000 06/01/35 0.0000
0 2.7500 06/01/12 06/01/12
286/286 2.5000 07/01/12 07/01/12
45 2.7500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9827008 5.7500 201950.0000 100.0000
5.7500 201,891.40 ZZ
5.5000 967.68 1
10.7500 967.54 80
MESA AZ 85207 10.5000 05/26/05
0003607742 0.0000 07/01/05 00
0003607742 0.0000 06/01/35 0.0000
0 2.7500 06/01/12 06/01/12
286/286 2.5000 07/01/12 07/01/12
45 2.7500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9827016 5.7500 364500.0000 100.0000
5.7500 364,453.87 ZZ
5.5000 1746.56 1
10.7500 1746.34 52
MODESTO CA 95356 10.5000 03/18/05
0003944175 0.0000 05/01/05 00
0003944175 0.0000 04/01/35 0.0000
0 2.7500 04/01/12 04/01/12
286/286 2.5000 05/01/12 05/01/12
45 2.7500 0.0000 0.0000
A 10.7500 6 6
360 9 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9827040 5.8750 271920.0000 100.0000
5.8750 271,920.00 ZZ
5.6250 1331.28 1
10.8750 1331.27 80
PLYMOUTH MEETIN PA 19462 10.6250 05/20/05
0004032758 0.0000 07/01/05 00
0004032758 0.0000 06/01/35 0.0000
0 2.7500 06/01/12 06/01/12
286/286 2.5000 07/01/12 07/01/12
45 2.7500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 07 00
O 0.0000
9827046 5.7500 296000.0000 100.0000
5.7500 296,000.00 ZZ
5.5000 1418.33 1
10.7500 1418.33 80
WASHINGTON DC 20011 10.5000 05/26/05
0004048388 0.0000 07/01/05 00
0004048388 0.0000 06/01/35 0.0000
0 2.7500 06/01/12 06/01/12
286/286 2.5000 07/01/12 07/01/12
45 2.7500 0.0000 0.0000
A 10.7500 6 6
360 9 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9827048 5.7500 395000.0000 100.0000
5.7500 395,000.00 ZZ
5.5000 1892.71 1
10.7500 1892.71 61
NAPERVILLE IL 60540 10.5000 05/25/05
0004052148 0.0000 07/01/05 00
0004052148 0.0000 06/01/35 0.0000
0 2.7500 06/01/12 06/01/12
286/286 2.5000 07/01/12 07/01/12
45 2.7500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9827058 5.6250 188000.0000 100.0000
5.6250 188,000.00 ZZ
5.3750 881.25 1
10.6250 881.25 80
SHAWNEE KS 66218 10.3750 05/27/05
0004058543 0.0000 07/01/05 00
0004058543 0.0000 06/01/35 0.0000
0 2.7500 06/01/12 06/01/12
286/286 2.5000 07/01/12 07/01/12
45 2.7500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9827062 5.7500 193600.0000 100.0000
5.7500 193,194.77 ZZ
5.5000 1129.80 1
10.7500 1129.80 80
RICHMOND VA 23223 10.5000 05/26/05
0004060594 0.0000 07/01/05 00
0004060594 0.0000 06/01/35 0.0000
0 2.7500 06/01/12 06/01/12
286/286 2.5000 07/01/12 07/01/12
45 2.7500 0.0000 0.0000
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360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
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9832260 5.1250 345000.0000 100.0000
5.1250 345,000.00 ZZ
4.8750 1473.44 1
10.1250 1473.44 67
ATLANTA GA 30342 9.8750 06/17/05
0439485780 0.0000 08/01/05 00
991377 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
X78/G01 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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0.0000 05 00
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9833398 5.5000 198650.0000 100.0000
5.5000 198,432.56 ZZ
5.2500 1127.92 1
10.5000 1127.92 80
GILBERT AZ 85297 10.2500 06/01/05
0003632735 0.0000 08/01/05 00
0003632735 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9833400 5.1250 348000.0000 100.0000
5.1250 347,591.43 ZZ
4.8750 1894.82 1
10.1250 1894.82 80
METUCHEN NJ 08840 9.8750 06/09/05
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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9833402 5.8750 200000.0000 100.0000
5.8750 199,979.17 ZZ
5.6250 979.17 1
10.8750 979.17 28
SAN MARCOS CA 92078 10.6250 06/01/05
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0 2.3750 07/01/12 07/01/12
286/286 2.1250 08/01/12 08/01/12
45 2.3750 0.0000 0.0000
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360 L12 2.0000 2.0000
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9833404 5.6250 252000.0000 100.0000
5.6250 252,000.00 ZZ
5.3750 1181.25 1
10.6250 1181.25 80
WASHOUGAL WA 98671 10.3750 06/01/05
0003906328 0.0000 08/01/05 00
0003906328 0.0000 07/01/35 0.0000
0 2.3750 07/01/12 07/01/12
286/286 2.1250 08/01/12 08/01/12
45 2.3750 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
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9833406 5.6250 213122.0000 100.0000
5.6250 212,894.15 ZZ
5.3750 1226.86 1
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MAGNOLIA DE 19962 10.3750 06/08/05
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0003948239 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
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9833408 6.1250 227500.0000 100.0000
6.1250 227,441.94 ZZ
5.8750 1161.20 1
11.1250 1161.20 51
PORT ORCHARD WA 98366 10.8750 05/27/05
0003981513 0.0000 07/01/05 00
0003981513 0.0000 06/01/35 0.0000
0 2.3750 06/01/12 06/01/12
286/286 2.1250 07/01/12 07/01/12
45 2.3750 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9833410 5.3750 346350.0000 100.0000
5.3750 345,572.04 ZZ
5.1250 1939.47 1
10.3750 1939.47 80
EVANSTON IL 60201 10.1250 05/27/05
0003989266 0.0000 07/01/05 00
0003989266 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 07 00
O 0.0000
9833412 5.8750 308544.0000 100.0000
5.8750 307,913.30 ZZ
5.6250 1825.16 1
10.8750 1825.16 80
HANOVER PARK IL 60133 10.6250 05/27/05
0004009528 0.0000 07/01/05 00
0004009528 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 09 00
O 0.0000
9833416 5.6250 143200.0000 100.0000
5.6250 143,200.00 ZZ
5.3750 671.25 1
10.6250 671.25 80
FREDERICKSBURG VA 22407 10.3750 05/27/05
0004044234 0.0000 07/01/05 00
0004044234 0.0000 06/01/35 0.0000
0 2.3750 06/01/12 06/01/12
286/286 2.1250 07/01/12 07/01/12
45 2.3750 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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O 0.0000
9833418 5.8750 200000.0000 100.0000
5.8750 200,000.00 ZZ
5.6250 979.17 1
10.8750 979.17 62
CINCINNATI OH 45245 10.6250 06/07/05
0004073668 0.0000 08/01/05 00
0004073668 0.0000 07/01/35 0.0000
0 2.7500 07/01/12 07/01/12
286/286 2.5000 08/01/12 08/01/12
45 2.7500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9833420 6.0000 223200.0000 100.0000
6.0000 223,200.00 ZZ
5.7500 1116.00 1
11.0000 1116.00 80
MIDLOTHIAN VA 23112 10.7500 06/08/05
0004079894 0.0000 08/01/05 00
0004079894 0.0000 07/01/35 0.0000
0 2.7500 07/01/12 07/01/12
286/286 2.5000 08/01/12 08/01/12
45 2.7500 0.0000 0.0000
A 11.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9833422 5.8750 194500.0000 100.0000
5.8750 194,077.84 ZZ
5.6250 1150.55 1
10.8750 1150.55 63
YORK PA 17402 10.6250 05/25/05
0004086102 0.0000 07/01/05 00
0004086102 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9833424 5.8750 124800.0000 100.0000
5.8750 124,672.76 ZZ
5.6250 738.24 1
10.8750 738.24 80
WENTZVILLE MO 63385 10.6250 06/06/05
0004101115 0.0000 08/01/05 00
0004101115 0.0000 07/01/35 0.0000
0 2.7500 07/01/12 07/01/12
286/286 2.5000 08/01/12 08/01/12
45 2.7500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9833426 5.7500 179000.0000 100.0000
5.7500 179,000.00 ZZ
5.5000 857.71 1
10.7500 857.71 68
ORLAND PARK IL 60462 10.5000 06/07/05
0004101125 0.0000 08/01/05 00
0004101125 0.0000 07/01/35 0.0000
0 2.3750 07/01/12 07/01/12
286/286 2.1250 08/01/12 08/01/12
45 2.3750 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9833428 5.8750 272000.0000 100.0000
5.8750 272,000.00 ZZ
5.6250 1331.67 1
10.8750 1331.67 74
XXXXXXX ESTATE IL 60194 10.6250 06/08/05
0004142455 0.0000 08/01/05 00
0004142455 0.0000 07/01/35 0.0000
0 2.7500 07/01/12 07/01/12
286/286 2.5000 08/01/12 08/01/12
45 2.7500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9841082 5.5000 216000.0000 100.0000
5.5000 215,948.07 ZZ
5.2500 990.00 1
10.5000 990.00 77
ALEXANDRIA VA 22314 10.2500 06/17/05
0001775828 0.0000 08/01/05 00
0001775828 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 01 00
O 0.0000
9841086 5.3750 332300.0000 100.0000
5.3750 332,300.00 ZZ
5.1250 1488.43 1
10.3750 1488.43 77
NORFOLK VA 23508 10.1250 06/20/05
0003379569 0.0000 08/01/05 00
0003379569 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9841088 5.3750 540800.0000 100.0000
5.3750 540,800.00 ZZ
5.1250 2422.33 1
10.3750 2422.33 80
NORFOLK VA 23509 10.1250 06/20/05
0003379579 0.0000 08/01/05 00
0003379579 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9841090 5.6250 650000.0000 100.0000
5.6250 650,000.00 ZZ
5.3750 3046.88 1
10.6250 3046.88 65
HIGHLAND PARK IL 60035 10.3750 05/27/05
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0003386375 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9841092 5.7500 520000.0000 100.0000
5.7500 520,000.00 ZZ
5.5000 2491.67 1
10.7500 2491.67 80
DALLAS TX 75254 10.5000 05/23/05
0003823378 0.0000 07/01/05 00
0003823378 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9841094 5.6250 349200.0000 100.0000
5.6250 348,766.37 ZZ
5.3750 2010.20 1
10.6250 2010.20 80
WAKEFIELD MA 01880 10.3750 06/20/05
0003919819 0.0000 08/01/05 00
0003919819 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9841098 5.3750 316000.0000 100.0000
5.3750 315,900.00 ZZ
5.1250 1415.42 1
10.3750 1415.42 80
XXXXXXX TOWN WV 25414 10.1250 06/13/05
0004011900 0.0000 08/01/05 00
0004011900 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 07 00
O 0.0000
9841100 5.3750 413600.0000 100.0000
5.3750 413,136.52 ZZ
5.1250 2316.05 1
10.3750 2316.05 80
PEORIA IL 61615 10.1250 06/14/05
0004016132 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9841102 5.3750 412000.0000 100.0000
5.3750 412,000.00 T
5.1250 1845.42 1
10.3750 1845.42 80
CLEARWATER FL 33767 10.1250 06/15/05
0004018163 0.0000 08/01/05 00
0004018163 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9841104 5.3750 524000.0000 100.0000
5.3750 524,000.00 ZZ
5.1250 2347.08 1
10.3750 2347.08 80
SOUTH RIDING VA 20152 10.1250 06/16/05
0004025069 0.0000 08/01/05 00
0004025069 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
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O 0.0000
9841106 5.5000 204800.0000 100.0000
5.5000 204,800.00 ZZ
5.2500 938.67 1
10.5000 938.67 80
BILLERICA MA 01821 10.2500 06/10/05
0004030038 0.0000 08/01/05 00
0004030038 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9841108 5.6250 793000.0000 100.0000
5.6250 793,000.00 ZZ
5.3750 3717.19 1
10.6250 3717.19 50
GREAT FALLS VA 22066 10.3750 06/13/05
0004030294 0.0000 08/01/05 00
0004030294 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
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9841110 5.5000 425600.0000 100.0000
5.5000 425,600.00 ZZ
5.2500 1950.67 1
10.5000 1950.67 80
GERMANTOWN MD 20874 10.2500 06/14/05
0004031923 0.0000 08/01/05 00
0004031923 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9841112 5.6250 361000.0000 100.0000
5.6250 361,000.00 ZZ
5.3750 1692.19 1
10.6250 1692.19 61
GUNNISON CO 81230 10.3750 06/13/05
0004045269 0.0000 08/01/05 00
0004045269 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9841114 5.5000 510000.0000 100.0000
5.5000 509,700.00 ZZ
5.2500 2337.50 1
10.5000 2337.50 69
CLIFTON VA 20124 10.2500 06/21/05
0004045332 0.0000 08/01/05 00
0004045332 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
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9841116 5.6250 205000.0000 100.0000
5.6250 205,000.00 ZZ
5.3750 960.94 1
10.6250 960.94 59
ODENTON MD 21113 10.3750 06/10/05
0004045530 0.0000 08/01/05 00
0004045530 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
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9841118 5.8750 202400.0000 100.0000
5.8750 201,800.00 ZZ
5.6250 990.92 1
10.8750 990.92 80
OCOEE FL 34761 10.6250 05/06/05
0004045946 0.0000 07/01/05 00
0004045946 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9841120 5.5000 700000.0000 100.0000
5.5000 700,000.00 T
5.2500 3208.33 1
10.5000 3208.33 43
SCOTTSDALE AZ 85262 10.2500 06/03/05
0004048036 0.0000 08/01/05 00
0004048036 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9841122 5.5000 316000.0000 100.0000
5.5000 316,000.00 ZZ
5.2500 1448.33 1
10.5000 1448.33 80
THURMONT MD 21788 10.2500 06/15/05
0004054444 0.0000 08/01/05 00
0004054444 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9841124 5.3750 572000.0000 100.0000
5.3750 572,000.00 ZZ
5.1250 2562.08 1
10.3750 2562.08 80
ANN ARBOR MI 48103 10.1250 06/17/05
0004054763 0.0000 08/01/05 00
0004054763 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9841126 5.5000 428000.0000 100.0000
5.5000 428,000.00 ZZ
5.2500 1961.67 1
10.5000 1961.67 80
WOODBRIDGE VA 22192 10.2500 05/25/05
0004056134 0.0000 07/01/05 00
0004056134 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9841128 5.5000 372000.0000 100.0000
5.5000 372,000.00 ZZ
5.2500 1705.00 1
10.5000 1705.00 80
BAINBRIDGE WA 98110 10.2500 06/09/05
0004061905 0.0000 08/01/05 00
0004061905 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9841130 5.3750 617200.0000 100.0000
5.3750 617,200.00 ZZ
5.1250 2764.54 1
10.3750 2764.54 80
ATLANTA GA 30306 10.1250 06/17/05
0004063608 0.0000 08/01/05 00
0004063608 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9841132 5.6250 424000.0000 100.0000
5.6250 424,000.00 ZZ
5.3750 1987.50 1
10.6250 1987.50 80
FAIRFAX VA 22030 10.3750 06/09/05
0004064569 0.0000 08/01/05 00
0004064569 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9841134 5.5000 425000.0000 100.0000
5.5000 425,000.00 ZZ
5.2500 1947.92 1
10.5000 1947.92 73
PHOENIX AZ 85044 10.2500 06/13/05
0004064863 0.0000 08/01/05 00
0004064863 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9841136 5.7500 440000.0000 100.0000
5.7500 439,079.00 ZZ
5.5000 2567.72 1
10.7500 2567.72 77
WARSON XXXXX MO 63122 10.5000 05/23/05
0004070000 0.0000 07/01/05 00
0004070000 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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0.0000 05 00
O 0.0000
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5.3750 400,000.00 ZZ
5.1250 1791.67 1
10.3750 1791.67 80
STERLING VA 20165 10.1250 06/13/05
0004071026 0.0000 08/01/05 00
0004071026 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9841142 5.6250 305000.0000 100.0000
5.6250 305,000.00 ZZ
5.3750 1429.69 1
10.6250 1429.69 78
KELLER TX 76248 10.3750 05/16/05
0004072136 0.0000 07/01/05 00
0004072136 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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9841144 5.2500 452800.0000 100.0000
5.2500 452,280.62 ZZ
5.0000 2500.38 1
10.2500 2500.38 80
ALEXANDRIA VA 22315 10.0000 06/10/05
0004073128 0.0000 08/01/05 00
0004073128 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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O 0.0000
9841148 5.6250 347120.0000 100.0000
5.6250 347,120.00 T
5.3750 1627.13 1
10.6250 1627.13 80
ALEXANDRIA VA 22302 10.3750 06/13/05
0004079048 0.0000 08/01/05 00
0004079048 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9841150 5.2500 450000.0000 100.0000
5.2500 450,000.00 ZZ
5.0000 1968.75 1
10.2500 1968.75 38
BETHESDA MD 20814 10.0000 06/13/05
0004079658 0.0000 08/01/05 00
0004079658 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9841152 5.8750 144000.0000 100.0000
5.8750 144,000.00 T
5.6250 705.00 1
10.8750 705.00 80
PHOENIX AZ 85028 10.6250 06/14/05
0004079907 0.0000 08/01/05 00
0004079907 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9841154 5.8750 520000.0000 100.0000
5.8750 520,000.00 ZZ
5.6250 2545.83 1
10.8750 2545.83 62
CULVER CITY CA 90232 10.6250 05/23/05
0004080219 0.0000 07/01/05 00
0004080219 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9841156 5.3750 938500.0000 100.0000
5.3750 938,500.00 ZZ
5.1250 4203.70 1
10.3750 4203.70 73
ARGYLE TX 76226 10.1250 05/31/05
0004080374 0.0000 08/01/05 00
0004080374 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9841158 5.6250 345000.0000 100.0000
5.6250 345,000.00 ZZ
5.3750 1617.19 1
10.6250 1617.19 72
LA QUINTA CA 92253 10.3750 06/12/05
0004080611 0.0000 08/01/05 00
0004080611 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9841160 5.1250 466400.0000 100.0000
5.1250 466,400.00 ZZ
4.8750 1991.92 1
10.1250 1991.92 80
ATLANTA GA 30338 9.8750 06/10/05
0004080612 0.0000 08/01/05 00
0004080612 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9841162 5.6250 250000.0000 100.0000
5.6250 250,000.00 ZZ
5.3750 1171.88 1
10.6250 1171.88 14
ASPEN CO 81611 10.3750 05/27/05
0004080665 0.0000 08/01/05 00
0004080665 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9841164 5.5000 544000.0000 100.0000
5.5000 544,000.00 ZZ
5.2500 2493.33 1
10.5000 2493.33 80
HACIENDA HEIGHT CA 91745 10.2500 06/13/05
0004082048 0.0000 08/01/05 00
0004082048 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9841168 5.1250 258400.0000 100.0000
5.1250 258,400.00 ZZ
4.8750 1103.58 1
10.1250 1103.58 80
DENVER CO 80224 9.8750 05/27/05
0004083617 0.0000 07/01/05 00
0004083617 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
A 10.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9841170 5.5000 870000.0000 100.0000
5.5000 870,000.00 ZZ
5.2500 3987.50 1
10.5000 3987.50 69
DUBLIN CA 94568 10.2500 06/10/05
0004084108 0.0000 08/01/05 00
0004084108 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9841172 5.0000 558500.0000 100.0000
5.0000 558,500.00 ZZ
4.7500 2327.08 1
10.0000 2327.08 70
FALLS CHURCH VA 22042 9.7500 06/16/05
0004084168 0.0000 08/01/05 00
0004084168 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 07 00
O 0.0000
9841174 5.8750 277455.0000 100.0000
5.8750 277,455.00 T
5.6250 1358.37 1
10.8750 1358.37 80
XXXXXX WA 98940 10.6250 05/23/05
0004084790 0.0000 07/01/05 00
0004084790 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9841176 6.0000 645000.0000 100.0000
6.0000 645,000.00 ZZ
5.7500 3225.00 1
11.0000 3225.00 68
STOCKTON CA 95219 10.7500 06/06/05
0004086585 0.0000 08/01/05 00
0004086585 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 11.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9841182 5.3750 132800.0000 100.0000
5.3750 132,570.26 ZZ
5.1250 594.83 1
10.3750 594.83 80
LOCKPORT IL 60441 10.1250 06/10/05
0004089553 0.0000 08/01/05 00
0004089553 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9841184 5.6250 452000.0000 100.0000
5.6250 451,948.73 ZZ
5.3750 2118.75 1
10.6250 2118.75 80
BEL AIR MD 21015 10.3750 06/10/05
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0004091086 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9841186 5.8750 393000.0000 100.0000
5.8750 393,000.00 ZZ
5.6250 1924.06 1
10.8750 1924.06 60
POTOMAC MD 20854 10.6250 06/10/05
0004091628 0.0000 08/01/05 00
0004091628 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 07 00
O 0.0000
9841188 5.8750 245500.0000 100.0000
5.8750 245,500.00 ZZ
5.6250 1201.93 1
10.8750 1201.93 64
NORWALK CA 90650 10.6250 06/07/05
0004091718 0.0000 08/01/05 00
0004091718 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9841190 5.5000 281600.0000 100.0000
5.5000 281,600.00 ZZ
5.2500 1290.67 1
10.5000 1290.67 75
XXXXXX XXXXXXXX MD 20678 10.2500 06/09/05
0004092661 0.0000 08/01/05 00
0004092661 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9841192 5.3750 200000.0000 100.0000
5.3750 199,800.00 ZZ
5.1250 895.83 1
10.3750 895.83 80
HIGHLANDS RANCH CO 80129 10.1250 05/31/05
0004093676 0.0000 08/01/05 00
0004093676 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9841196 6.2500 124000.0000 100.0000
6.2500 124,000.00 ZZ
6.0000 645.83 1
11.2500 645.83 80
CHANDLER AZ 85225 11.0000 06/09/05
0004095284 0.0000 08/01/05 00
0004095284 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 11.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9841198 5.5000 481500.0000 100.0000
5.5000 480,972.96 ZZ
5.2500 2733.91 1
10.5000 2733.91 78
WOODBRIDGE VA 22191 10.2500 06/15/05
0004096589 0.0000 08/01/05 00
0004096589 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9841200 5.8750 412000.0000 100.0000
5.8750 412,000.00 ZZ
5.6250 2017.08 1
10.8750 2017.08 79
TRACY CA 95377 10.6250 06/09/05
0004096909 0.0000 08/01/05 00
0004096909 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9841202 5.3750 736850.0000 100.0000
5.3750 736,850.00 ZZ
5.1250 3300.47 1
10.3750 3300.47 75
HUNTINGTON BEAC CA 92648 10.1250 06/13/05
0004097247 0.0000 08/01/05 00
0004097247 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9841204 5.2500 308000.0000 100.0000
5.2500 308,000.00 ZZ
5.0000 1347.50 1
10.2500 1347.50 69
KENSINGTON MD 20895 10.0000 06/15/05
0004097626 0.0000 08/01/05 00
0004097626 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9841206 5.2500 545000.0000 100.0000
5.2500 544,760.21 ZZ
5.0000 2384.38 1
10.2500 2384.38 64
POTOMAC MD 20854 10.0000 06/20/05
0004097885 0.0000 08/01/05 00
0004097885 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9841208 5.5000 612000.0000 100.0000
5.5000 612,000.00 ZZ
5.2500 2805.00 1
10.5000 2805.00 80
FAIRFAX VA 22031 10.2500 06/13/05
0004100917 0.0000 08/01/05 00
0004100917 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9841210 5.2500 280000.0000 100.0000
5.2500 280,000.00 ZZ
5.0000 1225.00 1
10.2500 1225.00 80
RESTON VA 20191 10.0000 06/10/05
0004100973 0.0000 08/01/05 00
0004100973 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9841212 5.5000 180000.0000 100.0000
5.5000 180,000.00 ZZ
5.2500 825.00 1
10.5000 825.00 80
VIRGINIA BEACH VA 23452 10.2500 06/20/05
0004101084 0.0000 08/01/05 00
0004101084 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9841214 5.6250 240000.0000 100.0000
5.6250 240,000.00 ZZ
5.3750 1125.00 1
10.6250 1125.00 51
WASHINGTON DC 20011 10.3750 06/13/05
0004101592 0.0000 08/01/05 00
0004101592 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 07 00
O 0.0000
9841216 5.7500 300000.0000 100.0000
5.7500 299,999.15 ZZ
5.5000 1437.50 1
10.7500 1437.50 80
MANASSAS VA 20109 10.5000 06/15/05
0004101697 0.0000 08/01/05 00
0004101697 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9841218 5.3750 610000.0000 100.0000
5.3750 610,000.00 ZZ
5.1250 2732.29 1
10.3750 2732.29 61
DAYTON OH 45419 10.1250 06/16/05
0004101726 0.0000 08/01/05 00
0004101726 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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5.5000 464,600.00 ZZ
5.2500 2131.25 1
10.5000 2131.25 69
VALLEJO CA 94591 10.2500 06/08/05
0004102138 0.0000 08/01/05 00
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286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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9841374 5.5000 240000.0000 100.0000
5.5000 239,885.83 ZZ
5.2500 1100.00 1
10.5000 1100.00 75
KAMUELA HI 96743 10.2500 06/06/05
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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9841380 5.5000 372000.0000 100.0000
5.5000 372,000.00 ZZ
5.2500 1705.00 1
10.5000 1705.00 80
SAN ANTONIO TX 78258 10.2500 06/10/05
0004104822 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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5.8750 430,000.00 ZZ
5.6250 2105.21 1
10.8750 2105.21 59
DUNWOODY GA 30338 10.6250 06/09/05
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0 2.2500 07/01/12 07/01/12
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45 2.2500 0.0000 0.0000
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5.3750 548,000.00 ZZ
5.1250 2454.58 1
10.3750 2454.58 80
HIGHLAND MD 20777 10.1250 06/16/05
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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9841390 5.5000 456200.0000 100.0000
5.5000 455,973.19 ZZ
5.2500 2090.92 1
10.5000 2090.92 80
ARLINGTON VA 22203 10.2500 06/20/05
0004106913 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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9841392 5.5000 306000.0000 100.0000
5.5000 306,000.00 ZZ
5.2500 1402.50 1
10.5000 1402.50 80
LOUISVILLE CO 80027 10.2500 06/09/05
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0 2.2500 07/01/12 07/01/12
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45 2.2500 0.0000 0.0000
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9841394 6.0000 825000.0000 100.0000
6.0000 825,000.00 ZZ
5.7500 4125.00 1
11.0000 4125.00 65
FREMONT CA 94539 10.7500 06/08/05
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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9841396 5.6250 279500.0000 100.0000
5.6250 279,500.00 T
5.3750 1310.16 1
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FOUNTAIN HILLS AZ 85268 10.3750 06/20/05
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9841398 5.3750 360000.0000 100.0000
5.3750 360,000.00 ZZ
5.1250 1612.50 1
10.3750 1612.50 80
SPRINGFIELD VA 22152 10.1250 06/21/05
0004110093 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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9841400 5.5000 208000.0000 100.0000
5.5000 207,654.96 ZZ
5.2500 953.33 1
10.5000 953.33 57
WEYMOUTH MA 02189 10.2500 06/16/05
0004110345 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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9841402 5.6250 403250.0000 100.0000
5.6250 403,250.00 ZZ
5.3750 1890.23 1
10.6250 1890.23 80
MANASSAS VA 20112 10.3750 06/09/05
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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9841404 5.7500 218000.0000 100.0000
5.7500 218,000.00 ZZ
5.5000 1044.58 1
10.7500 1044.58 57
SPRINGFIELD VA 22152 10.5000 06/10/05
0004112575 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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9841406 5.8750 369000.0000 100.0000
5.8750 369,000.00 ZZ
5.6250 1806.56 1
10.8750 1806.56 77
FRONT ROYAL VA 22630 10.6250 06/16/05
0004113530 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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9841412 5.3750 750000.0000 100.0000
5.3750 749,996.96 ZZ
5.1250 3359.38 1
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BETHESDA MD 20817 10.1250 06/13/05
0004116941 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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9841414 6.1250 740000.0000 100.0000
6.1250 740,000.00 ZZ
5.8750 3777.08 1
11.1250 3777.08 74
SAN JOSE CA 95135 10.8750 06/08/05
0004117720 0.0000 08/01/05 00
0004117720 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 11.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
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9841416 5.8750 330000.0000 100.0000
5.8750 330,000.00 ZZ
5.6250 1615.63 1
10.8750 1615.63 78
TEMECULA CA 92592 10.6250 06/07/05
0004117764 0.0000 08/01/05 00
0004117764 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
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9841418 5.1250 504800.0000 100.0000
5.1250 504,207.34 ZZ
4.8750 2748.58 1
10.1250 2748.58 80
KENSINGTON MD 20895 9.8750 06/16/05
0004118566 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.1250 12 12
360 L12 2.0000 2.0000
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O 0.0000
9841422 5.5000 356800.0000 100.0000
5.5000 356,409.45 ZZ
5.2500 2025.88 1
10.5000 2025.88 80
AUSTIN TX 78759 10.2500 06/15/05
0004121224 0.0000 08/01/05 00
0004121224 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
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O 0.0000
9841424 5.1250 194400.0000 100.0000
5.1250 194,400.00 ZZ
4.8750 830.25 1
10.1250 830.25 80
PALM HARBOR FL 34683 9.8750 06/09/05
0004121245 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.1250 12 12
360 L12 2.0000 2.0000
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O 0.0000
9841426 5.2500 422500.0000 100.0000
5.2500 422,015.37 ZZ
5.0000 2333.07 1
10.2500 2333.07 63
SAN JOSE CA 95123 10.0000 06/07/05
0004121322 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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O 0.0000
9841428 5.6250 425000.0000 100.0000
5.6250 424,891.54 ZZ
5.3750 1992.19 1
10.6250 1992.19 73
CENTREVILLE VA 20120 10.3750 06/10/05
0004121961 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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9841430 5.5000 94000.0000 100.0000
5.5000 94,000.00 ZZ
5.2500 430.83 1
10.5000 430.83 68
AURORA OH 44202 10.2500 06/15/05
0004122645 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
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0.0000 1 0
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O 0.0000
9841432 5.8750 217600.0000 100.0000
5.8750 217,599.88 ZZ
5.6250 1065.33 1
10.8750 1065.33 80
HAYMARKET VA 20169 10.6250 06/16/05
0004123655 0.0000 08/01/05 00
0004123655 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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O 0.0000
9841434 6.5000 445000.0000 100.0000
6.5000 445,000.00 ZZ
6.2500 2410.42 1
11.5000 2410.42 80
SCOTTSDALE AZ 85254 11.2500 06/07/05
0004123972 0.0000 08/01/05 00
0004123972 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 11.5000 12 12
360 L12 2.0000 2.0000
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O 0.0000
9841436 5.6250 650000.0000 100.0000
5.6250 650,000.00 ZZ
5.3750 3046.88 1
10.6250 3046.88 80
REDWOOD CITY CA 94065 10.3750 06/13/05
0004124041 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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9841438 5.2500 372500.0000 100.0000
5.2500 372,500.00 ZZ
5.0000 1629.69 1
10.2500 1629.69 66
SAN DIEGO CA 92107 10.0000 06/07/05
0004124048 0.0000 08/01/05 00
0004124048 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
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O 0.0000
9841440 5.8750 550000.0000 100.0000
5.8750 550,000.00 ZZ
5.6250 2692.71 1
10.8750 2692.71 69
ANAHEIM CA 92807 10.6250 06/14/05
0004124100 0.0000 08/01/05 00
0004124100 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
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9841442 5.3750 239920.0000 100.0000
5.3750 239,920.00 ZZ
5.1250 1074.64 1
10.3750 1074.64 80
FREDERICKSBURG VA 22408 10.1250 06/16/05
0004124204 0.0000 08/01/05 00
0004124204 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
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9841444 5.7500 285600.0000 100.0000
5.7500 285,600.00 ZZ
5.5000 1368.50 1
10.7500 1368.50 80
WASHINGTON DC 20011 10.5000 06/13/05
0004124945 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 07 00
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9841446 5.5000 128800.0000 100.0000
5.5000 128,763.54 ZZ
5.2500 590.33 1
10.5000 590.33 80
FAIRWAY KS 66205 10.2500 06/10/05
0004128050 0.0000 08/01/05 00
0004128050 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
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O 0.0000
9841448 5.5000 650000.0000 100.0000
5.5000 650,000.00 ZZ
5.2500 2979.17 1
10.5000 2979.17 75
ANAHEIM CA 92808 10.2500 06/10/05
0004129636 0.0000 08/01/05 00
0004129636 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9841450 5.8750 672000.0000 100.0000
5.8750 672,000.00 ZZ
5.6250 3290.00 1
10.8750 3290.00 69
SAN JOSE CA 95138 10.6250 06/10/05
0004130499 0.0000 08/01/05 00
0004130499 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 01 00
O 0.0000
9841452 5.6250 400000.0000 100.0000
5.6250 400,000.00 ZZ
5.3750 1875.00 1
10.6250 1875.00 58
SAN JOSE CA 95148 10.3750 06/09/05
0004130561 0.0000 08/01/05 00
0004130561 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9841454 5.2500 400000.0000 100.0000
5.2500 400,000.00 ZZ
5.0000 1750.00 1
10.2500 1750.00 54
ARLINGTON VA 22201 10.0000 06/17/05
0004130849 0.0000 08/01/05 00
0004130849 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9841456 5.7500 281750.0000 100.0000
5.7500 281,749.35 ZZ
5.5000 1350.05 1
10.7500 1350.05 72
BRISTOW VA 20136 10.5000 06/15/05
0004132103 0.0000 08/01/05 00
0004132103 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 09 00
O 0.0000
9841458 5.3750 440000.0000 100.0000
5.3750 440,000.00 T
5.1250 1970.83 1
10.3750 1970.83 56
APTOS CA 95003 10.1250 06/14/05
0004132628 0.0000 08/01/05 00
0004132628 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9841460 5.7500 240000.0000 100.0000
5.7500 240,000.00 ZZ
5.5000 1150.00 1
10.7500 1150.00 67
EUREKA CA 95503 10.5000 06/15/05
0004133516 0.0000 08/01/05 00
0004133516 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9841462 5.2500 664000.0000 100.0000
5.2500 664,000.00 ZZ
5.0000 2905.00 1
10.2500 2905.00 56
ASHBURN VA 20147 10.0000 06/16/05
0004134287 0.0000 08/01/05 00
0004134287 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9841466 5.6250 575000.0000 100.0000
5.6250 574,967.78 ZZ
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LEESBURG VA 20175 10.3750 06/16/05
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SAN BRUNO CA 94066 10.6250 06/08/05
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LEESBURG VA 20176 10.3750 06/16/05
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5.5000 1931.04 1
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CENTREVILLE VA 20120 10.5000 06/17/05
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LADERA RANCH CA 92694 10.0000 06/09/05
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WESTMINSTER CA 92683 10.7500 06/08/05
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5.8750 2516.35 1
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SAN FRANCISCO CA 94122 10.8750 06/09/05
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LAS VEGAS NV 89121 10.3750 06/13/05
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5.6250 1139.36 1
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WOODBRIDGE VA 22193 10.6250 06/15/05
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5.0000 1948.18 1
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ASHBURN VA 20147 10.0000 06/20/05
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286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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5.3750 3984.38 1
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LIVERMORE CA 94550 10.3750 06/10/05
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5.3750 650,000.00 ZZ
5.1250 2911.46 1
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ALEXANDRIA VA 22301 10.1250 06/17/05
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286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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5.7500 394,000.00 ZZ
5.5000 1892.71 1
10.7500 1892.71 74
STERLING VA 20166 10.5000 06/17/05
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286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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5.2500 1393.33 1
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ALEXANDRIA VA 22303 10.2500 06/17/05
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45 2.2500 0.0000 0.0000
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5.3750 1223.44 1
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HUNTINGTON PARK CA 90255 10.3750 06/09/05
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45 2.2500 0.0000 0.0000
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5.2500 1888.33 1
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KENNESAW GA 30152 10.2500 06/17/05
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45 2.2500 0.0000 0.0000
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5.6250 1742.92 1
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OCEANSIDE CA 92056 10.6250 06/20/05
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0 2.7500 07/01/12 07/01/12
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45 2.7500 0.0000 0.0000
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5.5000 425,500.00 ZZ
5.2500 1950.21 1
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ASHBURN VA 20147 10.2500 06/24/05
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0 2.2500 07/01/12 07/01/12
696/G01 2.0000 08/01/12 08/01/12
25 2.2500 0.0000 0.0000
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5.8750 775.43 1
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COLLEGEVILLE PA 19426 10.8750 06/01/05
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45 2.2500 0.0000 0.0000
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9848807 5.6250 585000.0000 100.0000
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5.3750 3367.59 1
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LITTLE SILVER NJ 07739 11.3750 03/11/05
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0 2.2500 04/01/12 04/01/12
E22/U57 2.0000 05/01/12 05/01/12
45 2.2500 0.0000 0.0000
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9861188 5.3750 176000.0000 100.0000
5.3750 176,000.00 ZZ
5.1250 788.33 1
10.3750 788.33 80
ALEXANDRIA VA 22303 10.1250 06/24/05
0439536483 0.0000 08/01/05 00
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0 3.2500 07/01/12 07/01/12
696/G01 3.0000 08/01/12 08/01/12
25 3.2500 0.0000 0.0000
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9863350 5.2500 650000.0000 100.0000
5.2500 647,753.46 ZZ
5.0000 3589.33 1
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PARKER CO 80138 11.0000 04/25/05
0439556564 0.0000 06/01/05 00
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0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.5000 0.0000 0.0000
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9863352 5.1250 999999.0000 100.0000
5.1250 987,293.12 ZZ
4.8750 5444.86 1
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EDINA MN 55436 10.8750 04/21/05
0439556770 0.0000 06/01/05 00
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0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.5000 0.0000 0.0000
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5.1250 595,757.87 ZZ
4.8750 3266.93 1
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SEATTLE WA 98116 10.8750 03/01/05
0439555467 0.0000 05/01/05 00
2714274 0.0000 04/01/35 0.0000
0 2.5000 04/01/12 04/01/12
F28/G01 2.2500 05/01/12 05/01/12
45 2.5000 0.0000 0.0000
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5.2500 376,984.94 ZZ
5.0000 1657.25 1
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ASHBURN VA 20147 11.0000 02/23/05
0439547852 0.0000 04/01/05 00
2721469 0.0000 03/01/35 0.0000
0 2.5000 03/01/12 03/01/12
F28/G01 2.2500 04/01/12 04/01/12
45 2.5000 0.0000 0.0000
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5.3750 612,488.32 ZZ
5.1250 2744.61 1
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WASHINGTON DC 20015 11.1250 03/16/05
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0 2.5000 04/01/12 04/01/12
F28/G01 2.2500 05/01/12 05/01/12
45 2.5000 0.0000 0.0000
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9863366 5.2500 375000.0000 100.0000
5.2500 372,830.37 ZZ
5.0000 2070.77 1
11.2500 2070.77 76
IRVINE CA 92604 11.0000 03/01/05
0439556515 0.0000 04/01/05 00
3249526 0.0000 03/01/35 0.0000
0 2.5000 03/01/12 03/01/12
F28/G01 2.2500 04/01/12 04/01/12
45 2.5000 0.0000 0.0000
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5.3750 1875.00 1
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FORT LAUDERDALE FL 33305 11.3750 05/03/05
0439556879 0.0000 06/01/05 00
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0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.5000 0.0000 0.0000
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9863374 5.8750 400000.0000 100.0000
5.8750 399,999.98 ZZ
5.6250 1958.34 1
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NEW ALBANY OH 43054 11.6250 04/13/05
0439556143 0.0000 06/01/05 00
3404640 0.0000 05/01/35 0.0000
0 2.5000 05/01/12 05/01/12
F28/G01 2.2500 06/01/12 06/01/12
45 2.5000 0.0000 0.0000
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5.5000 447,999.98 ZZ
5.2500 2053.34 1
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KALISPELL MT 59901 11.2500 05/16/05
0439545898 0.0000 07/01/05 00
3441370 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
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5.3750 2242.38 1
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MARINA DEL REY CA 90292 11.3750 05/27/05
0439555962 0.0000 07/01/05 00
3561326 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
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9863386 5.5000 406000.0000 100.0000
5.5000 405,109.17 ZZ
5.2500 2305.23 1
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SEATTLE WA 98119 11.2500 05/11/05
0439545864 0.0000 07/01/05 00
3568612 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
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360 L12 2.0000 2.0000
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9863388 5.5000 650000.0000 100.0000
5.5000 650,000.00 ZZ
5.2500 2979.17 2
11.5000 2979.17 80
CHICAGO IL 60657 11.2500 05/20/05
0439556614 0.0000 07/01/05 00
3588016 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
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360 L12 2.5000 2.5000
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9863390 6.0000 444000.0000 100.0000
6.0000 444,000.00 T
5.7500 2220.00 1
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CLEARWATER BEAC FL 33767 11.7500 05/19/05
0439556655 0.0000 07/01/05 00
3592653 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
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9863394 5.3750 720000.0000 100.0000
5.3750 720,000.00 ZZ
5.1250 3225.00 1
11.3750 3225.00 53
OLD GREENWICH CT 06870 11.1250 05/20/05
0439556820 0.0000 07/01/05 00
3594723 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 2 0
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9863396 5.5000 441336.0000 100.0000
5.5000 441,336.00 ZZ
5.2500 2022.79 1
11.5000 2022.79 80
ISSAQUAH WA 98029 11.2500 05/27/05
0439556853 0.0000 07/01/05 00
3595252 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
A 11.5000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
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9863398 5.7500 498000.0000 100.0000
5.7500 498,000.00 ZZ
5.5000 2386.25 1
11.7500 2386.25 69
EL DORADO HILLS CA 95762 11.5000 05/16/05
0439557265 0.0000 07/01/05 00
3601601 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
A 11.7500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9863400 5.6250 375000.0000 100.0000
5.6250 374,399.12 ZZ
5.3750 1757.82 1
11.6250 1757.82 75
HOWELL MI 48843 11.3750 05/18/05
0439539594 0.0000 07/01/05 00
3611073 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9863402 5.7500 375200.0000 100.0000
5.7500 375,199.99 ZZ
5.5000 1797.84 1
11.7500 1797.84 80
INGLEWOOD CA 90302 11.5000 05/11/05
0439556200 0.0000 07/01/05 00
3611832 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
A 11.7500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9863404 5.2500 640000.0000 100.0000
5.2500 640,000.00 T
5.0000 2800.00 1
11.2500 2800.00 73
BOCA RATON FL 33432 11.0000 05/23/05
0439556374 0.0000 07/01/05 00
3617098 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
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O 0.0000
9863406 5.5000 496000.0000 100.0000
5.5000 495,944.29 ZZ
5.2500 2273.34 1
11.5000 2273.34 70
SAN DIEGO CA 92129 11.2500 05/19/05
0439556812 0.0000 07/01/05 00
3627162 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
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5.3750 1875.00 1
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ALAMO CA 94507 11.3750 05/09/05
0439555756 0.0000 07/01/05 00
3636120 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
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9863410 5.5000 484500.0000 100.0000
5.5000 484,500.00 ZZ
5.2500 2220.63 1
11.5000 2220.63 65
SAN JOSE CA 95127 11.2500 05/19/05
0439548215 0.0000 07/01/05 00
3641136 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
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9863412 5.3750 600000.0000 100.0000
5.3750 598,652.33 ZZ
5.1250 3359.83 1
11.3750 3359.83 55
RIVERSIDE CA 92508 11.1250 05/16/05
0439556861 0.0000 07/01/05 00
3641243 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
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9863414 5.2500 500000.0000 100.0000
5.2500 498,811.30 ZZ
5.0000 2761.02 1
11.2500 2761.02 66
MERCER ISLAND WA 98040 11.0000 05/16/05
0439548082 0.0000 07/01/05 00
3645030 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
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9863416 5.6250 446000.0000 100.0000
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5.3750 2090.63 1
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ROCKLEDGE FL 32955 11.3750 05/17/05
0439548140 0.0000 07/01/05 00
3671259 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
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9863418 5.1250 850000.0000 100.0000
5.1250 850,000.00 ZZ
4.8750 3630.21 1
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ARLINGTON VA 22207 10.8750 05/16/05
0439545344 0.0000 07/01/05 00
3698361 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
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9863420 5.5000 400000.0000 100.0000
5.5000 399,999.99 ZZ
5.2500 1833.34 1
11.5000 1833.34 62
FAIRFAX CA 94930 11.2500 05/25/05
0439545930 0.0000 07/01/05 00
3714182 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
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360 L12 2.0000 2.0000
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9863422 5.8750 625000.0000 100.0000
5.8750 625,000.00 ZZ
5.6250 3059.90 1
11.8750 3059.90 74
WESTWOOD MA 02090 11.6250 05/27/05
0439545328 0.0000 07/01/05 00
3720296 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
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9863424 5.5000 479950.0000 100.0000
5.5000 477,892.33 ZZ
5.2500 2725.11 1
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PALM BEACH GARD FL 33410 11.2500 05/06/05
0439556267 0.0000 07/01/05 00
3720542 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
A 11.5000 12 12
360 L12 2.0000 2.0000
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9863426 5.0000 476000.0000 100.0000
5.0000 475,999.97 ZZ
4.7500 1983.34 1
11.0000 1983.34 61
ANNANDALE VA 22003 10.7500 03/11/05
0439545294 0.0000 05/01/05 00
3727135 0.0000 04/01/35 0.0000
0 2.5000 04/01/12 04/01/12
F28/G01 2.2500 05/01/12 05/01/12
45 2.5000 0.0000 0.0000
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360 L12 2.0000 2.0000
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9863428 5.8750 439600.0000 100.0000
5.8750 438,701.40 ZZ
5.6250 2600.41 1
11.8750 2600.41 80
BOSTON MA 02127 11.6250 05/20/05
0439546003 0.0000 07/01/05 00
3748917 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
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4.6250 1481.60 1
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FAIRFAX VA 22030 10.6250 06/01/05
0439545237 0.0000 07/01/05 00
3751853 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
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9863432 5.1250 820000.0000 100.0000
5.1250 819,999.99 T
4.8750 3502.08 1
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BIG BEAR LAKE CA 92315 10.8750 05/17/05
0439556598 0.0000 07/01/05 00
3758528 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
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360 L12 2.0000 2.0000
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9863434 5.5000 400000.0000 100.0000
5.5000 399,562.17 TX
5.2500 2271.16 1
11.5000 2271.16 80
DALLAS TX 75230 11.2500 06/02/05
0439546029 0.0000 08/01/05 00
3760209 0.0000 07/01/35 0.0000
0 2.5000 07/01/12 07/01/12
F28/G01 2.2500 08/01/12 08/01/12
45 2.5000 0.0000 0.0000
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9863436 5.5000 476000.0000 100.0000
5.5000 476,000.00 ZZ
5.2500 2181.67 1
11.5000 2181.67 80
KIRKLAND WA 98033 11.2500 05/16/05
0439557307 0.0000 07/01/05 00
3763494 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
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360 L12 2.0000 2.0000
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9863438 5.3750 376000.0000 100.0000
5.3750 376,000.00 ZZ
5.1250 1684.17 1
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MINNEAPOLIS MN 55414 11.1250 06/02/05
0439555566 0.0000 07/01/05 00
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0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
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9863442 5.5000 397500.0000 100.0000
5.5000 396,527.36 ZZ
5.2500 2256.97 1
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SEATTLE WA 98103 11.2500 05/20/05
0439548033 0.0000 07/01/05 00
3771941 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
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5.1250 2855.86 1
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NEWBURYPORT MA 01950 11.1250 05/19/05
0439545955 0.0000 07/01/05 00
3778930 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
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9863446 5.6250 400000.0000 100.0000
5.6250 400,000.00 ZZ
5.3750 1875.00 1
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SAN DIEGO CA 92119 11.3750 05/19/05
0439556457 0.0000 07/01/05 00
3783393 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
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5.6250 1821.25 1
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BIRMINGHAM AL 35223 11.6250 05/31/05
0439556762 0.0000 07/01/05 00
3903959 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
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9863450 5.8750 460000.0000 100.0000
5.8750 459,999.98 T
5.6250 2252.09 1
11.8750 2252.09 80
CLEARWATER BEAC FL 33767 11.6250 05/25/05
0439556697 0.0000 07/01/05 00
3951354 0.0000 06/01/35 0.0000
0 2.5000 06/01/12 06/01/12
F28/G01 2.2500 07/01/12 07/01/12
45 2.5000 0.0000 0.0000
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9864390 5.6250 300000.0000 100.0000
5.6250 300,000.00 ZZ
5.3750 1406.25 1
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SILVER SPRING MD 20904 10.3750 06/15/05
0439549031 0.0000 08/01/05 00
34005043 0.0000 07/01/35 0.0000
0 3.2500 07/01/12 07/01/12
696/G02 3.0000 08/01/12 08/01/12
25 3.2500 0.0000 0.0000
A 10.6250 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
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0.0000 5 0
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9864422 5.3750 350000.0000 100.0000
5.3750 350,000.00 ZZ
5.1250 1567.71 1
10.3750 1567.71 58
WASHINGTON DC 20009 10.1250 06/30/05
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0 2.2500 07/01/12 07/01/12
696/G01 2.0000 08/01/12 08/01/12
25 2.2500 0.0000 0.0000
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360 E 1.0000 1.0000
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0.0000 S N 0.1250
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0.0000 01 00
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9867734 5.5000 720000.0000 100.0000
5.5000 720,000.00 ZZ
5.2500 3300.00 1
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ROCKVILLE MD 20853 10.2500 06/28/05
0439550468 0.0000 08/01/05 00
31205227 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
696/G01 2.0000 08/01/12 08/01/12
25 2.2500 0.0000 0.0000
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9867778 5.6250 295000.0000 100.0000
5.6250 295,000.00 ZZ
5.3750 1382.81 1
10.6250 1382.81 72
PURCELLVILLE VA 20132 10.3750 06/27/05
0439555160 0.0000 08/01/05 00
26105085 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
696/G01 2.0000 08/01/12 08/01/12
25 2.2500 0.0000 0.0000
A 10.6250 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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0.0000 09 00
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9868160 5.3750 212000.0000 100.0000
5.3750 212,000.00 ZZ
5.1250 949.58 1
10.3750 949.58 80
VIRGINIA BEACH VA 23454 10.1250 06/29/05
0001775650 0.0000 08/01/05 00
0001775650 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
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9868162 5.7500 174400.0000 100.0000
5.7500 174,400.00 ZZ
5.5000 835.67 1
10.7500 835.67 80
COLUMBUS OH 43004 10.5000 06/28/05
0001776103 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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9868164 5.6250 355750.0000 100.0000
5.6250 355,750.00 ZZ
5.3750 1667.58 1
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WESTWOOD KS 66205 10.3750 06/24/05
0001776194 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9868166 6.0000 728500.0000 100.0000
6.0000 728,500.00 ZZ
5.7500 3642.50 1
11.0000 3642.50 72
ASHBURN VA 20148 10.7500 06/24/05
0001776459 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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9868168 5.8750 712000.0000 100.0000
5.8750 712,000.00 ZZ
5.6250 3485.83 1
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FAIRFAX VA 22030 10.6250 06/23/05
0001776682 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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9868170 5.2500 500000.0000 100.0000
5.2500 500,000.00 ZZ
5.0000 2187.50 1
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HUNTINGTON BEAC CA 92648 10.0000 06/24/05
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9868172 5.5000 481000.0000 100.0000
5.5000 481,000.00 ZZ
5.2500 2204.58 1
10.5000 2204.58 80
ANN ARBOR MI 48108 10.2500 06/22/05
0003377154 0.0000 08/01/05 00
0003377154 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
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9868174 5.6250 960000.0000 100.0000
5.6250 952,423.64 ZZ
5.3750 5526.31 1
10.6250 5526.31 60
PITTSBURGH PA 15217 10.3750 01/17/05
0003734603 0.0000 03/01/05 00
0003734603 0.0000 02/01/35 0.0000
0 2.2500 02/01/12 02/01/12
286/286 2.0000 03/01/12 03/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 5 0
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9868178 5.7500 380000.0000 100.0000
5.7500 380,000.00 T
5.5000 1820.83 1
10.7500 1820.83 66
NAGS HEAD NC 27959 10.5000 03/31/05
0003935854 0.0000 05/01/05 00
0003935854 0.0000 04/01/35 0.0000
0 2.2500 04/01/12 04/01/12
286/286 2.0000 05/01/12 05/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
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9868182 5.5000 219200.0000 100.0000
5.5000 218,955.07 ZZ
5.2500 1244.60 1
10.5000 1244.60 80
RICHMOND VA 23226 10.2500 06/27/05
0003959645 0.0000 08/01/05 00
0003959645 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9868184 5.7500 250000.0000 100.0000
5.7500 250,000.00 ZZ
5.5000 1197.92 1
10.7500 1197.92 49
WARWICK RI 02889 10.5000 06/27/05
0004039345 0.0000 08/01/05 00
0004039345 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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9868188 5.7500 507200.0000 100.0000
5.7500 507,200.00 ZZ
5.5000 2430.33 1
10.7500 2430.33 80
TORRANCE CA 90503 10.5000 05/23/05
0004050281 0.0000 07/01/05 00
0004050281 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
286/286 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9868190 5.6250 530007.0000 100.0000
5.6250 530,007.00 ZZ
5.3750 2484.41 1
10.6250 2484.41 80
PHOENIX AZ 85045 10.3750 06/24/05
0004050856 0.0000 08/01/05 00
0004050856 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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9868192 5.5000 314700.0000 100.0000
5.5000 314,700.00 ZZ
5.2500 1442.38 1
10.5000 1442.38 80
GOODYEAR AZ 85338 10.2500 06/17/05
0004051443 0.0000 08/01/05 00
0004051443 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9868194 5.8750 270000.0000 100.0000
5.8750 270,000.00 ZZ
5.6250 1321.88 1
10.8750 1321.88 74
MENIFEE CA 92584 10.6250 06/20/05
0004054058 0.0000 08/01/05 00
0004054058 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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9868196 5.2500 692400.0000 100.0000
5.2500 692,400.00 ZZ
5.0000 3029.25 1
10.2500 3029.25 80
CLIFTON VA 20124 10.0000 06/29/05
0004055079 0.0000 08/01/05 00
0004055079 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9868198 5.6250 600000.0000 100.0000
5.6250 600,000.00 ZZ
5.3750 2812.50 1
10.6250 2812.50 53
MESA AZ 85207 10.3750 06/30/05
0004070123 0.0000 08/01/05 00
0004070123 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9868200 6.0000 1000000.0000 100.0000
6.0000 1,000,000.00 T
5.7500 5000.00 1
11.0000 5000.00 49
FAIRFAX CA 94930 10.7500 06/17/05
0004071151 0.0000 08/01/05 00
0004071151 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9868202 5.6250 350000.0000 100.0000
5.6250 350,000.00 ZZ
5.3750 1640.63 1
10.6250 1640.63 24
CARLSBAD CA 92009 10.3750 06/10/05
0004072156 0.0000 08/01/05 00
0004072156 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
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9868208 5.5000 188150.0000 100.0000
5.5000 188,150.00 ZZ
5.2500 862.35 1
10.5000 862.35 90
INWOOD WV 25428 10.2500 06/24/05
0004078858 0.0000 08/01/05 01
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9868210 5.2500 578000.0000 100.0000
5.2500 577,999.49 ZZ
5.0000 2528.75 1
10.2500 2528.75 60
EL CAJON CA 92021 10.0000 06/15/05
0004078995 0.0000 08/01/05 00
0004078995 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
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9868212 5.8750 162000.0000 100.0000
5.8750 162,000.00 ZZ
5.6250 793.13 1
10.8750 793.13 62
GOODYEAR AZ 85338 10.6250 06/17/05
0004079157 0.0000 08/01/05 00
0004079157 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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0.0000 03 00
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9868214 5.2500 400000.0000 100.0000
5.2500 399,541.18 ZZ
5.0000 2208.82 1
10.2500 2208.82 80
ALEXANDRIA VA 22304 10.0000 06/24/05
0004079174 0.0000 08/01/05 00
0004079174 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
0.0000 07 00
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9868216 5.3750 260000.0000 100.0000
5.3750 259,999.99 ZZ
5.1250 1164.58 1
10.3750 1164.58 80
BALTIMORE MD 21230 10.1250 06/27/05
0004079573 0.0000 08/01/05 00
0004079573 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
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9868218 5.7500 538400.0000 100.0000
5.7500 538,400.00 ZZ
5.5000 2579.83 1
10.7500 2579.83 70
SALINAS CA 93907 10.5000 06/24/05
0004079726 0.0000 08/01/05 00
0004079726 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9868220 5.2500 301000.0000 100.0000
5.2500 301,000.00 ZZ
5.0000 1316.88 1
10.2500 1316.88 43
FURLONG PA 18925 10.0000 06/21/05
0004081493 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9868222 5.5000 175000.0000 100.0000
5.5000 175,000.00 ZZ
5.2500 802.08 1
10.5000 802.08 49
CHULA VISTA CA 91913 10.2500 06/13/05
0004084012 0.0000 08/01/05 00
0004084012 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9868224 5.5000 580000.0000 100.0000
5.5000 580,000.00 ZZ
5.2500 2658.33 1
10.5000 2658.33 80
BALTIMORE MD 21201 10.2500 06/29/05
0004086602 0.0000 08/01/05 00
0004086602 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
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9868228 5.5000 199000.0000 100.0000
5.5000 198,782.17 ZZ
5.2500 1129.91 1
10.5000 1129.91 80
CRANSTON RI 02905 10.2500 06/23/05
0004088921 0.0000 08/01/05 00
0004088921 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
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9868230 5.7500 290000.0000 100.0000
5.7500 290,000.00 ZZ
5.5000 1389.58 1
10.7500 1389.58 54
TIMONIUM MD 21093 10.5000 06/30/05
0004092940 0.0000 08/01/05 00
0004092940 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
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9868234 5.7500 207900.0000 100.0000
5.7500 207,900.00 ZZ
5.5000 996.19 1
10.7500 996.19 80
CAPE CORAL FL 33909 10.5000 06/23/05
0004095373 0.0000 08/01/05 00
0004095373 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
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9868236 5.5000 167200.0000 100.0000
5.5000 167,200.00 T
5.2500 766.33 1
10.5000 766.33 80
PINETOP AZ 85935 10.2500 06/23/05
0004098170 0.0000 08/01/05 00
0004098170 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 5 0
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9868238 5.5000 392000.0000 100.0000
5.5000 391,570.93 ZZ
5.2500 2225.74 1
10.5000 2225.74 80
ALEXANDRIA VA 22310 10.2500 06/21/05
0004101476 0.0000 08/01/05 00
0004101476 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9868240 6.0000 183000.0000 100.0000
6.0000 183,000.00 ZZ
5.7500 915.00 1
11.0000 915.00 71
RENO NV 89506 10.7500 06/07/05
0004101752 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 11.0000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
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9868242 5.1250 668280.0000 100.0000
5.1250 668,280.00 ZZ
4.8750 2854.11 1
10.1250 2854.11 61
MIAMI FL 33156 9.8750 06/20/05
0004102128 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
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9868244 5.6250 300000.0000 100.0000
5.6250 300,000.00 ZZ
5.3750 1406.25 1
10.6250 1406.25 59
HERNDON VA 20170 10.3750 06/20/05
0004103550 0.0000 08/01/05 00
0004103550 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
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9868246 5.0000 510000.0000 100.0000
5.0000 509,385.00 ZZ
4.7500 2737.80 1
10.0000 2737.80 76
SPRINGFIELD VA 22153 9.7500 06/24/05
0004103954 0.0000 08/01/05 00
0004103954 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.0000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
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9868248 5.5000 555000.0000 100.0000
5.5000 549,033.10 ZZ
5.2500 2543.75 1
10.5000 2543.75 66
GREAT FALLS VA 22066 10.2500 06/24/05
0004104551 0.0000 08/01/05 00
0004104551 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 5 0
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9868250 5.5000 425000.0000 100.0000
5.5000 425,000.00 ZZ
5.2500 1947.92 1
10.5000 1947.92 53
CLERMONT FL 34711 10.2500 06/16/05
0004105910 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 5 0
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9868252 6.1250 351000.0000 100.0000
6.1250 350,516.20 ZZ
5.8750 1791.56 1
11.1250 1791.56 65
ATLANTA GA 30350 10.8750 06/17/05
0004107351 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 11.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
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9868254 5.7500 725000.0000 100.0000
5.7500 724,230.05 ZZ
5.5000 4230.91 1
10.7500 4230.91 70
YORBA LINDA CA 92887 10.5000 06/17/05
0004107508 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
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9868256 5.7500 137500.0000 100.0000
5.7500 137,500.00 ZZ
5.5000 658.85 1
10.7500 658.85 34
SILVER SPRING MD 20901 10.5000 06/24/05
0004108750 0.0000 08/01/05 00
0004108750 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
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9868258 5.6250 328000.0000 100.0000
5.6250 328,000.00 ZZ
5.3750 1537.50 1
10.6250 1537.50 37
SCOTTSDALE AZ 85255 10.3750 06/22/05
0004109533 0.0000 08/01/05 00
0004109533 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
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9868260 5.5000 234500.0000 100.0000
5.5000 234,500.00 ZZ
5.2500 1074.79 1
10.5000 1074.79 70
FOUNTAIN HILLS AZ 85268 10.2500 06/24/05
0004109763 0.0000 08/01/05 00
0004109763 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
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9868262 5.7500 180000.0000 100.0000
5.7500 180,000.00 T
5.5000 862.50 1
10.7500 862.50 80
TUCSON AZ 85748 10.5000 06/17/05
0004109768 0.0000 08/01/05 00
0004109768 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
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9868264 5.2500 391000.0000 100.0000
5.2500 391,000.00 ZZ
5.0000 1710.63 1
10.2500 1710.63 67
SOMERVILLE MA 02145 10.0000 06/18/05
0004109941 0.0000 08/01/05 00
0004109941 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
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9868266 5.8750 480000.0000 100.0000
5.8750 480,000.00 ZZ
5.6250 2350.00 1
10.8750 2350.00 80
NOVATO CA 94945 10.6250 06/17/05
0004111151 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
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9868268 5.2500 630000.0000 100.0000
5.2500 630,000.00 ZZ
5.0000 2756.25 1
10.2500 2756.25 45
CORONA DEL MAR CA 92625 10.0000 06/16/05
0004112052 0.0000 08/01/05 00
0004112052 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
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9868270 4.8750 325000.0000 100.0000
4.8750 324,600.38 ZZ
4.6250 1719.93 1
9.8750 1719.93 62
HEBRON KY 41048 9.6250 06/27/05
0004112279 0.0000 08/01/05 00
0004112279 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 9.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9868272 5.6250 746250.0000 100.0000
5.6250 746,250.00 ZZ
5.3750 3498.05 1
10.6250 3498.05 75
ALAMEDA CA 94501 10.3750 06/13/05
0004112455 0.0000 08/01/05 00
0004112455 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
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9868274 5.6250 650000.0000 100.0000
5.6250 650,000.00 ZZ
5.3750 3046.88 1
10.6250 3046.88 79
EDINA MN 55424 10.3750 06/28/05
0004112644 0.0000 08/01/05 00
0004112644 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9868276 4.8750 900000.0000 100.0000
4.8750 899,599.04 ZZ
4.6250 3656.25 1
9.8750 3656.25 58
GREAT FALLS VA 22066 9.6250 06/29/05
0004113355 0.0000 08/01/05 00
0004113355 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 9.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
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9868278 6.0000 600000.0000 100.0000
6.0000 600,000.00 ZZ
5.7500 3000.00 1
11.0000 3000.00 41
WAYZATA MN 55391 10.7500 06/21/05
0004113653 0.0000 08/01/05 00
0004113653 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9868406 5.7500 532000.0000 100.0000
5.7500 532,000.00 ZZ
5.5000 2549.17 1
10.7500 2549.17 80
SAN LEANDRO CA 94577 10.5000 06/15/05
0004114016 0.0000 08/01/05 00
0004114016 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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9868408 5.0000 550000.0000 100.0000
5.0000 549,878.03 ZZ
4.7500 2291.67 1
10.0000 2291.67 69
VIRGINIA BEACH VA 23451 9.7500 06/17/05
0004115379 0.0000 08/01/05 00
0004115379 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9868412 5.5000 190000.0000 100.0000
5.5000 190,000.00 ZZ
5.2500 870.83 1
10.5000 870.83 74
LAS VEGAS NV 89117 10.2500 06/16/05
0004116295 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9868416 5.3750 375000.0000 100.0000
5.3750 375,000.00 ZZ
5.1250 1679.69 1
10.3750 1679.69 78
ORLAND PARK IL 60462 10.1250 06/23/05
0004116328 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9868418 5.6250 675000.0000 100.0000
5.6250 675,000.00 ZZ
5.3750 3164.06 1
10.6250 3164.06 72
LIVERMORE CA 94550 10.3750 06/06/05
0004117636 0.0000 08/01/05 00
0004117636 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9868422 5.1250 523200.0000 100.0000
5.1250 523,200.00 ZZ
4.8750 2234.50 1
10.1250 2234.50 80
SPRINGFIELD VA 22153 9.8750 06/27/05
0004118912 0.0000 08/01/05 00
0004118912 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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9868424 5.7500 312400.0000 100.0000
5.7500 152,400.00 ZZ
5.5000 1496.92 1
10.7500 1496.92 75
SPRINGFIELD VA 22153 10.5000 06/29/05
0004119075 0.0000 08/01/05 00
0004119075 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 09 00
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9868426 5.5000 170500.0000 100.0000
5.5000 170,313.37 ZZ
5.2500 968.09 1
10.5000 968.09 69
WASHINGTON DC 20009 10.2500 06/20/05
0004119158 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 2 0
0.0000 11 00
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9868428 5.3750 750000.0000 100.0000
5.3750 750,000.00 ZZ
5.1250 3359.38 1
10.3750 3359.38 63
WASHINGTON DC 20015 10.1250 06/24/05
0004119242 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9868430 5.1250 699000.0000 100.0000
5.1250 699,000.00 ZZ
4.8750 2985.31 1
10.1250 2985.31 78
WARRENTON VA 20187 9.8750 06/28/05
0004119375 0.0000 08/01/05 00
0004119375 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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0.0000 03 00
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9868432 5.3750 364500.0000 100.0000
5.3750 364,500.00 ZZ
5.1250 1632.66 1
10.3750 1632.66 51
SCOTTSDALE AZ 85254 10.1250 06/23/05
0004120931 0.0000 08/01/05 00
0004120931 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
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9868434 5.3750 971250.0000 100.0000
5.3750 971,250.00 ZZ
5.1250 4350.39 1
10.3750 4350.39 75
SILVER SPRING MD 20905 10.1250 06/24/05
0004121978 0.0000 08/01/05 00
0004121978 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
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9868438 5.7500 180000.0000 100.0000
5.7500 180,000.00 ZZ
5.5000 862.50 1
10.7500 862.50 54
GALT CA 95632 10.5000 06/14/05
0004122588 0.0000 08/01/05 00
0004122588 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
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9868440 5.2500 624000.0000 100.0000
5.2500 624,000.00 ZZ
5.0000 2730.00 1
10.2500 2730.00 77
CARLSBAD CA 92009 10.0000 06/14/05
0004122670 0.0000 08/01/05 00
0004122670 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
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O 0.0000
9868442 5.7500 525500.0000 100.0000
5.7500 525,500.00 ZZ
5.5000 2518.02 1
10.7500 2518.02 80
OAKLAND CA 94610 10.5000 06/16/05
0004122918 0.0000 08/01/05 00
0004122918 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
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9868446 5.2500 404000.0000 100.0000
5.2500 403,269.83 ZZ
5.0000 1767.50 1
10.2500 1767.50 80
HYATTSVILLE MD 20782 10.0000 06/29/05
0004124591 0.0000 08/01/05 00
0004124591 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9868448 5.7500 365000.0000 100.0000
5.7500 365,000.00 ZZ
5.5000 1748.96 1
10.7500 1748.96 54
WASHOE VALLEY NV 89704 10.5000 06/16/05
0004125046 0.0000 08/01/05 00
0004125046 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9868450 5.7500 356000.0000 100.0000
5.7500 356,000.00 ZZ
5.5000 1705.83 1
10.7500 1705.83 80
SIMI VALLEY CA 93063 10.5000 06/17/05
0004125650 0.0000 08/01/05 00
0004125650 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 01 00
O 0.0000
9868452 5.2500 920000.0000 100.0000
5.2500 918,944.72 ZZ
5.0000 5080.28 1
10.2500 5080.28 35
LOS ALTOS CA 94024 10.0000 06/16/05
0004125927 0.0000 08/01/05 00
0004125927 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9868454 5.5000 408750.0000 100.0000
5.5000 408,750.00 ZZ
5.2500 1873.44 1
10.5000 1873.44 75
SAN JOSE CA 95110 10.2500 06/17/05
0004126112 0.0000 08/01/05 00
0004126112 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9868456 5.7500 330000.0000 100.0000
5.7500 330,000.00 ZZ
5.5000 1581.25 1
10.7500 1581.25 63
VALLEJO CA 94591 10.5000 06/24/05
0004128396 0.0000 08/01/05 00
0004128396 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9868458 4.8750 533400.0000 100.0000
4.8750 533,400.00 ZZ
4.6250 2166.94 1
9.8750 2166.94 70
WASHINGTON DC 20003 9.6250 06/30/05
0004128487 0.0000 08/01/05 00
0004128487 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 9.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 07 00
O 0.0000
9868460 5.3750 500200.0000 100.0000
5.3750 499,700.00 ZZ
5.1250 2240.48 1
10.3750 2240.48 56
LOS ANGELES CA 90066 10.1250 06/21/05
0004128770 0.0000 08/01/05 00
0004128770 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9868462 5.6250 540000.0000 100.0000
5.6250 540,000.00 ZZ
5.3750 2531.25 1
10.6250 2531.25 80
SAN FRANCISCO CA 94117 10.3750 06/16/05
0004128888 0.0000 08/01/05 00
0004128888 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 01 00
O 0.0000
9868464 5.8750 440000.0000 100.0000
5.8750 440,000.00 ZZ
5.6250 2154.17 1
10.8750 2154.17 74
CAREFREE AZ 85377 10.6250 06/23/05
0004128976 0.0000 08/01/05 00
0004128976 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9868466 5.3750 234500.0000 100.0000
5.3750 234,500.00 ZZ
5.1250 1050.36 1
10.3750 1050.36 70
DACULA GA 30019 10.1250 06/22/05
0004129557 0.0000 08/01/05 00
0004129557 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9868470 5.2500 999999.0000 100.0000
5.2500 994,999.00 ZZ
5.0000 4375.00 1
10.2500 4375.00 80
SAN ANTONIO TX 78209 10.0000 06/03/05
0004129998 0.0000 08/01/05 00
0004129998 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9868472 5.7500 157000.0000 100.0000
5.7500 156,836.08 TX
5.5000 916.21 1
10.7500 916.21 63
OVILLA TX 75154 10.5000 06/24/05
0004130453 0.0000 08/01/05 00
0004130453 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9868474 5.7500 559200.0000 100.0000
5.7500 559,200.00 ZZ
5.5000 2679.50 1
10.7500 2679.50 80
SAN RAMON CA 94582 10.5000 06/13/05
0004130537 0.0000 08/01/05 00
0004130537 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9868476 5.3750 200000.0000 100.0000
5.3750 199,775.88 ZZ
5.1250 1119.95 1
10.3750 1119.95 64
CHICAGO IL 60640 10.1250 06/29/05
0004131469 0.0000 08/01/05 00
0004131469 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9868478 5.7500 348000.0000 100.0000
5.7500 348,000.00 T
5.5000 1667.50 1
10.7500 1667.50 80
WATERFORD MI 48329 10.5000 06/24/05
0004131838 0.0000 08/01/05 00
0004131838 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9868482 5.1250 354400.0000 100.0000
5.1250 354,400.00 ZZ
4.8750 1513.58 1
10.1250 1513.58 80
DENVER CO 80220 9.8750 06/29/05
0004133624 0.0000 08/01/05 00
0004133624 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9868486 5.3750 432000.0000 100.0000
5.3750 432,000.00 ZZ
5.1250 1935.00 1
10.3750 1935.00 80
ARLINGTON VA 22201 10.1250 06/24/05
0004134011 0.0000 08/01/05 00
0004134011 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9868488 5.0000 510000.0000 100.0000
5.0000 510,000.00 ZZ
4.7500 2125.00 1
10.0000 2125.00 70
LEESBURG VA 20175 9.7500 06/24/05
0004134047 0.0000 08/01/05 00
0004134047 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9868490 5.3750 480000.0000 100.0000
5.3750 479,542.45 ZZ
5.1250 2150.00 1
10.3750 2150.00 80
ALEXANDRIA VA 22306 10.1250 06/20/05
0004134052 0.0000 08/01/05 00
0004134052 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9868498 5.5000 500000.0000 100.0000
5.5000 499,000.00 T
5.2500 2291.67 1
10.5000 2291.67 64
SAN DIEGO CA 92130 10.2500 06/20/05
0004134387 0.0000 08/01/05 00
0004134387 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9868500 5.3750 219800.0000 100.0000
5.3750 219,800.00 T
5.1250 984.52 1
10.3750 984.52 60
OVERLAND PARK KS 66209 10.1250 06/24/05
0004134637 0.0000 08/01/05 00
0004134637 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9868502 5.7500 250000.0000 100.0000
5.7500 249,965.39 ZZ
5.5000 1197.92 1
10.7500 1197.92 73
SCOTTSDALE AZ 85251 10.5000 06/22/05
0004134653 0.0000 08/01/05 00
0004134653 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9868506 5.3750 1000000.0000 100.0000
5.3750 1,000,000.00 ZZ
5.1250 4479.17 1
10.3750 4479.17 65
WASHINGTON DC 20008 10.1250 06/22/05
0004134844 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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0.0000 05 00
O 0.0000
9868508 5.5000 730000.0000 100.0000
5.5000 729,999.80 T
5.2500 3345.83 1
10.5000 3345.83 65
KITTY HAWK NC 27949 10.2500 06/24/05
0004135945 0.0000 08/01/05 00
0004135945 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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9868510 5.6250 650000.0000 100.0000
5.6250 650,000.00 ZZ
5.3750 3046.88 1
10.6250 3046.88 77
FALLS CHURCH VA 22044 10.3750 06/29/05
0004136334 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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9868512 5.2500 295000.0000 100.0000
5.2500 295,000.00 ZZ
5.0000 1290.63 1
10.2500 1290.63 57
ARLINGTON VA 22205 10.0000 06/23/05
0004136577 0.0000 08/01/05 00
0004136577 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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O 0.0000
9868516 5.3750 428000.0000 100.0000
5.3750 428,000.00 ZZ
5.1250 1917.08 1
10.3750 1917.08 78
BLOOMFIELD HILL MI 48302 10.1250 06/22/05
0004137099 0.0000 08/01/05 00
0004137099 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
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5.5000 140,800.00 T
5.2500 645.33 1
10.5000 645.33 80
CASA GRANDE AZ 85222 10.2500 06/23/05
0004137563 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 2 0
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9868520 5.3750 1176600.0000 100.0000
5.3750 1,176,600.00 ZZ
5.1250 5270.19 1
10.3750 5270.19 66
POTOMAC MD 20854 10.1250 06/21/05
0004138407 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
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0.0000 05 00
O 0.0000
9868522 5.3750 707000.0000 100.0000
5.3750 707,000.00 ZZ
5.1250 3166.77 1
10.3750 3166.77 75
ELLICOTT CITY MD 21042 10.1250 06/29/05
0004139025 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9868722 5.3750 220000.0000 100.0000
5.3750 219,887.66 ZZ
5.1250 985.42 1
10.3750 985.42 69
LAUREL MD 20707 10.1250 06/24/05
0004139140 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 07 00
O 0.0000
9868724 5.2500 1254500.0000 100.0000
5.2500 1,254,500.00 T
5.0000 5488.44 1
10.2500 5488.44 65
DUCK NC 27949 10.0000 06/29/05
0004139344 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9868726 5.7500 300800.0000 100.0000
5.7500 300,644.32 ZZ
5.5000 1441.33 1
10.7500 1441.33 80
OWINGS MILLS MD 21117 10.5000 06/24/05
0004139504 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 9.0000 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9868728 5.7500 150000.0000 100.0000
5.7500 150,000.00 ZZ
5.5000 718.75 1
10.7500 718.75 51
STOCKTON CA 95210 10.5000 06/21/05
0004139962 0.0000 08/01/05 00
0004139962 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
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9868730 5.5000 300000.0000 100.0000
5.5000 300,000.00 ZZ
5.2500 1375.00 1
10.5000 1375.00 52
WOODBRIDGE VA 22193 10.2500 06/22/05
0004140126 0.0000 08/01/05 00
0004140126 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9868732 5.7500 395000.0000 100.0000
5.7500 394,587.59 ZZ
5.5000 2305.12 1
10.7500 2305.12 75
SARAMENTO CA 95818 10.5000 06/17/05
0004140388 0.0000 08/01/05 00
0004140388 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9868734 5.5000 409600.0000 100.0000
5.5000 409,600.00 ZZ
5.2500 1877.33 1
10.5000 1877.33 80
MURRIETA CA 92562 10.2500 06/16/05
0004141017 0.0000 08/01/05 00
0004141017 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9868736 5.7500 435000.0000 100.0000
5.7500 435,000.00 ZZ
5.5000 2084.38 1
10.7500 2084.38 68
SAN JOSE CA 95127 10.5000 06/22/05
0004141521 0.0000 08/01/05 00
0004141521 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9868738 6.2500 396000.0000 100.0000
6.2500 396,000.00 T
6.0000 2062.50 1
11.2500 2062.50 80
SANTA CRUZ CA 95060 11.0000 06/22/05
0004141958 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 11.2500 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9868740 5.6250 550000.0000 100.0000
5.6250 550,000.00 ZZ
5.3750 2578.13 1
10.6250 2578.13 73
SAN BRUNO CA 94066 10.3750 06/21/05
0004142001 0.0000 08/01/05 00
0004142001 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
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9868742 5.0000 359650.0000 100.0000
5.0000 359,650.00 ZZ
4.7500 1498.54 1
10.0000 1498.54 73
DULUTH GA 30097 9.7500 06/24/05
0004142211 0.0000 08/01/05 00
0004142211 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.0000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
0.0000 07 00
O 0.0000
9868744 5.8750 216000.0000 100.0000
5.8750 216,000.00 ZZ
5.6250 1057.50 1
10.8750 1057.50 80
QUINCY MA 02169 10.6250 06/24/05
0004142900 0.0000 08/01/05 00
0004142900 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 01 00
O 0.0000
9868750 5.5000 424000.0000 100.0000
5.5000 423,500.00 ZZ
5.2500 1943.33 1
10.5000 1943.33 80
FAIRFAX VA 22033 10.2500 06/30/05
0004143225 0.0000 08/01/05 00
0004143225 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 07 00
O 0.0000
9868752 5.7500 295900.0000 100.0000
5.7500 295,900.00 T
5.5000 1417.85 1
10.7500 1417.85 80
OCEAN CITY MD 21842 10.5000 06/24/05
0004143385 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9868754 4.8750 359200.0000 100.0000
4.8750 359,200.00 ZZ
4.6250 1459.25 1
9.8750 1459.25 80
TACOMA WA 98446 9.6250 06/29/05
0004143398 0.0000 08/01/05 00
0004143398 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 9.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9868756 5.6250 420000.0000 100.0000
5.6250 420,000.00 ZZ
5.3750 1968.75 1
10.6250 1968.75 80
SPOTSYLVANIA VA 22553 10.3750 06/24/05
0004143557 0.0000 08/01/05 00
0004143557 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9868758 6.0000 181450.0000 100.0000
6.0000 181,391.27 ZZ
5.7500 907.25 1
11.0000 907.25 75
WOODSTOCK GA 30189 10.7500 06/21/05
0004144729 0.0000 08/01/05 00
0004144729 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 11.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9868764 5.0000 770550.0000 100.0000
5.0000 770,070.00 ZZ
4.7500 3210.63 1
10.0000 3210.63 80
PLEASANTON CA 94566 9.7500 06/23/05
0004145287 0.0000 08/01/05 00
0004145287 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9868766 5.7500 160000.0000 100.0000
5.7500 159,832.95 ZZ
5.5000 933.72 1
10.7500 933.72 67
BERWYN IL 60402 10.5000 06/24/05
0004145851 0.0000 08/01/05 00
0004145851 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9868768 5.7500 87600.0000 100.0000
5.7500 87,600.00 ZZ
5.5000 419.75 1
10.7500 419.75 51
CHERRY HILL NJ 08003 10.5000 06/22/05
0004146328 0.0000 08/01/05 00
0004146328 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 01 00
O 0.0000
9868770 6.0000 250000.0000 100.0000
6.0000 250,000.00 ZZ
5.7500 1250.00 1
11.0000 1250.00 53
STERLING VA 20164 10.7500 06/20/05
0004146465 0.0000 08/01/05 00
0004146465 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 11.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9868772 5.7500 191920.0000 100.0000
5.7500 191,920.00 ZZ
5.5000 919.62 1
10.7500 919.62 80
TROY OH 45373 10.5000 06/23/05
0004146746 0.0000 08/01/05 00
0004146746 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9868774 5.5000 1000000.0000 100.0000
5.5000 999,901.76 ZZ
5.2500 4583.33 1
10.5000 4583.33 55
SCOTTSDALE AZ 85255 10.2500 06/24/05
0004146795 0.0000 08/01/05 00
0004146795 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9868776 5.6250 520000.0000 100.0000
5.6250 519,932.15 ZZ
5.3750 2437.50 1
10.6250 2437.50 80
SARASOTA FL 34236 10.3750 06/27/05
0004147174 0.0000 08/01/05 00
0004147174 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9868778 6.0000 271500.0000 100.0000
6.0000 271,500.00 ZZ
5.7500 1357.50 1
11.0000 1357.50 70
WALDORF MD 20603 10.7500 06/22/05
0004147404 0.0000 08/01/05 00
0004147404 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 11.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9868780 6.1250 539000.0000 100.0000
6.1250 538,751.15 ZZ
5.8750 2751.15 1
11.1250 2751.15 70
SAN FRANCISCO CA 94124 10.8750 06/13/05
0004147695 0.0000 08/01/05 00
0004147695 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 11.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9868784 5.1250 861000.0000 100.0000
5.1250 861,000.00 T
4.8750 3677.19 1
10.1250 3677.19 70
COROLLA NC 27927 9.8750 06/29/05
0004147966 0.0000 08/01/05 00
0004147966 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9868786 5.5000 320000.0000 100.0000
5.5000 320,000.00 ZZ
5.2500 1466.67 1
10.5000 1466.67 40
APTOS CA 95003 10.2500 06/16/05
0004147995 0.0000 08/01/05 00
0004147995 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9868788 5.0000 180000.0000 100.0000
5.0000 180,000.00 ZZ
4.7500 750.00 1
10.0000 750.00 75
MARYSVILLE WA 98270 9.7500 06/22/05
0004148380 0.0000 08/01/05 00
0004148380 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9868790 5.7500 228000.0000 100.0000
5.7500 228,000.00 ZZ
5.5000 1092.50 1
10.7500 1092.50 80
DENVER CO 80205 10.5000 06/23/05
0004148426 0.0000 08/01/05 00
0004148426 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9868792 5.8750 465000.0000 100.0000
5.8750 464,976.56 ZZ
5.6250 2276.56 1
10.8750 2276.56 75
BOULDER CREEK CA 95006 10.6250 06/23/05
0004148429 0.0000 08/01/05 00
0004148429 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9868794 5.3750 420000.0000 100.0000
5.3750 420,000.00 ZZ
5.1250 1881.25 1
10.3750 1881.25 80
OAKLEY CA 94561 10.1250 06/20/05
0004148597 0.0000 08/01/05 00
0004148597 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9868796 5.6250 472000.0000 100.0000
5.6250 471,912.50 ZZ
5.3750 2212.50 1
10.6250 2212.50 79
SAN DIEGO CA 92117 10.3750 06/22/05
0004150411 0.0000 08/01/05 00
0004150411 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9868798 5.7500 256500.0000 100.0000
5.7500 256,500.00 ZZ
5.5000 1229.06 1
10.7500 1229.06 76
STERLING VA 20164 10.5000 06/22/05
0004150449 0.0000 08/01/05 00
0004150449 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 09 00
O 0.0000
9868802 5.6250 116000.0000 100.0000
5.6250 116,000.00 ZZ
5.3750 543.75 1
10.6250 543.75 56
REISTERSTOWN MD 21136 10.3750 06/24/05
0004151251 0.0000 08/01/05 00
0004151251 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 07 00
O 0.0000
9868804 5.5000 214000.0000 100.0000
5.5000 214,000.00 ZZ
5.2500 980.83 1
10.5000 980.83 77
CENTENNIAL CO 80111 10.2500 06/24/05
0004152606 0.0000 08/01/05 00
0004152606 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9868806 6.0000 806250.0000 100.0000
6.0000 806,250.00 ZZ
5.7500 4031.25 1
11.0000 4031.25 75
KIHEI HI 96753 10.7500 06/20/05
0004153270 0.0000 08/01/05 00
0004153270 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 11.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9868808 6.0000 576000.0000 100.0000
6.0000 575,426.58 ZZ
5.7500 3453.42 1
11.0000 3453.42 80
CAMPBELL CA 95008 10.7500 06/21/05
0004153670 0.0000 08/01/05 00
0004153670 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 11.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9868810 5.5000 196000.0000 100.0000
5.5000 195,905.89 ZZ
5.2500 898.33 1
10.5000 898.33 80
ROSEVILLE CA 95661 10.2500 06/20/05
0004153931 0.0000 08/01/05 00
0004153931 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9868812 6.0000 371000.0000 100.0000
6.0000 371,000.00 ZZ
5.7500 1855.00 1
11.0000 1855.00 70
SACRAMENTO CA 95819 10.7500 06/15/05
0004155322 0.0000 08/01/05 00
0004155322 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 11.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9868816 6.2500 440000.0000 100.0000
6.2500 440,000.00 T
6.0000 2291.67 1
11.2500 2291.67 80
ELK GROVE CA 95624 11.0000 06/22/05
0004156471 0.0000 08/01/05 00
0004156471 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 11.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9868818 5.3750 434550.0000 100.0000
5.3750 434,549.77 ZZ
5.1250 1946.42 1
10.3750 1946.42 80
ARLINGTON VA 22204 10.1250 06/24/05
0004157397 0.0000 08/01/05 00
0004157397 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9868820 5.8750 259200.0000 100.0000
5.8750 259,141.79 ZZ
5.6250 1269.00 1
10.8750 1269.00 80
BANNING CA 92220 10.6250 06/22/05
0004159995 0.0000 08/01/05 00
0004159995 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9868824 5.2500 260000.0000 100.0000
5.2500 260,000.00 ZZ
5.0000 1137.50 1
10.2500 1137.50 66
MENTONE CA 92359 10.0000 06/21/05
0004160199 0.0000 08/01/05 00
0004160199 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9868826 5.7500 212000.0000 100.0000
5.7500 212,000.00 ZZ
5.5000 1015.83 1
10.7500 1015.83 80
SAVAGE MN 55378 10.5000 06/24/05
0004162140 0.0000 08/01/05 00
0004162140 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9868828 6.2500 448000.0000 100.0000
6.2500 448,000.00 ZZ
6.0000 2333.33 1
11.2500 2333.33 75
MANASSAS PARK VA 20111 11.0000 06/24/05
0004164356 0.0000 08/01/05 00
0004164356 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 11.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9868830 5.8750 229500.0000 100.0000
5.8750 229,500.00 ZZ
5.6250 1123.59 1
10.8750 1123.59 90
RHOADSVILLE VA 22542 10.6250 06/29/05
0004165018 0.0000 08/01/05 01
0004165018 0.0000 07/01/35 25.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9868832 5.3750 639920.0000 100.0000
5.3750 639,420.00 ZZ
5.1250 2866.31 1
10.3750 2866.31 80
RIDGFIELD WA 98642 10.1250 06/22/05
0004165888 0.0000 08/01/05 00
0004165888 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9868836 5.6250 426000.0000 100.0000
5.6250 426,000.00 ZZ
5.3750 1996.88 1
10.6250 1996.88 80
ST AUGUSTINE FL 32080 10.3750 06/28/05
0004175128 0.0000 08/01/05 00
0004175128 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
286/286 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9868842 5.6250 464000.0000 100.0000
5.6250 464,000.00 ZZ
5.3750 2175.00 1
10.6250 2175.00 80
EAST BRUNSWICK NJ 08816 10.3750 06/27/05
0003960416 0.0000 08/01/05 00
0003960416 0.0000 07/01/35 0.0000
0 2.7500 07/01/12 07/01/12
286/286 2.5000 08/01/12 08/01/12
45 2.7500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9868844 5.5000 432000.0000 100.0000
5.5000 432,000.00 ZZ
5.2500 1980.00 1
10.5000 1980.00 80
CHESAPEAKE VA 23322 10.2500 06/22/05
0004059070 0.0000 08/01/05 00
0004059070 0.0000 07/01/35 0.0000
0 2.7500 07/01/12 07/01/12
286/286 2.5000 08/01/12 08/01/12
45 2.7500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9874553 5.6250 292000.0000 100.0000
5.6250 292,000.00 ZZ
5.3750 1368.75 1
11.6250 1368.75 80
TROY MI 48084 11.3750 04/04/05
0423750314 0.0000 06/01/05 00
0423750314 0.0000 05/01/35 0.0000
0 2.2500 05/01/12 05/01/12
E22/G01 2.0000 06/01/12 06/01/12
45 2.2500 0.0000 0.0000
A 11.6250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9874687 5.3750 228000.0000 100.0000
5.3750 227,400.00 ZZ
5.1250 1021.25 1
11.3750 1021.25 80
DECATUR GA 30033 11.1250 04/04/05
0423548338 0.0000 06/01/05 00
0423548338 0.0000 05/01/35 0.0000
0 2.2500 05/01/12 05/01/12
E22/G01 2.0000 06/01/12 06/01/12
45 2.2500 0.0000 0.0000
A 11.3750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9884446 5.3750 563000.0000 100.0000
5.3750 563,000.00 ZZ
5.1250 2521.77 1
10.3750 2521.77 69
ALEXANDRIA VA 22309 10.1250 06/28/05
0439570318 0.0000 08/01/05 00
10005076 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
696/G01 2.0000 08/01/12 08/01/12
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9884456 5.7500 452000.0000 100.0000
5.7500 452,000.00 ZZ
5.5000 2165.83 1
10.7500 2165.83 80
FALLS CHURCH VA 22041 10.5000 06/24/05
0439564535 0.0000 08/01/05 00
22805092 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
696/G01 2.0000 08/01/12 08/01/12
25 2.2500 0.0000 0.0000
A 10.7500 6 6
360 E 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 09 00
O 0.0000
9884464 5.6250 359650.0000 100.0000
5.6250 359,650.00 ZZ
5.3750 1685.86 1
10.6250 1685.86 80
MANASSAS VA 20109 10.3750 06/24/05
0439564782 0.0000 08/01/05 00
25105139 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
696/G01 2.0000 08/01/12 08/01/12
25 2.2500 0.0000 0.0000
A 10.6250 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 09 00
O 0.0000
9884476 5.5000 550000.0000 100.0000
5.5000 550,000.00 ZZ
5.2500 2520.83 1
10.5000 2520.83 66
LEESBURG VA 20175 10.2500 07/11/05
0439562588 0.0000 09/01/05 00
26605097 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
696/G01 2.0000 09/01/12 09/01/12
25 2.2500 0.0000 0.0000
A 10.5000 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9884490 5.3750 560000.0000 100.0000
5.3750 560,000.00 ZZ
5.1250 2508.33 1
10.3750 2508.33 80
ALEXANDRIA VA 22312 10.1250 07/05/05
0439564220 0.0000 09/01/05 00
10005078 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
696/G01 2.0000 09/01/12 09/01/12
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9889865 5.6250 276800.0000 100.0000
5.6250 276,800.00 ZZ
5.3750 1297.50 1
11.6250 1297.50 80
WOODLAND HILLS UT 84653 11.3750 04/04/05
0423741925 0.0000 06/01/05 00
0423741925 0.0000 05/01/35 0.0000
0 2.2500 05/01/12 05/01/12
E22/G01 2.0000 06/01/12 06/01/12
45 2.2500 0.0000 0.0000
A 11.6250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9892138 5.5000 340000.0000 100.0000
5.5000 340,000.00 ZZ
5.2500 1930.48 1
10.5000 1930.48 68
FALLS CHURCH VA 22042 10.2500 07/08/05
0439660325 0.0000 09/01/05 00
26205184 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
696/G01 2.0000 09/01/12 09/01/12
25 2.2500 0.0000 0.0000
A 10.5000 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9893162 5.5000 1000000.0000 100.0000
5.5000 1,000,000.00 ZZ
5.2500 4583.33 1
10.5000 4583.33 28
ALEXANDRIA VA 22309 10.2500 07/14/05
0439654625 0.0000 09/01/05 00
25105069 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
696/G01 2.0000 09/01/12 09/01/12
25 2.2500 0.0000 0.0000
A 10.5000 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9893172 5.7500 548000.0000 100.0000
5.7500 548,000.00 ZZ
5.5000 2625.83 1
10.7500 2625.83 80
WASHINGTON DC 20011 10.5000 07/15/05
0439662172 0.0000 09/01/05 00
27005160 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
696/G01 2.0000 09/01/12 09/01/12
25 2.2500 0.0000 0.0000
A 10.2500 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9899056 5.5000 392100.0000 100.0000
5.5000 392,100.00 ZZ
5.2500 1797.13 1
10.5000 1797.13 75
BURKE VA 22015 10.2500 07/14/05
0439675430 0.0000 09/01/05 00
40105348 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
696/G01 2.0000 09/01/12 09/01/12
25 2.2500 0.0000 0.0000
A 10.5000 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9899084 5.5000 423700.0000 100.0000
5.5000 423,700.00 ZZ
5.2500 1941.96 1
10.5000 1941.96 80
LORTON VA 22079 10.2500 07/15/05
0439674904 0.0000 09/01/05 00
80105119 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
696/G01 2.0000 09/01/12 09/01/12
25 2.2500 0.0000 0.0000
A 10.5000 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9900328 5.5000 357600.0000 100.0000
5.5000 357,600.00 ZZ
5.2500 1639.00 1
10.5000 1639.00 80
STERLING VA 20166 10.2500 07/22/05
0439678285 0.0000 09/01/05 00
21305088 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
696/G01 2.0000 09/01/12 09/01/12
25 2.2500 0.0000 0.0000
A 10.5000 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 09 00
O 0.0000
9900336 5.6250 276100.0000 100.0000
5.6250 276,100.00 ZZ
5.3750 1294.22 1
10.6250 1294.22 75
WASHINGTON DC 20009 10.3750 07/18/05
0439679812 0.0000 09/01/05 00
26205177 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
696/G01 2.0000 09/01/12 09/01/12
25 2.2500 0.0000 0.0000
A 10.6250 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 08 00
O 0.0000
9903556 5.2500 359650.0000 100.0000
5.2500 359,650.00 ZZ
5.0000 1573.47 1
10.2500 1573.47 51
VIENNA VA 22180 10.0000 07/20/05
0439778440 0.0000 09/01/05 00
26405166 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
696/G01 2.0000 09/01/12 09/01/12
25 2.2500 0.0000 0.0000
A 10.2500 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9903582 5.0000 310400.0000 100.0000
5.0000 310,400.00 ZZ
4.7500 1293.33 1
10.0000 1293.33 80
ARLINGTON VA 22204 9.7500 07/14/05
0439709262 0.0000 09/01/05 00
25005167 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
696/G01 2.0000 09/01/12 09/01/12
25 2.2500 0.0000 0.0000
A 10.0000 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9905091 5.7500 192000.0000 100.0000
5.7500 192,000.00 ZZ
5.5000 920.00 1
11.7500 920.00 78
LYNDEN WA 98264 11.5000 04/13/05
0423530989 0.0000 06/01/05 00
0423530989 0.0000 05/01/35 0.0000
0 3.2500 05/01/12 05/01/12
E22/G02 3.0000 06/01/12 06/01/12
45 3.2500 0.0000 0.0000
A 11.7500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9908207 6.1250 168800.0000 100.0000
6.1250 168,800.00 ZZ
5.8750 861.58 1
12.1250 861.58 80
DALLAS TX 75214 11.8750 04/22/05
0424012706 0.0000 06/01/05 00
0424012706 0.0000 05/01/35 0.0000
0 2.2500 05/01/12 05/01/12
E22/G01 2.0000 06/01/12 06/01/12
45 2.2500 0.0000 0.0000
A 12.1250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9913870 5.7500 344000.0000 100.0000
5.7500 344,000.00 ZZ
5.5000 1648.33 1
10.7500 1648.33 80
ALEXANDRIA VA 22312 10.5000 07/20/05
0439723677 0.0000 09/01/05 00
22805111 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
696/G01 2.0000 09/01/12 09/01/12
25 2.2500 0.0000 0.0000
A 10.7500 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9915011 5.0000 463000.0000 100.0000
5.0000 463,000.00 ZZ
4.7500 1929.17 1
10.0000 1929.17 78
DIAMOND BAR CA 91765 9.7500 02/08/05
360000014 0.0000 04/01/05 00
777001691 0.0000 03/01/35 0.0000
0 3.5000 03/01/12 03/01/12
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ALEXANDRIA VA 22304 10.2500 07/08/05
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0 2.2500 08/01/12 08/01/12
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WASHINGTON DC 20009 10.2500 07/29/05
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5.2500 1122.92 1
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BOCA RATON FL 33432 10.2500 07/29/05
0439792771 0.0000 09/01/05 00
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WASHINGTON DC 20016 10.2500 07/29/05
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WASHINGTON DC 20002 10.5000 07/28/05
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HERNDON VA 20171 10.5000 08/02/05
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696/G01 2.0000 09/01/12 09/01/12
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BOYCE VA 22620 10.3750 07/26/05
0439795469 0.0000 09/01/05 00
50105129 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
696/G01 2.0000 09/01/12 09/01/12
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5.8750 240,000.00 ZZ
5.5000 1175.00 1
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HOBOKEN NJ 07030 10.5000 02/24/05
777002248 0.0000 04/01/05 00
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0 2.2500 03/01/12 03/01/12
Z51/600 1.8750 04/01/12 04/01/12
25 2.2500 0.0000 0.0000
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4.8750 1570.63 1
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LOS ANGELES (WE CA 91307 9.8750 02/10/05
777003349 0.0000 04/01/05 00
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0 2.2500 03/01/12 03/01/12
Z51/600 1.8750 04/01/12 04/01/12
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5.5000 264,939.28 ZZ
5.1250 1214.58 1
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CHICAGO IL 60618 10.1250 02/22/05
0028674976 0.0000 04/01/05 00
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0 2.2500 03/01/12 03/01/12
Z51/Z58 1.8750 04/01/12 04/01/12
45 2.2500 0.0000 0.0000
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5.3750 1721.54 1
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WASHINGTON TOWN NJ 07853 10.3750 02/16/05
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0 2.2500 03/01/12 03/01/12
Z51/Z58 1.8750 04/01/12 04/01/12
45 2.2500 0.0000 0.0000
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5.2500 789.02 1
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SMYRNA GA 30082 10.2500 04/28/05
0439298761 2.2500 06/01/05 00
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5.1700 1201.89 1
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ALEXANDRIA VA 22314 10.1700 01/10/05
29706405 0.0000 03/01/05 00
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5.3750 585.94 1
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RIVERSIDE CA 92508 11.3750 05/12/05
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5.2500 615,000.00 ZZ
5.0000 2690.63 1
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LOUISVILLE CO 80027 11.0000 05/16/05
0424153583 0.0000 07/01/05 00
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E22/G01 2.0000 07/01/12 07/01/12
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9950293 5.5000 352500.0000 100.0000
5.5000 352,498.47 ZZ
5.2500 1615.63 1
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SAMMAMISH WA 98074 11.2500 05/20/05
0424133684 0.0000 07/01/05 00
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0 2.2500 06/01/12 06/01/12
E22/U57 2.0000 07/01/12 07/01/12
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5.5000 2400.63 1
11.7500 2400.63 67
SEATTLE WA 98115 11.5000 05/19/05
0424226538 0.0000 07/01/05 00
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0 2.2500 06/01/12 06/01/12
E22/U57 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
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9951025 5.6250 322712.0000 100.0000
5.6250 322,712.00 ZZ
5.3750 1512.71 1
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OCEANSIDE CA 92054 11.3750 04/08/05
0439353467 0.0000 06/01/05 00
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0 2.2500 05/01/12 05/01/12
808/G01 2.0000 06/01/12 06/01/12
45 2.2500 0.0000 0.0000
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5.5000 982.29 1
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HILTON HEAD SC 29928 11.5000 05/23/05
0424039451 0.0000 07/01/05 00
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0 2.2500 06/01/12 06/01/12
E22/G01 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
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ALBUQUERQUE NM 87108 11.2500 05/31/05
0424395069 0.0000 07/01/05 00
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0 2.2500 06/01/12 06/01/12
E22/U57 2.0000 07/01/12 07/01/12
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9960229 5.6250 562000.0000 100.0000
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5.3750 2634.38 1
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COOPER CITY FL 33330 11.3750 05/25/05
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BIRMINGHAM AL 35242 11.5000 05/25/05
0424189553 0.0000 07/01/05 00
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45 2.2500 0.0000 0.0000
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MESA AZ 85203 11.3750 05/25/05
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45 2.2500 0.0000 0.0000
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9964617 5.7500 142000.0000 100.0000
5.7500 142,000.00 ZZ
5.5000 680.42 1
11.7500 680.42 64
SOUTH LYON MI 48178 11.5000 05/27/05
0424234938 0.0000 07/01/05 00
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0 2.2500 06/01/12 06/01/12
E22/U57 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
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9966357 5.5000 425000.0000 100.0000
5.5000 424,447.92 ZZ
5.2500 1947.92 1
11.5000 1947.92 73
NORWALK CT 06851 11.2500 06/03/05
0423645449 0.0000 07/01/05 00
0423645449 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
E22/G01 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
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9966457 5.5000 277600.0000 100.0000
5.5000 277,600.00 ZZ
5.2500 1272.33 1
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TULSA OK 74133 11.2500 06/03/05
0424146439 0.0000 07/01/05 00
0424146439 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
E22/G01 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
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9966519 5.6250 204000.0000 100.0000
5.6250 203,781.91 ZZ
5.3750 1174.34 1
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MARYSVILLE WA 98270 11.3750 05/31/05
0424226736 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
E22/G01 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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5.3750 464,000.00 ZZ
5.1250 2078.33 1
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KIRKLAND WA 98033 11.1250 06/07/05
0424409829 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
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9977625 5.3750 748950.0000 100.0000
5.3750 748,950.00 ZZ
5.1250 3354.67 1
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PLANTATION FL 33324 11.1250 06/10/05
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0 2.2500 07/01/12 07/01/12
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45 2.2500 0.0000 0.0000
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9980869 5.8750 192000.0000 100.0000
5.8750 192,000.00 ZZ
5.6250 940.00 1
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GRASS LAKE MI 49240 11.6250 06/08/05
0424121671 0.0000 08/01/05 00
0424121671 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
E22/G01 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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5.5000 583,200.00 ZZ
5.2500 2673.00 1
11.5000 2673.00 80
LADERA RANCH CA 92694 11.2500 06/06/05
0424156438 0.0000 08/01/05 00
0424156438 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
E22/G01 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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5.5000 645,000.00 ZZ
5.2500 2956.25 1
11.5000 2956.25 51
LAGUNA BEACH CA 92651 11.2500 06/07/05
0424328987 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
E22/G01 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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9983647 5.7500 352000.0000 100.0000
5.7500 352,000.00 ZZ
5.5000 1686.67 1
11.7500 1686.67 80
ROBSTOWN TX 78380 11.5000 06/13/05
0424534915 0.0000 08/01/05 00
0424534915 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
E22/U57 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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5.2500 999,998.00 ZZ
5.0000 4375.00 1
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SANTA FE NM 87506 11.0000 06/07/05
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0 2.2500 07/01/12 07/01/12
E22/G01 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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5.7500 295,127.81 ZZ
5.5000 1414.50 1
11.7500 1414.50 80
GILBERT AZ 85233 11.5000 06/10/05
0423998533 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
E22/U57 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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9993047 5.2500 377000.0000 100.0000
5.2500 377,000.00 ZZ
5.0000 1649.38 1
10.2500 1649.38 75
CHICAGO IL 60614 10.0000 06/13/05
0439487299 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
E33/G01 2.0000 08/01/12 08/01/12
25 2.2500 0.0000 0.0000
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5.6250 900,250.00 ZZ
5.3750 4219.92 1
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BETHESDA MD 20816 10.3750 06/14/05
0439486887 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
X21/G01 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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5.6250 323,800.00 ZZ
5.3750 1518.75 1
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MARTINEZ CA 94553 11.3750 06/17/05
0424365997 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
E22/G01 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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9995613 5.8750 452000.0000 100.0000
5.8750 452,000.00 ZZ
5.6250 2212.92 1
11.8750 2212.92 80
MIRAMAR FL 33027 11.6250 06/23/05
0424384642 0.0000 08/01/05 00
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ROUND LAKE BEAC IL 60073 11.5000 06/24/05
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HIGHLAND MI 48356 11.5000 06/20/05
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LITCHFIELD AZ 85340 11.6250 06/20/05
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LAWRENCEVILLE GA 30044 10.3750 06/21/05
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DULUTH GA 30097 10.5000 05/25/05
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SMYRNA GA 30082 9.8750 06/13/05
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SAMMAMISH WA 98075 11.1250 06/21/05
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PALO CEDRO CA 96073 12.0000 06/17/05
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LAKE ELSINORE CA 92532 11.3750 06/16/05
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CITRUS HEIGHTS CA 95610 11.2500 06/17/05
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KENT WA 98030 11.1250 06/20/05
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SIMPSONVILLE SC 29681 11.1250 06/23/05
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LAPLACE LA 70068 11.1250 06/23/05
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COLUMBUS OH 43209 11.1250 06/24/05
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GREENWOOD MO 64034 11.5000 06/29/05
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GIG HARBOR WA 98335 11.8750 06/21/05
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PALM COAST FL 32137 11.6250 06/29/05
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LYNNWOOD WA 98036 11.2500 06/22/05
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TEMPE AZ 85283 11.5000 06/17/05
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SAN DIEGO CA 92117 11.3750 06/24/05
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PORTLAND OR 97236 11.6250 06/29/05
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BEDFORD NH 03110 11.2500 06/27/05
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FLORENCE SC 29505 10.1250 06/29/05
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WEST SACRAMENTO CA 95691 11.7500 06/28/05
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LOS ANGELES CA 90094 10.1250 06/20/05
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SAN MARCOS CA 92078 9.8750 06/07/05
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NEW ORLEANS LA 70124 11.6250 06/29/05
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DENVER CO 80211 11.6250 06/30/05
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MESA AZ 85213 11.1250 06/24/05
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POMPANO BEACH FL 33064 11.6250 06/30/05
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CHANTILLY VA 20151 11.1250 06/29/05
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GLENVIEW IL 60025 11.2500 07/01/05
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HENDERSON CO 80640 11.3750 07/01/05
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CORAL SPRINGS FL 33071 11.1250 07/06/05
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SACRAMENTO CA 95814 11.2500 06/30/05
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BEAVER CREEK OH 45434 9.8750 06/28/05
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BYRON MN 55920 11.0000 07/06/05
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MARRERO LA 70072 11.6250 07/12/05
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DORCHESTER MA 02122 11.5000 07/08/05
0424482289 0.0000 09/01/05 01
0424482289 0.0000 08/01/35 12.0000
0 2.2500 08/01/12 08/01/12
E22/G01 2.0000 09/01/12 09/01/12
45 2.2500 0.0000 0.0000
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10029161 5.3750 400000.0000 100.0000
5.3750 400,000.00 ZZ
5.1250 1791.67 1
11.3750 1791.67 61
GUALALA CA 95445 11.1250 07/08/05
0424583243 0.0000 09/01/05 00
0424583243 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
E22/G01 2.0000 09/01/12 09/01/12
45 2.2500 0.0000 0.0000
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10029207 5.5000 188000.0000 100.0000
5.5000 188,000.00 ZZ
5.2500 861.67 1
11.5000 861.67 80
AVONDALE AZ 85323 11.2500 07/08/05
0424621902 0.0000 09/01/05 00
0424621902 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
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45 2.2500 0.0000 0.0000
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5.9900 124,000.00 ZZ
5.7400 618.97 1
10.9900 618.97 80
POWDER SPRINGS GA 30127 10.7400 06/30/05
0439566530 2.2500 08/01/05 00
26506283 2.0000 07/01/35 0.0000
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45 2.2500 0.0000 0.0000
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5.1250 1455.28 1
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ATLANTA GA 30317 10.1250 06/30/05
0439567074 2.2500 08/01/05 00
26506225 2.0000 07/01/35 0.0000
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5.1250 790.35 1
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ALPHARETTA GA 30004 10.1250 06/23/05
0439568445 2.2500 08/01/05 00
26506001 2.0000 07/01/35 0.0000
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5.5000 539.06 1
10.7500 539.06 80
WOODSTOCK GA 30188 10.5000 06/27/05
0439559956 2.2500 08/01/05 00
26505660 2.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
L21/G02 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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10030309 5.2500 352600.0000 100.0000
5.2500 352,600.00 ZZ
5.0000 1542.63 1
10.2500 1542.63 80
MOSELEY VA 23120 10.0000 06/30/05
0439560079 2.2500 08/01/05 00
28506938 2.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
L21/G01 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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5.1250 1791.67 2
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NEPTUNE BEACH FL 32266 10.1250 06/17/05
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28506586 2.0000 07/01/35 0.0000
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L21/G01 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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5.2500 511,200.00 ZZ
5.0000 2236.50 1
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TWP OF BERKELEY NJ 07922 10.0000 06/30/05
0439564394 2.2500 08/01/05 00
L19329585 2.0000 07/01/35 0.0000
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L21/G02 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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10030873 5.3750 287000.0000 100.0000
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5.1250 1285.52 1
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SHERWOOD OR 97140 10.1250 06/13/05
0439570417 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
944/G01 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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10030875 5.6250 418000.0000 100.0000
5.6250 418,000.00 ZZ
5.3750 1959.38 1
10.6250 1959.38 80
SACRAMENTO CA 95833 10.3750 06/08/05
0439569096 0.0000 08/01/05 00
1001831151 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
944/G01 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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10030891 5.6250 560000.0000 100.0000
5.6250 559,401.32 T
5.3750 3223.68 1
10.6250 3223.68 80
TAHOE CITY CA 96145 10.3750 06/10/05
0439569310 0.0000 08/01/05 00
1001832676 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
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45 2.2500 0.0000 0.0000
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5.7500 380,000.00 ZZ
5.5000 1820.83 1
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SCOTTSDALE AZ 85258 10.5000 06/10/05
0439568775 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
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45 2.2500 0.0000 0.0000
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10030899 5.8750 400000.0000 100.0000
5.8750 400,000.00 ZZ
5.6250 1958.33 1
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WATERLOO IA 50701 10.6250 06/21/05
0439569047 0.0000 08/01/05 00
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0 2.2500 07/01/12 07/01/12
944/G01 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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10030901 5.2500 642500.0000 100.0000
5.2500 642,500.00 ZZ
5.0000 2810.94 1
10.2500 2810.94 50
HAMILTON VA 20158 10.0000 06/20/05
0439569799 0.0000 08/01/05 00
1001832165 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
944/G01 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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10030903 5.3750 410000.0000 100.0000
5.3750 410,000.00 ZZ
5.1250 1836.46 1
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FREMONT CA 94539 10.1250 06/14/05
0439570458 0.0000 08/01/05 00
1001833514 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
944/G01 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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10030939 5.0000 272000.0000 100.0000
5.0000 272,000.00 ZZ
4.7500 1133.33 1
10.0000 1133.33 80
RESTON VA 20191 9.7500 07/11/05
0439568387 0.0000 09/01/05 00
10105030 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
696/G01 2.0000 09/01/12 09/01/12
25 2.2500 0.0000 0.0000
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10031339 5.6250 400000.0000 100.0000
5.6250 400,000.00 ZZ
5.3750 1875.00 1
11.6250 1875.00 80
LOS ANGELES CA 91306 11.3750 07/01/05
0439554577 0.0000 09/01/05 00
9513217 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
808/G01 2.0000 09/01/12 09/01/12
45 2.2500 0.0000 0.0000
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10031955 5.3750 223125.0000 100.0000
5.3750 223,125.00 ZZ
5.1250 999.41 1
11.3750 999.41 85
CHESTERFEILD VA 23832 11.1250 07/15/05
0424558344 0.0000 09/01/05 10
0424558344 0.0000 08/01/35 12.0000
0 2.2500 08/01/12 08/01/12
E22/U57 2.0000 09/01/12 09/01/12
45 2.2500 0.0000 0.0000
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10032191 5.8750 84000.0000 100.0000
5.8750 84,000.00 ZZ
5.6250 411.25 1
11.8750 411.25 80
ARLINGTON TX 76015 11.6250 07/11/05
0424761716 0.0000 09/01/05 00
0424761716 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
E22/U57 2.0000 09/01/12 09/01/12
45 2.2500 0.0000 0.0000
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10032229 6.0000 230000.0000 100.0000
6.0000 230,000.00 ZZ
5.7500 1150.00 1
12.0000 1150.00 59
GRASS VALLEY CA 95945 11.7500 07/08/05
0424780401 0.0000 09/01/05 00
0424780401 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
E22/G01 2.0000 09/01/12 09/01/12
45 2.2500 0.0000 0.0000
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10034873 5.7500 255000.0000 100.0000
5.7500 255,000.00 ZZ
5.5000 1221.88 1
10.7500 1221.88 55
MORRO BAY CA 93442 10.5000 06/01/05
0439664350 0.0000 08/01/05 00
1144662 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
T44/G01 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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10034875 5.8750 325000.0000 100.0000
5.8750 325,000.00 ZZ
5.6250 1591.15 1
10.8750 1591.15 77
DENAIR CA 95316 10.6250 05/10/05
0439636614 0.0000 07/01/05 00
1143776 0.0000 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
T44/G01 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
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10034895 5.5000 694950.0000 100.0000
5.5000 694,950.00 ZZ
5.2500 3185.19 1
10.5000 3185.19 75
PLEASANT HILL CA 94523 10.2500 06/07/05
0439664426 0.0000 08/01/05 00
1146458 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
T44/G01 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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10034905 5.8750 241300.0000 100.0000
5.8750 241,300.00 ZZ
5.6250 1181.36 1
10.8750 1181.36 95
FORT MYERS FL 33912 10.6250 05/10/05
0439665100 0.0000 07/01/05 04
1142609 0.0000 06/01/35 30.0000
0 2.2500 06/01/12 06/01/12
T44/G01 2.0000 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
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10034909 5.5000 630000.0000 100.0000
5.5000 629,310.43 ZZ
5.2500 3577.07 2
10.5000 3577.07 70
REDWOOD CITY CA 94062 10.2500 06/08/05
0439664418 0.0000 08/01/05 00
1147002 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
T44/G02 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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10034927 5.8750 480000.0000 100.0000
5.8750 480,000.00 ZZ
5.6250 2350.00 1
10.8750 2350.00 80
ESCONDIDO CA 92029 10.6250 06/20/05
0439642950 0.0000 08/01/05 00
31003266 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
T53/G01 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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10045399 5.3750 172200.0000 100.0000
5.3750 172,200.00 ZZ
5.1250 964.27 1
11.3750 964.27 94
BURNSVILLE MN 55337 11.1250 07/15/05
0401143326 0.0000 09/01/05 04
0401143326 0.0000 08/01/35 30.0000
0 2.2500 08/01/12 08/01/12
E82/G01 2.0000 09/01/12 09/01/12
45 2.2500 0.0000 0.0000
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10045783 5.1250 699350.0000 100.0000
5.1250 699,350.00 ZZ
4.8750 2986.81 1
10.1250 2986.81 57
HONOLULU HI 96821 9.8750 07/05/05
0439666538 2.2500 09/01/05 00
819801 2.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
X91/G01 2.0000 09/01/12 09/01/12
45 2.2500 0.0000 0.0000
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10046099 5.3750 551200.0000 100.0000
5.3750 551,200.00 ZZ
5.1250 3086.56 1
10.3750 3086.56 57
ENCINO CA 91436 10.1250 07/12/05
0401142369 0.0000 09/01/05 00
0401142369 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
E82/G01 2.0000 09/01/12 09/01/12
45 2.2500 0.0000 0.0000
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10051859 5.5000 833500.0000 100.0000
5.5000 833,500.00 ZZ
5.2500 3820.21 1
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BOULDER CO 80301 11.2500 07/18/05
0424766491 0.0000 09/01/05 00
0424766491 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
E22/G01 2.0000 09/01/12 09/01/12
45 2.2500 0.0000 0.0000
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10053713 5.7500 194000.0000 100.0000
5.7500 194,000.00 ZZ
5.5000 1132.13 1
10.7500 1132.13 78
OLD SAYBROOK CT 06475 10.5000 07/22/05
0401150826 0.0000 09/01/05 00
0401150826 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
E82/G01 2.0000 09/01/12 09/01/12
45 2.2500 0.0000 0.0000
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5.1250 1,000,000.00 ZZ
4.7500 4270.83 1
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MANAKIN-SABOT VA 23103 9.7500 05/27/05
133794677 2.2500 07/01/05 00
133794677 1.8750 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
025/025 1.8750 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
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10053907 5.6250 400000.0000 100.0000
5.6250 400,000.00 ZZ
5.2500 1875.00 1
10.6250 1875.00 80
SAN JOSE CA 95125 10.2500 06/14/05
143199941 2.2500 08/01/05 00
143199941 1.8750 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
025/025 1.8750 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
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3.3750 1 0
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5.5000 405,265.43 ZZ
5.1250 1858.54 1
10.5000 1858.54 58
PHOENIX AZ 85032 10.1250 05/16/05
143367373 2.2500 07/01/05 00
143367373 1.8750 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
025/025 1.8750 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
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5.7500 598,125.00 ZZ
5.3750 2875.00 1
10.7500 2875.00 72
SEBASTOPOL CA 95472 10.3750 04/29/05
143413318 2.2500 06/01/05 00
143413318 1.8750 05/01/35 0.0000
0 2.2500 05/01/12 05/01/12
025/025 1.8750 06/01/12 06/01/12
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5.3750 440,000.00 ZZ
5.0000 1970.83 1
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SMYRNA GA 30080 10.0000 05/03/05
143421311 2.2500 06/01/05 00
143421311 1.8750 05/01/35 0.0000
0 2.2500 05/01/12 05/01/12
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45 2.2500 0.0000 0.0000
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5.6250 492,000.00 ZZ
5.2500 2306.25 1
10.6250 2306.25 80
KENNESAW GA 30152 10.2500 05/16/05
143421816 2.2500 07/01/05 00
143421816 1.8750 06/01/35 0.0000
0 2.2500 06/01/12 06/01/12
025/025 1.8750 07/01/12 07/01/12
45 2.2500 0.0000 0.0000
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HAYMARKET VA 20169 10.3750 05/13/05
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LAWRENCEVILLE GA 30043 10.0000 06/01/05
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ATLANTA GA 30306 10.1250 04/28/05
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PACE FL 32571 9.8750 05/20/05
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HILTON HEAD ISL SC 29928 10.0000 06/03/05
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ALPHARETTA GA 30022 10.1250 05/31/05
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NEW SMYRNA BEAC FL 32169 10.2500 04/07/05
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XXXXXX CHAPEL FL 33543 9.8750 03/31/05
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NORCROSS GA 30092 10.1250 05/31/05
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JUPITER FL 33458 10.3750 04/20/05
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HILTON HEAD ISL SC 29928 10.2500 06/14/05
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JACKSONVILLE BE FL 32250 10.2500 06/17/05
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DACULA GA 30019 10.0000 05/25/05
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DULUTH GA 30097 10.1250 05/26/05
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DURHAM NC 27707 10.0000 06/24/05
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MOORESVILLE NC 28117 10.1250 06/16/05
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XXXXXXX TN 38016 10.3750 04/25/05
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ATLANTA GA 30327 9.6250 04/28/05
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MARIETTA GA 30062 9.7500 05/17/05
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BRASELTON GA 30517 10.0000 05/31/05
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CHARLOTTE NC 28211 10.1250 06/01/05
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INDIAN HARBOUR FL 32937 10.3750 04/29/05
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LEXINGTON NC 27292 10.1250 05/31/05
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TAMPA FL 33606 10.1250 06/15/05
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BLUFFTON SC 29910 10.6250 06/17/05
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SOUTH RIDING VA 20152 11.3750 07/26/05
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BOYNTON BEACH FL 33437 11.5000 07/27/05
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SAN MARCOS CA 92078 9.8750 06/10/05
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LOCUST GROVE GA 30248 10.2500 06/29/05
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VANCOUVER WA 98665 9.3750 06/20/05
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VANCOUVER WA 98682 9.3750 06/21/05
0439727454 0.0000 08/01/05 00
0650524005 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
Y46/G01 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 9.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
10061981 5.2500 343650.0000 100.0000
5.2500 343,650.00 T
5.0000 1503.47 1
10.2500 1503.47 77
BEND OR 97701 10.0000 06/13/05
0439727694 0.0000 08/01/05 00
0650511000 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
Y46/G01 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
10061985 5.5000 720000.0000 100.0000
5.5000 720,000.00 ZZ
5.2500 3300.00 1
10.5000 3300.00 70
WILLONVILLE OR 97070 10.2500 06/01/05
0439727520 0.0000 08/01/05 00
0650509004 0.0000 07/01/35 0.0000
0 2.2500 07/01/12 07/01/12
Y46/G01 2.0000 08/01/12 08/01/12
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
10063341 5.6250 430000.0000 100.0000
5.6250 430,000.00 ZZ
5.3750 2475.32 1
11.6250 2475.32 67
RANCHO CUCAMONG CA 91730 11.3750 07/18/05
0439795261 2.2500 09/01/05 00
48401511 2.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
Q57/G01 2.0000 09/01/12 09/01/12
45 2.2500 0.0000 0.0000
A 11.6250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
3.3750 5 0
0.0000 05 00
O 0.0000
10064159 5.3750 450400.0000 100.0000
5.3750 450,400.00 ZZ
5.1250 2017.42 1
10.3750 2017.42 80
FALLS CHURCH VA 22044 10.1250 07/18/05
0439682030 0.0000 09/01/05 00
10105037 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
696/G01 2.0000 09/01/12 09/01/12
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
10065343 6.2500 593000.0000 100.0000
6.2500 593,000.00 ZZ
6.0000 3088.54 1
12.2500 3088.54 80
SAN JOSE CA 95123 12.0000 07/20/05
0424733830 0.0000 09/01/05 00
0424733830 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
E22/G01 2.0000 09/01/12 09/01/12
45 2.2500 0.0000 0.0000
A 12.2500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
10067317 5.3750 431000.0000 100.0000
5.3750 431,000.00 ZZ
5.1250 1930.52 1
10.3750 1930.52 75
CEDAR LAKE TOWN MN 55020 10.1250 07/29/05
0439718297 2.2500 09/01/05 00
9507817000 2.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
L76/G01 2.0000 09/01/12 09/01/12
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
3.1250 1 0
0.0000 05 00
O 0.0000
10068027 5.2500 152000.0000 100.0000
5.2500 152,000.00 ZZ
5.0000 665.00 1
11.2500 665.00 80
TUCSON AZ 85712 11.0000 07/23/05
0424616779 0.0000 09/01/05 00
0424616779 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
E22/G01 2.0000 09/01/12 09/01/12
45 2.2500 0.0000 0.0000
A 11.2500 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
10068189 5.3750 675000.0000 100.0000
5.3750 675,000.00 ZZ
5.1250 3779.81 1
11.3750 3779.81 68
HAM LAKE MN 55304 11.1250 07/27/05
0424827152 0.0000 09/01/05 00
0424827152 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
E22/G01 2.0000 09/01/12 09/01/12
45 2.2500 0.0000 0.0000
A 11.3750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
10073479 5.5000 200000.0000 100.0000
5.5000 200,000.00 ZZ
5.2500 916.67 1
10.5000 916.67 44
ASHBURN VA 20147 10.2500 07/18/05
0439779240 0.0000 09/01/05 00
21305085 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
696/G01 2.0000 09/01/12 09/01/12
25 2.2500 0.0000 0.0000
A 10.5000 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 09 00
O 0.0000
10074015 6.1250 140000.0000 100.0000
6.1250 140,000.00 ZZ
5.8750 714.58 1
12.1250 714.58 77
OPA LOCKA FL 33056 11.8750 07/28/05
0424552453 0.0000 09/01/05 00
0424552453 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
E22/G01 2.0000 09/01/12 09/01/12
45 2.2500 0.0000 0.0000
A 12.1250 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
10076349 5.3750 114000.0000 100.0000
5.3750 114,000.00 ZZ
5.1250 510.63 1
11.3750 510.63 59
NAMPA ID 83686 11.1250 07/26/05
0424841732 0.0000 09/01/05 00
0424841732 0.0000 08/01/35 0.0000
0 2.2500 08/01/12 08/01/12
E22/G01 2.0000 09/01/12 09/01/12
45 2.2500 0.0000 0.0000
A 11.3750 12 12
360 L12 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
Total Number of Loans: 664
Total Original Balance: 281,504,030.00
Total Principal Balance: 280,976,142.77
Total Original P+I: 1,341,379.42
Total Current P+I: 1,341,092.16
Arm Rate Passthru
Loan Number Sub Serv Fee RFC Net Ceiling
Principal Bal Mstr Serv Fee Max Net Mort Rate
Curr Note Rate Alloc Exp Max Post Strip Rate
RFC Net Rate Misc Exp Int Rate Margin
Investor Rate Spread PostStrip Margin
Post Strip Rate Strip
9670136 0.2500 10.6250
144807.79 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 2.4500
5.5750 0.0000 2.4500
5.5750 0.0000
9670472 0.2500 10.2500
158720.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 2.4500
5.2000 0.0000 2.4500
5.2000 0.0000
9739282 0.2500 10.2500
284313.34 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 2.4500
5.2000 0.0000 2.4500
5.2000 0.0000
9739292 0.2500 10.1250
96000.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 2.4500
5.0750 0.0000 2.4500
5.0750 0.0000
9739306 0.2500 10.1250
62500.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 2.4500
5.0750 0.0000 2.4500
5.0750 0.0000
9739326 0.2500 10.2500
223012.50 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 2.4500
5.2000 0.0000 2.4500
5.2000 0.0000
9739328 0.2500 10.5000
300000.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 2.4500
5.4500 0.0000 2.4500
5.4500 0.0000
9739330 0.2500 10.2500
210400.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 2.4500
5.2000 0.0000 2.4500
5.2000 0.0000
9739382 0.2500 10.3750
328000.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 2.4500
5.3250 0.0000 2.4500
5.3250 0.0000
9739388 0.2500 10.6250
207200.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 2.4500
5.5750 0.0000 2.4500
5.5750 0.0000
9770584 0.2500 10.8750
646736.23 0.0500 10.8250
5.1250 0.0000 10.8250
4.8750 0.0000 2.2000
4.8250 0.0000 2.2000
4.8250 0.0000
9770598 0.2500 11.1250
497743.78 0.0500 11.0750
5.3750 0.0000 11.0750
5.1250 0.0000 2.2000
5.0750 0.0000 2.2000
5.0750 0.0000
9770602 0.2500 10.6250
437822.70 0.0500 10.5750
4.8750 0.0000 10.5750
4.6250 0.0000 2.2000
4.5750 0.0000 2.2000
4.5750 0.0000
9770604 0.2500 11.1250
516857.13 0.0500 11.0750
5.3750 0.0000 11.0750
5.1250 0.0000 2.2000
5.0750 0.0000 2.2000
5.0750 0.0000
9770608 0.2500 11.0000
397379.24 0.0500 10.9500
5.2500 0.0000 10.9500
5.0000 0.0000 2.2000
4.9500 0.0000 2.2000
4.9500 0.0000
9770612 0.2500 11.0000
630076.59 0.0500 10.9500
5.2500 0.0000 10.9500
5.0000 0.0000 2.2000
4.9500 0.0000 2.2000
4.9500 0.0000
9770628 0.2500 10.8750
427967.66 0.0500 10.8250
5.1250 0.0000 10.8250
4.8750 0.0000 2.2000
4.8250 0.0000 2.2000
4.8250 0.0000
9770630 0.2500 11.0000
392559.60 0.0500 10.9500
5.2500 0.0000 10.9500
5.0000 0.0000 2.2000
4.9500 0.0000 2.2000
4.9500 0.0000
9770636 0.2500 11.0000
397685.74 0.0500 10.9500
5.2500 0.0000 10.9500
5.0000 0.0000 2.2000
4.9500 0.0000 2.2000
4.9500 0.0000
9770640 0.2500 11.2500
463466.08 0.0500 11.2000
5.5000 0.0000 11.2000
5.2500 0.0000 2.2000
5.2000 0.0000 2.2000
5.2000 0.0000
9770642 0.2500 11.0000
597926.26 0.0500 10.9500
5.2500 0.0000 10.9500
5.0000 0.0000 2.2000
4.9500 0.0000 2.2000
4.9500 0.0000
9770644 0.2500 11.2500
325284.41 0.0500 11.2000
5.5000 0.0000 11.2000
5.2500 0.0000 2.2000
5.2000 0.0000 2.2000
5.2000 0.0000
9779462 0.2500 10.5000
716000.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9779466 0.2500 10.3750
236000.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9783859 0.2500 10.2500
254711.54 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9785326 0.2500 10.6250
648000.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
9785360 0.2500 10.8750
190400.00 0.0500 10.8250
6.1250 0.0000 10.8250
5.8750 0.0000 1.9500
5.8250 0.0000 1.9500
5.8250 0.0000
9785384 0.2500 11.0000
714955.10 0.0500 10.9500
6.2500 0.0000 10.9500
6.0000 0.0000 1.9500
5.9500 0.0000 1.9500
5.9500 0.0000
9788562 0.2500 10.5000
392000.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9789600 0.2500 10.5000
235446.32 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 2.0750
5.4500 0.0000 2.0750
5.4500 0.0000
9789610 0.2500 10.6250
207000.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 2.4500
5.5750 0.0000 2.4500
5.5750 0.0000
9789612 0.2500 10.6250
223900.27 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 2.4500
5.5750 0.0000 2.4500
5.5750 0.0000
9789614 0.2500 10.3750
203720.80 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9789618 0.2500 9.8750
191448.42 0.0500 9.8250
5.1250 0.0000 9.8250
4.8750 0.0000 1.9500
4.8250 0.0000 1.9500
4.8250 0.0000
9789620 0.2500 10.1250
247442.96 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9789622 0.2500 10.7500
236000.00 0.0500 10.7000
6.0000 0.0000 10.7000
5.7500 0.0000 2.4500
5.7000 0.0000 2.4500
5.7000 0.0000
9789624 0.2500 11.1250
188000.00 0.0500 11.0750
6.3750 0.0000 11.0750
6.1250 0.0000 2.4500
6.0750 0.0000 2.4500
6.0750 0.0000
9789630 0.2500 10.6250
255000.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 2.4500
5.5750 0.0000 2.4500
5.5750 0.0000
9789634 0.2500 10.5000
279986.26 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 2.4500
5.4500 0.0000 2.4500
5.4500 0.0000
9789636 0.2500 10.1250
292500.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 2.4500
5.0750 0.0000 2.4500
5.0750 0.0000
9789682 0.2500 10.5000
230000.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 2.4500
5.4500 0.0000 2.4500
5.4500 0.0000
9790854 0.2500 10.5000
168400.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9790856 0.2500 10.1250
200000.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9790860 0.2500 9.7500
940000.00 0.0500 9.7000
5.0000 0.0000 9.7000
4.7500 0.0000 1.9500
4.7000 0.0000 1.9500
4.7000 0.0000
9790882 0.2500 10.3750
474979.85 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9790884 0.2500 10.3750
356700.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9790886 0.2500 10.1250
376000.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9790892 0.2500 10.2500
130500.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9790916 0.2500 9.8750
338202.28 0.0500 9.8250
5.1250 0.0000 9.8250
4.8750 0.0000 1.9500
4.8250 0.0000 1.9500
4.8250 0.0000
9790918 0.2500 10.1250
284900.56 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9790932 0.2500 10.2500
333000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9790936 0.2500 10.5000
329309.25 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9790942 0.2500 9.7500
400000.00 0.0500 9.7000
5.0000 0.0000 9.7000
4.7500 0.0000 1.9500
4.7000 0.0000 1.9500
4.7000 0.0000
9790954 0.2500 9.7500
358135.49 0.0500 9.7000
5.0000 0.0000 9.7000
4.7500 0.0000 1.9500
4.7000 0.0000 1.9500
4.7000 0.0000
9790956 0.2500 10.3750
379994.91 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9790964 0.2500 10.2500
279200.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9798770 0.2500 10.3750
367200.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9823924 0.2500 11.0000
506400.00 0.0500 10.9500
5.2500 0.0000 10.9500
5.0000 0.0000 2.2000
4.9500 0.0000 2.2000
4.9500 0.0000
9823930 0.2500 10.8750
999950.00 0.0500 10.8250
5.1250 0.0000 10.8250
4.8750 0.0000 2.2000
4.8250 0.0000 2.2000
4.8250 0.0000
9823950 0.2500 11.3750
780000.00 0.0500 11.3250
5.6250 0.0000 11.3250
5.3750 0.0000 2.2000
5.3250 0.0000 2.2000
5.3250 0.0000
9823954 0.2500 11.1250
435000.00 0.0500 11.0750
5.3750 0.0000 11.0750
5.1250 0.0000 2.2000
5.0750 0.0000 2.2000
5.0750 0.0000
9823956 0.2500 11.0000
458870.94 0.0500 10.9500
5.2500 0.0000 10.9500
5.0000 0.0000 2.2000
4.9500 0.0000 2.2000
4.9500 0.0000
9823960 0.2500 11.6250
600000.00 0.0500 11.5750
5.8750 0.0000 11.5750
5.6250 0.0000 2.2000
5.5750 0.0000 2.2000
5.5750 0.0000
9823968 0.2500 11.0000
406962.20 0.0500 10.9500
5.2500 0.0000 10.9500
5.0000 0.0000 2.2000
4.9500 0.0000 2.2000
4.9500 0.0000
9823972 0.2500 11.1250
512999.99 0.0500 11.0750
5.3750 0.0000 11.0750
5.1250 0.0000 2.2000
5.0750 0.0000 2.2000
5.0750 0.0000
9823980 0.2500 11.3750
355739.69 0.0500 11.3250
5.6250 0.0000 11.3250
5.3750 0.0000 2.2000
5.3250 0.0000 2.2000
5.3250 0.0000
9823986 0.2500 11.2500
447920.00 0.0500 11.2000
5.5000 0.0000 11.2000
5.2500 0.0000 2.2000
5.2000 0.0000 2.2000
5.2000 0.0000
9823994 0.2500 10.6250
440099.99 0.0500 10.5750
4.8750 0.0000 10.5750
4.6250 0.0000 2.2000
4.5750 0.0000 2.2000
4.5750 0.0000
9824002 0.2500 11.1250
404629.03 0.0500 11.0750
5.3750 0.0000 11.0750
5.1250 0.0000 2.2000
5.0750 0.0000 2.2000
5.0750 0.0000
9824004 0.2500 11.3750
440000.00 0.0500 11.3250
5.6250 0.0000 11.3250
5.3750 0.0000 2.2000
5.3250 0.0000 2.2000
5.3250 0.0000
9824008 0.2500 11.5000
484000.00 0.0500 11.4500
5.7500 0.0000 11.4500
5.5000 0.0000 2.2000
5.4500 0.0000 2.2000
5.4500 0.0000
9824010 0.2500 11.2500
541350.00 0.0500 11.2000
5.5000 0.0000 11.2000
5.2500 0.0000 2.2000
5.2000 0.0000 2.2000
5.2000 0.0000
9824016 0.2500 10.8750
874000.00 0.0500 10.8250
5.1250 0.0000 10.8250
4.8750 0.0000 2.2000
4.8250 0.0000 2.2000
4.8250 0.0000
9824020 0.2500 11.6250
571196.50 0.0500 11.5750
5.8750 0.0000 11.5750
5.6250 0.0000 2.2000
5.5750 0.0000 2.2000
5.5750 0.0000
9824022 0.2500 11.5000
405000.00 0.0500 11.4500
5.7500 0.0000 11.4500
5.5000 0.0000 2.2000
5.4500 0.0000 2.2000
5.4500 0.0000
9824026 0.2500 11.3750
395949.77 0.0500 11.3250
5.6250 0.0000 11.3250
5.3750 0.0000 2.2000
5.3250 0.0000 2.2000
5.3250 0.0000
9824032 0.2500 11.0000
546106.00 0.0500 10.9500
5.2500 0.0000 10.9500
5.0000 0.0000 2.2000
4.9500 0.0000 2.2000
4.9500 0.0000
9824034 0.2500 11.3750
396800.00 0.0500 11.3250
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5.3750 0.0000 1.8250
5.3250 0.0000 1.8250
5.3250 0.0000
10054093 0.3750 10.1250
367992.08 0.0500 10.0750
5.5000 0.0000 10.0750
5.1250 0.0000 1.8250
5.0750 0.0000 1.8250
5.0750 0.0000
10054095 0.3750 10.0000
564000.00 0.0500 9.9500
5.3750 0.0000 9.9500
5.0000 0.0000 1.8250
4.9500 0.0000 1.8250
4.9500 0.0000
10054097 0.3750 10.1250
495500.00 0.0500 10.0750
5.5000 0.0000 10.0750
5.1250 0.0000 1.8250
5.0750 0.0000 1.8250
5.0750 0.0000
10054099 0.3750 10.6250
254746.15 0.0500 10.5750
6.0000 0.0000 10.5750
5.6250 0.0000 1.8250
5.5750 0.0000 1.8250
5.5750 0.0000
10054101 0.3750 9.7500
503200.00 0.0500 9.7000
5.1250 0.0000 9.7000
4.7500 0.0000 1.8250
4.7000 0.0000 1.8250
4.7000 0.0000
10056715 0.2500 11.3750
367920.00 0.0500 11.3250
5.6250 0.0000 11.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
10056759 0.2500 11.5000
257000.00 0.0500 11.4500
5.7500 0.0000 11.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
10061919 0.2500 10.5000
540000.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
10061923 0.2500 9.8750
435000.00 0.0500 9.8250
5.1250 0.0000 9.8250
4.8750 0.0000 1.9500
4.8250 0.0000 1.9500
4.8250 0.0000
10061929 0.2500 10.2500
352560.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
10061971 0.2500 9.3750
277500.00 0.0500 9.3250
4.6250 0.0000 9.3250
4.3750 0.0000 1.9500
4.3250 0.0000 1.9500
4.3250 0.0000
10061977 0.2500 9.3750
215000.00 0.0500 9.3250
4.6250 0.0000 9.3250
4.3750 0.0000 1.9500
4.3250 0.0000 1.9500
4.3250 0.0000
10061981 0.2500 10.0000
343650.00 0.0500 9.9500
5.2500 0.0000 9.9500
5.0000 0.0000 1.9500
4.9500 0.0000 1.9500
4.9500 0.0000
10061985 0.2500 10.2500
720000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
10063341 0.2500 11.3750
430000.00 0.0500 11.3250
5.6250 0.0000 11.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
10064159 0.2500 10.1250
450400.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
10065343 0.2500 12.0000
593000.00 0.0500 11.9500
6.2500 0.0000 11.9500
6.0000 0.0000 1.9500
5.9500 0.0000 1.9500
5.9500 0.0000
10067317 0.2500 10.1250
431000.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
10068027 0.2500 11.0000
152000.00 0.0500 10.9500
5.2500 0.0000 10.9500
5.0000 0.0000 1.9500
4.9500 0.0000 1.9500
4.9500 0.0000
10068189 0.2500 11.1250
675000.00 0.0500 11.0750
5.3750 0.0000 11.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
10073479 0.2500 10.2500
200000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
10074015 0.2500 11.8750
140000.00 0.0500 11.8250
6.1250 0.0000 11.8250
5.8750 0.0000 1.9500
5.8250 0.0000 1.9500
5.8250 0.0000
10076349 0.2500 11.1250
114000.00 0.0500 11.0750
5.3750 0.0000 11.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
Total Number of Loans: 664
Total Original Balance: 281,504,030.00
Total Principal Balance: 280,976,142.77
Total Original P+I: 1,341,379.42
Total Current P+I: 1,341,092.16
EXHIBIT FIVE
MORTGAGE LOAN SCHEDULE FOR SUB-LOAN GROUP II-2
Non Fixed Rate Loan
Loan Number Orig Rate Original Bal Max Neg Amort
Curr Rate Principal Bal Loan Feature
Net Curr Original PI # of Units
Note Ceiling Current PI LTV
City State Zip Net Ceiling Note Date
Servicer Loan # Note Floor First Pay Date MI Co Code
Seller Loan # Net Floor Maturity Date MI Coverage
Investor Loan # Gross Margin 1st IntChgDate Nxt IntChgDate
S/S Code Net Margin 1st PmtChgDate Nxt PmtChgDate
Int Chg Prior Day 1st Yr Floor Pmt Cap Incr Pmt Cap Decr
Payment Type 1st Yr Ceil Int Chg Freq Mos Pmt Chg Freq Mos
Orig Term Adj Index Period Incr Period Decr
Note Life Incr Note Round Type Note Round Mth Note Round Fctr
Net Life Incr Net Round Type Net Round Mth Net Round Fctr
Note Life Decr Loan Purp Convert Code Convert Prd From
Net Life Decr Prop Type Convert Index Convert Prd To
Occup Code Convert Margin
9673809 4.8750 200000.0000 100.0000
4.8750 200,000.00 ZZ
4.6250 812.50 1
9.8750 812.50 79
RENO NV 89506 9.6250 10/05/04
0438614083 0.0000 12/01/04 00
1260008632 0.0000 11/01/34 0.0000
0 2.2500 11/01/09 11/01/09
N67/G01 2.0000 12/01/09 12/01/09
45 2.2500 0.0000 0.0000
A 9.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9737274 5.7500 339200.0000 100.0000
5.7500 339,200.00 ZZ
5.5000 1625.33 1
10.7500 1625.33 80
WASHINGTON DC 20018 10.5000 04/08/05
0439136763 0.0000 06/01/05 00
31805058 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
696/G01 2.0000 06/01/10 06/01/10
25 2.2500 0.0000 0.0000
A 10.7500 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9746064 5.7500 256000.0000 100.0000
5.7500 254,996.65 ZZ
5.5000 1226.67 1
10.7500 1221.88 80
WASHINGTON DC 20009 10.5000 04/22/05
0439197047 0.0000 06/01/05 00
30205031 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
696/G01 2.0000 06/01/10 06/01/10
25 2.2500 0.0000 0.0000
A 10.7500 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9761790 5.7500 518950.0000 100.0000
5.7500 518,950.00 ZZ
5.5000 2486.64 1
10.7500 2486.64 80
IJAMSVILLE MD 21754 10.5000 04/29/05
0439223348 0.0000 06/01/05 00
31104105 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
696/G01 2.0000 06/01/10 06/01/10
25 2.5000 0.0000 0.0000
A 10.7500 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9765920 5.7500 284000.0000 100.0000
5.7500 284,000.00 ZZ
5.5000 1360.83 1
10.7500 1360.83 80
RESTON VA 20194 10.5000 05/06/05
0439250879 0.0000 07/01/05 00
40105143 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
696/G01 2.0000 07/01/10 07/01/10
25 2.2500 0.0000 0.0000
A 10.7500 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9777426 5.5000 440000.0000 100.0000
5.5000 440,000.00 ZZ
5.2500 2016.67 1
10.5000 2016.67 55
ROCKVILLE MD 20853 10.2500 04/29/05
0439259722 0.0000 06/01/05 00
30305054 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
696/G01 2.0000 06/01/10 06/01/10
25 2.2500 0.0000 0.0000
A 10.5000 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9777428 5.3750 448500.0000 100.0000
5.3750 448,500.00 ZZ
5.1250 2008.91 1
10.3750 2008.91 56
LEESBURG VA 20176 10.1250 05/06/05
0439257361 0.0000 07/01/05 00
27005094 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
696/G01 2.0000 07/01/10 07/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9777430 5.3750 408000.0000 100.0000
5.3750 408,000.00 ZZ
5.1250 1827.50 1
10.3750 1827.50 80
ASHBURN VA 20147 10.1250 04/25/05
0439262981 0.0000 06/01/05 00
24505093 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
696/G01 2.0000 06/01/10 06/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 09 00
O 0.0000
9777434 5.6250 231900.0000 100.0000
5.6250 231,900.00 ZZ
5.3750 1087.03 1
10.6250 1087.03 80
DERWOOD MD 20855 10.3750 04/28/05
0439271800 0.0000 06/01/05 00
25005068 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
696/G01 2.0000 06/01/10 06/01/10
25 2.2500 0.0000 0.0000
A 10.6250 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9779106 5.6250 650000.0000 100.0000
5.6250 650,000.00 ZZ
5.3750 3046.88 1
10.6250 3046.88 77
BETHESDA MD 20816 10.3750 04/27/05
0439279100 0.0000 06/01/05 00
31805059 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
696/G01 2.0000 06/01/10 06/01/10
25 2.2500 0.0000 0.0000
A 10.6250 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9780272 5.3750 339350.0000 100.0000
5.3750 339,350.00 ZZ
5.1250 1520.01 1
10.3750 1520.01 80
WASHINGTON DC 20036 10.1250 05/06/05
0439311168 0.0000 07/01/05 00
25005109 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
696/G01 2.0000 07/01/10 07/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 09 00
O 0.0000
9782226 5.7500 400000.0000 100.0000
5.7500 400,000.00 ZZ
5.5000 1916.67 1
10.7500 1916.67 80
FAIRFAX VA 22030 10.5000 05/16/05
0439318353 0.0000 07/01/05 00
21705064 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
696/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9782994 5.3750 295900.0000 100.0000
5.3750 295,900.00 ZZ
5.1250 1325.39 1
10.3750 1325.39 80
BALTIMORE MD 21224 10.1250 05/14/05
0439338591 0.0000 07/01/05 00
27005095 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
696/G01 2.0000 07/01/10 07/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 07 00
O 0.0000
9785596 5.3750 212800.0000 100.0000
5.3750 212,800.00 ZZ
5.1250 953.17 1
10.3750 953.17 80
FALLS CHURCH VA 22041 10.1250 05/18/05
0439331968 0.0000 07/01/05 00
26505073 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
696/G01 2.0000 07/01/10 07/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9787264 5.7500 408000.0000 100.0000
5.7500 406,354.87 ZZ
5.5000 2380.98 2
10.7500 2380.98 67
MEDFORD MA 02155 10.5000 04/22/05
0004016941 0.0000 06/01/05 00
0004016941 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
286/286 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9788932 5.2500 320000.0000 100.0000
5.2500 320,000.00 ZZ
5.0000 1400.00 1
10.2500 1400.00 80
GAINESVILLE VA 20155 10.0000 05/24/05
0439343377 0.0000 07/01/05 00
40105164 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
696/G01 2.0000 07/01/10 07/01/10
25 2.2500 0.0000 0.0000
A 10.2500 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 09 00
O 0.0000
9790496 5.5000 325000.0000 100.0000
5.5000 323,647.14 ZZ
5.2500 1845.32 1
10.5000 1845.32 68
CHANDLER AZ 85249 10.2500 04/21/05
0003261925 0.0000 06/01/05 00
0003261925 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
286/286 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9790498 5.2500 327920.0000 100.0000
5.2500 327,166.07 ZZ
5.0000 1810.79 1
10.2500 1810.79 80
FAIRFAX VA 22030 10.0000 05/13/05
0003378658 0.0000 07/01/05 00
0003378658 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9790500 4.8750 335772.0000 100.0000
4.8750 335,772.00 ZZ
4.6250 1364.07 1
9.8750 1364.07 80
RESTON VA 20190 9.6250 05/13/05
0003378959 0.0000 07/01/05 00
0003378959 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 9.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 08 00
O 0.0000
9790506 6.1250 352000.0000 100.0000
6.1250 352,000.00 ZZ
5.8750 1796.67 1
11.1250 1796.67 80
REDMOND OR 97756 10.8750 04/27/05
0003563687 0.0000 06/01/05 00
0003563687 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
286/286 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 11.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 4 0
0.0000 05 00
O 0.0000
9790510 5.5000 312000.0000 100.0000
5.5000 311,520.00 ZZ
5.2500 1430.00 1
10.5000 1428.53 80
SPRING TX 77386 10.2500 04/25/05
0003694800 0.0000 06/01/05 00
0003694800 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
286/286 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9790512 5.3750 202500.0000 100.0000
5.3750 202,500.00 ZZ
5.1250 907.03 1
10.3750 907.03 60
GREENFIELD MA 01301 10.1250 05/12/05
0003753360 0.0000 07/01/05 00
0003753360 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9790516 5.3750 639000.0000 100.0000
5.3750 639,000.00 ZZ
5.1250 2862.19 1
10.3750 2862.19 80
KANSAS CITY MO 64112 10.1250 05/11/05
0003822303 0.0000 07/01/05 00
0003822303 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 07 00
O 0.0000
9790522 6.1250 339900.0000 100.0000
6.1250 339,900.00 ZZ
5.8750 1734.91 1
11.1250 1734.91 80
BEALETON VA 22712 10.8750 05/13/05
0003911244 0.0000 07/01/05 00
0003911244 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 11.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9790526 6.2500 182000.0000 100.0000
6.2500 181,999.50 ZZ
6.0000 947.92 1
11.2500 947.92 57
FREDERICK MD 21703 11.0000 05/07/05
0003922392 0.0000 07/01/05 00
0003922392 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 11.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9790528 5.2500 410000.0000 100.0000
5.2500 410,000.00 ZZ
5.0000 1793.75 1
10.2500 1793.75 68
GAITHERSBURG MD 20878 10.0000 05/13/05
0003935567 0.0000 07/01/05 00
0003935567 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9790534 5.2500 375000.0000 100.0000
5.2500 374,137.83 ZZ
5.0000 2070.77 1
10.2500 2070.77 15
SAINT LOUIS MO 63131 10.0000 05/12/05
0003950625 0.0000 07/01/05 00
0003950625 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9790536 5.6250 178600.0000 100.0000
5.6250 178,600.00 ZZ
5.3750 837.19 1
10.6250 837.19 95
CHICAGO IL 60626 10.3750 05/18/05
0003954012 0.0000 07/01/05 10
0003954012 0.0000 06/01/35 30.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9790540 5.8750 322000.0000 100.0000
5.8750 321,952.80 ZZ
5.6250 1576.46 1
10.8750 1576.34 70
VAN NUYS CA 91406 10.6250 05/03/05
0003961612 0.0000 07/01/05 00
0003961612 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9790542 5.6250 375900.0000 100.0000
5.6250 375,900.00 ZZ
5.3750 1762.03 1
10.6250 1762.03 80
STAFFORD VA 22554 10.3750 05/13/05
0003963806 0.0000 07/01/05 00
0003963806 0.0000 06/01/35 0.0000
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5.2500 1716.00 1
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SILVER SPRING MD 20904 10.2500 05/13/05
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5.3750 2343.75 1
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SIMPSONVILLE SC 29681 10.3750 04/26/05
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45 2.2500 0.0000 0.0000
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5.1250 940.63 1
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WOODRIDGE IL 60517 10.1250 05/17/05
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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5.3750 2695.31 1
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MIDDLETOWN OH 45044 10.3750 05/11/05
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5.3750 585.94 1
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LAWRENCEVILLE GA 30043 10.3750 05/11/05
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
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5.1250 2153.94 1
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FALLS CHURCH VA 22042 10.1250 05/16/05
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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4.7500 483.33 1
10.0000 482.96 53
PALM HARBOR FL 34683 9.7500 05/16/05
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45 2.2500 0.0000 0.0000
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9790564 5.2500 436000.0000 100.0000
5.2500 434,997.59 ZZ
5.0000 2407.61 1
10.2500 2407.61 80
RESTON VA 20190 10.0000 05/17/05
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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9790566 5.6250 100000.0000 100.0000
5.6250 100,000.00 T
5.3750 468.75 1
10.6250 468.75 37
CHARLOTTESVILLE VA 22911 10.3750 05/17/05
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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5.3750 264,903.66 TX
5.1250 1486.72 1
10.3750 1486.72 41
DALLAS TX 75230 10.1250 05/10/05
0004016451 0.0000 07/01/05 00
0004016451 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9790570 5.5000 335900.0000 100.0000
5.5000 335,746.39 ZZ
5.2500 1539.54 1
10.5000 1539.19 80
FREDERICK MD 21702 10.2500 05/18/05
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9790584 5.2500 291000.0000 100.0000
5.2500 290,269.86 ZZ
5.0000 1606.92 1
10.2500 1606.92 70
BALTIMORE MD 21210 10.0000 05/16/05
0004027286 0.0000 07/01/05 00
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0 2.2500 06/01/10 06/01/10
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5.5000 350,000.00 ZZ
5.2500 1604.17 1
10.5000 1604.17 69
LONGMONT CO 80503 10.2500 05/17/05
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0 2.2500 06/01/10 06/01/10
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45 2.2500 0.0000 0.0000
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5.7500 348,000.00 ZZ
5.5000 1667.50 1
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GAITHERSBURG MD 20878 10.5000 05/12/05
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0 2.2500 06/01/10 06/01/10
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45 2.2500 0.0000 0.0000
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6.2500 198,000.00 ZZ
6.0000 1031.25 1
11.2500 1031.25 75
ORLANDO FL 32828 11.0000 05/11/05
0004030590 1.2500 07/01/05 00
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0 2.2500 06/01/10 06/01/10
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45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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5.0000 150,000.00 ZZ
4.7500 625.00 1
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ROSEBURG OR 97470 9.7500 05/12/05
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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0.0000 S N 0.1250
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9790596 5.6250 156000.0000 100.0000
5.6250 156,000.00 T
5.3750 731.25 1
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JACKSONVILLE FL 32225 10.3750 05/18/05
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9790600 5.0000 226600.0000 100.0000
5.0000 226,600.00 ZZ
4.7500 944.17 1
10.0000 944.17 80
BEND OR 97701 9.7500 05/04/05
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9790602 5.8750 185000.0000 100.0000
5.8750 185,000.00 ZZ
5.6250 905.73 1
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LANSDALE PA 19446 10.6250 05/12/05
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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0.0000 07 00
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9790604 5.6250 212000.0000 100.0000
5.6250 212,000.00 ZZ
5.3750 993.75 1
10.6250 993.75 80
BALTIMORE MD 21230 10.3750 05/12/05
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0004036202 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 07 00
O 0.0000
9790606 5.2500 553600.0000 100.0000
5.2500 330,100.00 ZZ
5.0000 2422.00 1
10.2500 1439.91 80
WASHINGTON DC 20008 10.0000 05/10/05
0004036275 0.0000 07/01/05 00
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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O 0.0000
9790614 5.5000 170800.0000 100.0000
5.5000 170,800.00 ZZ
5.2500 782.83 1
10.5000 782.83 76
PEARLAND TX 77584 10.2500 05/03/05
0004036925 0.0000 07/01/05 00
0004036925 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9790616 5.2500 103500.0000 100.0000
5.2500 103,262.02 ZZ
5.0000 571.54 1
10.2500 571.54 52
TAMPA FL 33602 10.0000 05/09/05
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9790618 5.6250 241500.0000 100.0000
5.6250 240,222.18 ZZ
5.3750 1132.03 1
10.6250 1128.37 80
AUSTIN TX 78731 10.3750 04/25/05
0004038241 0.0000 06/01/05 00
0004038241 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
286/286 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9790620 5.1250 373500.0000 100.0000
5.1250 373,500.00 ZZ
4.8750 1595.16 1
10.1250 1595.16 45
YORBA LINDA CA 92886 9.8750 05/11/05
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 2 0
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5.3750 299,200.00 ZZ
5.1250 1340.17 1
10.3750 1340.17 80
SILVER SPRING MD 20906 10.1250 05/10/05
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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5.8750 219,000.00 ZZ
5.6250 1072.19 1
10.8750 1072.19 65
MIDDLETOWN MD 21769 10.6250 05/12/05
0004038792 0.0000 07/01/05 00
0004038792 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 5 0
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5.2500 368,800.00 ZZ
5.0000 1613.50 1
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ALEXANDRIA VA 22310 10.0000 05/12/05
0004038881 0.0000 07/01/05 00
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
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5.6250 135,850.00 ZZ
5.3750 637.03 1
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LATROBE PA 15650 10.3750 05/17/05
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9790632 5.5000 168000.0000 100.0000
5.5000 168,000.00 ZZ
5.2500 770.00 1
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WASHINGTON DC 20007 10.2500 05/11/05
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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0.0000 1 0
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O 0.0000
9790634 5.5000 299900.0000 100.0000
5.5000 299,900.00 ZZ
5.2500 1374.54 1
10.5000 1374.54 75
CHESTERFIELD MO 63017 10.2500 05/13/05
0004041556 0.0000 07/01/05 00
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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5.3750 370,000.00 T
5.1250 1657.29 1
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KEY LARGO FL 33037 10.1250 05/18/05
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
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5.2500 487,200.00 ZZ
5.0000 2131.50 1
10.2500 2131.50 80
LORTON VA 22079 10.0000 05/18/05
0004042622 0.0000 07/01/05 00
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9790640 6.0000 344000.0000 100.0000
6.0000 344,000.00 ZZ
5.7500 1720.00 1
11.0000 1720.00 80
CHANTILLY VA 20152 10.7500 05/17/05
0004042945 0.0000 07/01/05 00
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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5.3750 385,000.00 ZZ
5.1250 1724.48 1
10.3750 1724.48 73
ALEXANDRIA VA 22308 10.1250 05/12/05
0004044057 0.0000 07/01/05 00
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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5.1250 148,386.27 ZZ
4.8750 1274.63 1
10.1250 1274.36 80
CUMMING GA 30040 9.8750 05/09/05
0004044692 0.0000 07/01/05 00
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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5.6250 395,999.80 ZZ
5.3750 1856.25 1
10.6250 1856.25 80
CENTENNIAL CO 80111 10.3750 05/18/05
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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5.7500 308,000.00 ZZ
5.5000 1475.83 1
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HOBOKEN NJ 07030 10.5000 05/10/05
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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0.0000 S N 0.1250
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5.0000 850,000.00 ZZ
4.7500 3541.67 1
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CHEVY CHASE MD 20815 9.7500 05/12/05
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9790660 6.0000 391900.0000 100.0000
6.0000 391,900.00 ZZ
5.7500 1959.50 1
11.0000 1959.50 80
STERLING VA 20165 10.7500 05/12/05
0004048339 0.0000 07/01/05 00
0004048339 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 11.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 09 00
O 0.0000
9790664 5.2500 255800.0000 100.0000
5.2500 255,800.00 ZZ
5.0000 1119.13 1
10.2500 1119.13 22
SAN JOSE CA 95120 10.0000 05/11/05
0004048436 0.0000 07/01/05 00
0004048436 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9790672 5.2500 317000.0000 100.0000
5.2500 317,000.00 ZZ
5.0000 1386.88 1
10.2500 1386.88 58
GERMANTOWN MD 20874 10.0000 05/10/05
0004049894 0.0000 07/01/05 00
0004049894 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9790674 5.7500 393600.0000 100.0000
5.7500 393,600.00 T
5.5000 1886.00 1
10.7500 1886.00 80
QUEEN CREEK AZ 85242 10.5000 05/09/05
0004050249 0.0000 07/01/05 00
0004050249 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9790676 5.3750 270000.0000 100.0000
5.3750 270,000.00 ZZ
5.1250 1209.38 1
10.3750 1209.38 63
SPRINGFIELD VA 22150 10.1250 05/13/05
0004051295 0.0000 07/01/05 00
0004051295 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9790678 5.5000 376000.0000 100.0000
5.5000 376,000.00 ZZ
5.2500 1723.33 1
10.5000 1723.33 80
LEESBURG VA 20176 10.2500 05/10/05
0004051744 0.0000 07/01/05 00
0004051744 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 07 00
O 0.0000
9790680 5.1250 415200.0000 100.0000
5.1250 415,200.00 ZZ
4.8750 1773.25 1
10.1250 1773.25 80
CHANDLER AZ 85248 9.8750 05/03/05
0004052694 0.0000 07/01/05 00
0004052694 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9790682 5.8750 139200.0000 100.0000
5.8750 139,145.32 ZZ
5.6250 681.50 1
10.8750 681.23 80
BALTIMORE MD 21207 10.6250 05/13/05
0004052761 0.0000 07/01/05 00
0004052761 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9790684 5.3750 132000.0000 100.0000
5.3750 132,000.00 ZZ
5.1250 591.25 1
10.3750 591.25 80
AUSTIN TX 78723 10.1250 04/29/05
0004053054 0.0000 07/01/05 00
0004053054 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9790688 5.5000 143400.0000 100.0000
5.5000 143,400.00 ZZ
5.2500 657.25 1
10.5000 657.25 78
ALLEN TX 75002 10.2500 05/11/05
0004053221 0.0000 07/01/05 00
0004053221 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9790690 5.5000 408650.0000 100.0000
5.5000 408,650.00 ZZ
5.2500 1872.98 1
10.5000 1872.98 80
WEST CHICAGO IL 60185 10.2500 05/02/05
0004053396 0.0000 07/01/05 00
0004053396 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9790692 5.5000 650000.0000 100.0000
5.5000 650,000.00 ZZ
5.2500 2979.17 1
10.5000 2979.17 73
WASHINGTON DC 20002 10.2500 05/10/05
0004053961 0.0000 07/01/05 00
0004053961 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9790696 5.3750 386800.0000 100.0000
5.3750 385,931.20 ZZ
5.1250 2165.97 1
10.3750 2165.97 80
GAITHERSBURG MD 20878 10.1250 05/18/05
0004054434 0.0000 07/01/05 00
0004054434 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9790700 5.2500 528000.0000 100.0000
5.2500 528,000.00 ZZ
5.0000 2310.00 1
10.2500 2310.00 80
ELMHURST IL 60126 10.0000 05/13/05
0004054488 0.0000 07/01/05 00
0004054488 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9790704 5.5000 272000.0000 100.0000
5.5000 272,000.00 ZZ
5.2500 1246.67 1
10.5000 1246.67 80
ANN ARBOR MI 48103 10.2500 05/16/05
0004054893 0.0000 07/01/05 00
0004054893 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9790706 5.0000 252000.0000 100.0000
5.0000 252,000.00 ZZ
4.7500 1050.00 1
10.0000 1050.00 80
CHICAGO IL 60630 9.7500 05/12/05
0004054998 0.0000 07/01/05 00
0004054998 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9790708 5.3750 338500.0000 100.0000
5.3750 338,500.00 ZZ
5.1250 1516.20 1
10.3750 1516.20 64
CHEVY CHASE MD 20815 10.1250 05/09/05
0004055178 0.0000 07/01/05 00
0004055178 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 01 00
O 0.0000
9790710 5.3750 118000.0000 100.0000
5.3750 118,000.00 ZZ
5.1250 528.54 1
10.3750 528.54 66
KATY TX 77450 10.1250 05/06/05
0004055869 0.0000 07/01/05 00
0004055869 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9790714 5.6250 514000.0000 100.0000
5.6250 514,000.00 ZZ
5.3750 2409.38 1
10.6250 2409.38 70
SCOTTSDALE AZ 85259 10.3750 05/09/05
0004056064 0.0000 07/01/05 00
0004056064 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9790716 5.6250 212500.0000 100.0000
5.6250 212,017.73 ZZ
5.3750 996.09 1
10.6250 993.82 75
BALTIMORE MD 21234 10.3750 05/10/05
0004056871 0.0000 07/01/05 00
0004056871 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9790720 5.5000 189600.0000 100.0000
5.5000 189,556.85 ZZ
5.2500 869.00 1
10.5000 869.00 80
DULUTH GA 30096 10.2500 04/28/05
0004057203 0.0000 06/01/05 00
0004057203 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
286/286 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9790722 5.8750 225000.0000 100.0000
5.8750 223,470.00 ZZ
5.6250 1101.56 1
10.8750 1094.04 75
TWIN LAKES WI 53181 10.6250 05/13/05
0004057595 0.0000 07/01/05 00
0004057595 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9790724 5.6250 176800.0000 100.0000
5.6250 176,800.00 ZZ
5.3750 828.75 1
10.6250 828.75 80
GRAND JUNCTION CO 81505 10.3750 05/13/05
0004057738 0.0000 07/01/05 00
0004057738 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9790726 5.7500 360000.0000 100.0000
5.7500 359,953.01 ZZ
5.5000 1725.00 1
10.7500 1724.89 80
WASHINGTON DC 20005 10.5000 05/13/05
0004057773 0.0000 07/01/05 00
0004057773 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 08 00
O 0.0000
9790728 5.5000 550000.0000 100.0000
5.5000 550,000.00 T
5.2500 2520.83 1
10.5000 2520.83 80
NARRAGANSETT RI 02882 10.2500 05/16/05
0004059105 0.0000 07/01/05 00
0004059105 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9790730 5.1250 105000.0000 100.0000
5.1250 104,800.00 ZZ
4.8750 448.44 1
10.1250 448.01 68
TOLEDO OH 43614 9.8750 05/13/05
0004059305 0.0000 07/01/05 00
0004059305 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9790738 5.2500 329000.0000 100.0000
5.2500 328,439.38 ZZ
5.0000 1439.38 1
10.2500 1436.91 47
SAN JOSE CA 95127 10.0000 05/04/05
0004061127 0.0000 07/01/05 00
0004061127 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9790740 5.0000 400000.0000 100.0000
5.0000 399,036.75 ZZ
4.7500 2147.29 1
10.0000 2147.29 80
ALEXANDRIA VA 22304 9.7500 05/17/05
0004061287 0.0000 07/01/05 00
0004061287 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9790742 5.1250 248000.0000 100.0000
5.1250 248,000.00 ZZ
4.8750 1059.17 1
10.1250 1059.17 80
MCLEAN VA 22102 9.8750 05/11/05
0004061540 0.0000 07/01/05 00
0004061540 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9790744 5.5000 413800.0000 100.0000
5.5000 413,800.00 ZZ
5.2500 1896.58 1
10.5000 1896.58 80
KENSINGTON MD 20895 10.2500 05/10/05
0004061574 0.0000 07/01/05 00
0004061574 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9790750 4.8750 500000.0000 100.0000
4.8750 498,675.44 ZZ
4.6250 2646.05 1
9.8750 2646.05 58
NORTH POTOMAC MD 20878 9.6250 05/18/05
0004064470 0.0000 07/01/05 00
0004064470 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 9.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9790756 5.0000 291500.0000 100.0000
5.0000 290,798.02 ZZ
4.7500 1564.84 1
10.0000 1564.84 25
TUSTIN CA 92782 9.7500 05/10/05
0004068053 0.0000 07/01/05 00
0004068053 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9790758 5.5000 308000.0000 100.0000
5.5000 308,000.00 ZZ
5.2500 1411.67 1
10.5000 1411.67 80
RENO NV 89512 10.2500 05/11/05
0004068196 0.0000 07/01/05 00
0004068196 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9790760 5.3750 120000.0000 100.0000
5.3750 120,000.00 ZZ
5.1250 537.50 1
10.3750 537.50 35
MODESTO CA 95350 10.1250 05/09/05
0004068432 0.0000 07/01/05 00
0004068432 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9790762 5.0000 333000.0000 100.0000
5.0000 333,000.00 ZZ
4.7500 1387.50 1
10.0000 1387.50 60
BOULDER CO 80304 9.7500 05/10/05
0004068969 0.0000 07/01/05 00
0004068969 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9790764 5.3750 645000.0000 100.0000
5.3750 645,000.00 ZZ
5.1250 2889.06 1
10.3750 2889.06 69
SAN RAMON CA 94583 10.1250 05/11/05
0004072043 0.0000 07/01/05 00
0004072043 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9790766 5.7500 423000.0000 100.0000
5.7500 420,858.94 ZZ
5.5000 2026.88 1
10.7500 2017.15 80
SAN DIEGO CA 92111 10.5000 05/09/05
0004072203 0.0000 07/01/05 00
0004072203 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9790772 5.5000 133500.0000 100.0000
5.5000 133,500.00 ZZ
5.2500 611.88 1
10.5000 611.87 68
GERMANTOWN MD 20874 10.2500 05/18/05
0004078921 0.0000 07/01/05 00
0004078921 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9790774 5.7500 400000.0000 100.0000
5.7500 399,162.74 ZZ
5.5000 2334.30 1
10.7500 2334.30 62
WASHINGTON DC DC 20001 10.5000 05/16/05
0004088379 0.0000 07/01/05 00
0004088379 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 08 00
O 0.0000
9790776 5.6250 616758.0000 100.0000
5.6250 616,757.13 ZZ
5.3750 2891.05 1
10.6250 2891.05 80
HUNTINGTOWN MD 20639 10.3750 05/16/05
0004096523 0.0000 07/01/05 00
0004096523 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9790778 5.5000 400000.0000 100.0000
5.5000 400,000.00 ZZ
5.2500 1833.33 1
10.5000 1833.33 58
INDIAN HEAD MD 20640 10.2500 05/18/05
0004097321 0.0000 07/01/05 00
0004097321 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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O 0.0000
9791252 5.3750 535000.0000 100.0000
5.3750 534,896.35 ZZ
5.1250 2396.35 1
10.3750 2396.35 77
CHEVY CHASE MD 20815 10.1250 05/25/05
0439347873 0.0000 07/01/05 00
30205044 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
696/G01 2.0000 07/01/10 07/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
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O 0.0000
9791982 5.2500 400000.0000 100.0000
5.2500 399,970.00 T
5.0000 1750.00 1
10.2500 1749.87 73
FREDERICKSBURG VA 22406 10.0000 05/27/05
0439352667 0.0000 07/01/05 00
21405050 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
696/G01 2.0000 07/01/10 07/01/10
25 2.2500 0.0000 0.0000
A 10.2500 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9798178 5.2500 496000.0000 100.0000
5.2500 496,000.00 ZZ
5.0000 2170.00 1
10.2500 2170.00 80
SPRINGFIELD VA 22150 10.0000 05/20/05
0439352725 0.0000 07/01/05 00
21405051 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
696/G01 2.0000 07/01/10 07/01/10
25 2.2500 0.0000 0.0000
A 10.2500 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 09 00
O 0.0000
9808730 5.6250 412000.0000 100.0000
5.6250 412,000.00 ZZ
5.3750 1931.25 1
10.6250 1931.25 80
ARLINGTON VA 22206 10.3750 05/26/05
0439537747 0.0000 07/01/05 00
21405081 0.0000 06/01/35 0.0000
0 3.2500 06/01/10 06/01/10
696/G02 3.0000 07/01/10 07/01/10
25 3.2500 0.0000 0.0000
A 10.6250 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9808740 5.3750 329650.0000 100.0000
5.3750 328,909.56 ZZ
5.1250 1845.95 1
10.3750 1845.95 80
HERNDON VA 20171 10.1250 05/24/05
0439360942 0.0000 07/01/05 00
24505056 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
696/G01 2.0000 07/01/10 07/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9808748 5.3750 400000.0000 100.0000
5.3750 400,000.00 ZZ
5.1250 1791.67 1
10.3750 1791.67 47
ARLINGTON VA 22209 10.1250 06/01/05
0439363417 0.0000 07/01/05 00
32705087 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
696/G01 2.0000 07/01/10 07/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 07 00
O 0.0000
9808758 5.6250 1000000.0000 100.0000
5.6250 1,000,000.00 ZZ
5.3750 4687.50 1
10.6250 4687.50 75
GREAT FALLS VA 22066 10.3750 05/25/05
0439358243 0.0000 07/01/05 00
22805059 0.0000 06/01/35 0.0000
0 3.2500 06/01/10 06/01/10
696/G01 3.0000 07/01/10 07/01/10
25 3.2500 0.0000 0.0000
A 10.6250 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9811870 5.3750 519200.0000 100.0000
5.3750 519,200.00 ZZ
5.1250 2325.58 1
10.3750 2325.58 80
CHEVY CHASE MD 20815 10.1250 05/25/05
0439364225 0.0000 07/01/05 00
31105087 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
696/G01 2.0000 07/01/10 07/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9811874 5.6250 406400.0000 100.0000
5.6250 406,400.00 ZZ
5.3750 1905.00 1
10.6250 1905.00 80
GAINESVILLE VA 20155 10.3750 05/31/05
0439368226 0.0000 07/01/05 00
23305156 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
696/G01 2.0000 07/01/10 07/01/10
25 2.2500 0.0000 0.0000
A 10.6250 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9814584 5.3750 535200.0000 100.0000
5.3750 535,200.00 ZZ
5.1250 2397.25 1
10.3750 2397.25 80
BRINKLOW MD 20862 10.1250 05/31/05
0439374224 0.0000 07/01/05 00
32905073 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
696/G01 2.0000 07/01/10 07/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9814598 5.3750 239900.0000 100.0000
5.3750 239,900.00 T
5.1250 1074.55 1
10.3750 1074.55 80
CRISFIELD MD 21817 10.1250 05/31/05
0439375569 0.0000 07/01/05 00
30305052 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
696/G01 2.0000 07/01/10 07/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 08 00
O 0.0000
9816630 5.3750 300000.0000 100.0000
5.3750 300,000.00 ZZ
5.1250 1343.75 1
10.3750 1343.75 40
MIDDLEBURG VA 20117 10.1250 05/31/05
0439377235 0.0000 07/01/05 00
50105108 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
696/G01 2.0000 07/01/10 07/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9817584 5.3750 320000.0000 100.0000
5.3750 320,000.00 ZZ
5.1250 1433.33 1
10.3750 1433.33 80
WASHINGTON DC 20018 10.1250 05/27/05
0439379496 0.0000 07/01/05 00
27005112 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
696/G01 2.0000 07/01/10 07/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9817588 5.3750 379000.0000 100.0000
5.3750 379,000.00 ZZ
5.1250 1697.60 1
10.3750 1697.60 69
STERLING VA 20165 10.1250 05/31/05
0439379165 0.0000 07/01/05 00
21405083 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
696/G01 2.0000 07/01/10 07/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9817596 5.2500 260000.0000 100.0000
5.2500 260,000.00 ZZ
5.0000 1137.50 1
10.2500 1137.50 80
ALEXANDRIA VA 22312 10.0000 06/03/05
0439379769 0.0000 07/01/05 00
33605047 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
696/G01 2.0000 07/01/10 07/01/10
25 2.2500 0.0000 0.0000
A 10.2500 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9817877 5.0000 400000.0000 100.0000
5.0000 398,658.31 ZZ
4.7500 1666.67 1
10.0000 1662.48 19
LAKE FOREST IL 60045 9.7500 02/16/05
0438974412 0.0000 04/01/05 00
85346 0.0000 03/01/35 0.0000
0 2.2500 03/01/10 03/01/10
E33/G01 2.0000 04/01/10 04/01/10
25 2.0000 0.0000 0.0000
A 10.0000 12 12
360 E12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9824506 5.2500 282400.0000 100.0000
5.2500 282,400.00 ZZ
5.0000 1235.50 1
10.2500 1235.50 80
ARLINGTON VA 22206 10.0000 05/31/05
0439390956 0.0000 07/01/05 00
32605131 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
696/G01 2.0000 07/01/10 07/01/10
25 2.2500 0.0000 0.0000
A 10.2500 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9824508 5.2500 283000.0000 100.0000
5.2500 283,000.00 ZZ
5.0000 1238.13 1
10.2500 1238.13 79
CENTREVILLE VA 20120 10.0000 06/08/05
0439388117 0.0000 08/01/05 00
50105117 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 10.2500 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9829470 5.5000 2775000.0000 100.0000
5.5000 2,775,000.00 ZZ
5.2500 12718.76 1
10.5000 12718.75 58
MCLEAN VA 22101 10.2500 06/09/05
0439409988 0.0000 08/01/05 00
10005060 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 10.5000 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9830470 5.6250 325000.0000 100.0000
5.6250 325,000.00 ZZ
5.3750 1523.44 1
10.6250 1523.44 74
BURKE VA 22015 10.3750 06/15/05
0439463704 0.0000 08/01/05 00
26105064 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 10.6250 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9832030 5.3750 331000.0000 100.0000
5.3750 331,000.00 ZZ
5.1250 1482.60 1
10.3750 1482.60 75
ARLINGTON VA 22206 10.1250 06/13/05
0439532441 0.0000 08/01/05 00
25505072 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 01 00
O 0.0000
9832444 5.5000 598700.0000 100.0000
5.5000 598,700.00 ZZ
5.2500 2744.04 1
10.5000 2744.04 80
WASHINGTON DC 20009 10.2500 06/17/05
0439476128 0.0000 08/01/05 00
30105047 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 10.5000 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 07 00
O 0.0000
9832456 5.3750 392000.0000 100.0000
5.3750 392,000.00 ZZ
5.1250 1755.83 1
10.3750 1755.83 80
ALEXANDRIA VA 22306 10.1250 06/15/05
0439479981 0.0000 08/01/05 00
24605104 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 09 00
O 0.0000
9833250 5.3750 275000.0000 100.0000
5.3750 275,000.00 ZZ
5.1250 1231.77 1
10.3750 1231.77 67
WASHINGTON DC 20001 10.1250 06/17/05
0439483108 0.0000 08/01/05 00
27005126 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 07 00
O 0.0000
9833256 5.8750 975000.0000 100.0000
5.8750 975,000.00 ZZ
5.6250 4773.44 1
10.8750 4773.44 65
CHESAPEAKE VA 23322 10.6250 04/29/05
0439483306 0.0000 06/01/05 00
50105056 0.0000 05/01/35 0.0000
0 3.2500 05/01/10 05/01/10
696/G01 3.0000 06/01/10 06/01/10
25 3.2500 0.0000 0.0000
A 10.8750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9833264 5.3750 402400.0000 100.0000
5.3750 402,400.00 ZZ
5.1250 1802.42 1
10.3750 1802.42 80
WASHINGTON DC 20009 10.1250 06/17/05
0439483363 0.0000 08/01/05 00
25605149 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9833270 5.6250 460000.0000 100.0000
5.6250 460,000.00 ZZ
5.3750 2156.25 1
10.6250 2156.25 80
WASHINGTON DC 20011 10.3750 06/17/05
0439483124 0.0000 08/01/05 00
31805095 0.0000 07/01/35 0.0000
0 3.2500 07/01/10 07/01/10
696/G02 3.0000 08/01/10 08/01/10
25 3.2500 0.0000 0.0000
A 10.6250 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9834874 5.3750 471500.0000 100.0000
5.3750 471,500.00 ZZ
5.1250 2111.93 1
10.3750 2111.93 55
LEESBURG VA 20175 10.1250 06/15/05
0439521089 0.0000 08/01/05 00
26605105 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9837330 5.6250 368000.0000 100.0000
5.6250 368,000.00 ZZ
5.3750 1725.00 1
10.6250 1725.00 80
ARLINGTON VA 22202 10.3750 06/17/05
0439486226 0.0000 08/01/05 00
30205063 0.0000 07/01/35 0.0000
0 3.2500 07/01/10 07/01/10
696/G02 3.0000 08/01/10 08/01/10
25 3.2500 0.0000 0.0000
A 10.6250 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 07 00
O 0.0000
9839704 5.5000 288000.0000 100.0000
5.5000 288,000.00 ZZ
5.2500 1320.00 1
10.5000 1320.00 76
WASHINGTON DC 20005 10.2500 06/17/05
0439487232 0.0000 08/01/05 00
26205101 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 10.5000 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 08 00
O 0.0000
9844796 5.5000 380000.0000 100.0000
5.5000 380,000.00 T
5.2500 1741.67 1
10.5000 1741.67 67
JUNE LAKE CA 93529 10.2500 06/13/05
0439540303 0.0000 08/01/05 00
205308970 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9844812 5.5000 650000.0000 100.0000
5.5000 650,000.00 ZZ
5.2500 2979.17 1
10.5000 2979.17 39
GRANITE BAY CA 95746 10.2500 05/24/05
0439541152 0.0000 07/01/05 00
205414371 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
Y21/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9844818 5.2500 496000.0000 100.0000
5.2500 495,431.06 ZZ
5.0000 2738.94 1
10.2500 2738.94 80
LIVERMORE CA 94550 10.0000 06/09/05
0439541277 0.0000 08/01/05 00
205442137 0.0000 07/01/35 0.0000
0 2.7500 07/01/10 07/01/10
Y21/G01 2.5000 08/01/10 08/01/10
45 2.7500 0.0000 0.0000
A 10.2500 12 12
360 1 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9844820 5.5000 600000.0000 100.0000
5.5000 598,683.51 ZZ
5.2500 3406.74 1
10.5000 3406.74 80
STAMFORD CT 06902 10.2500 06/02/05
0439538521 0.0000 07/01/05 00
205445187 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
Y21/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9844822 5.2500 420000.0000 100.0000
5.2500 419,518.24 ZZ
5.0000 2319.26 1
10.2500 2319.26 57
SUNNYVALE CA 94085 10.0000 06/01/05
0439539016 0.0000 08/01/05 00
205448194 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9844840 5.3750 425600.0000 100.0000
5.3750 425,600.00 ZZ
5.1250 1906.33 1
10.3750 1906.33 80
APTOS CA 95003 10.1250 06/13/05
0439539461 0.0000 08/01/05 00
205463223 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 01 00
O 0.0000
9844848 5.6250 600000.0000 100.0000
5.6250 600,000.00 ZZ
5.3750 2812.50 1
10.6250 2812.50 78
BOCA RATON FL 33496 10.3750 06/02/05
0439540402 0.0000 08/01/05 00
205471714 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9844876 5.3750 1000000.0000 100.0000
5.3750 1,000,000.00 ZZ
5.1250 4479.17 1
10.3750 4479.17 77
SAN RAMON CA 94582 10.1250 06/01/05
0439539727 0.0000 08/01/05 00
205496407 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
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9844882 5.5000 547500.0000 100.0000
5.5000 547,500.00 ZZ
5.2500 2509.37 1
10.5000 2509.37 71
WASHINGTON DC 20010 10.2500 06/14/05
0439540170 0.0000 08/01/05 00
205502571 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9844892 5.2500 428000.0000 100.0000
5.2500 427,509.06 ZZ
5.0000 2363.44 1
10.2500 2363.44 80
APOLLO BEACH FL 33572 10.0000 06/21/05
0439540683 0.0000 08/01/05 00
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Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9844900 5.7500 468000.0000 100.0000
5.7500 468,000.00 ZZ
5.5000 2242.50 1
10.7500 2242.50 90
FORT XXXXXX FL 34982 10.5000 06/24/05
0439540543 0.0000 08/01/05 01
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Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.2500 588,000.00 ZZ
5.0000 2572.50 1
10.2500 2572.50 80
SAN JOSE CA 95129 10.0000 06/21/05
0439538448 0.0000 08/01/05 00
205586651 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9844920 5.5000 370000.0000 100.0000
5.5000 370,000.00 ZZ
5.2500 1695.83 1
10.5000 1695.83 65
HOLLYWOOD FL 33020 10.2500 06/22/05
0439537465 0.0000 08/01/05 00
205591116 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.8750 120,000.00 ZZ
5.6250 587.50 1
10.8750 587.50 80
TALLAHASSEE FL 32304 10.6250 06/22/05
0439537184 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
Y21/G02 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.3750 299,700.00 ZZ
5.1250 1342.41 1
10.3750 1342.41 77
WASHINGTON DC 20005 10.1250 06/28/05
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0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
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360 E 1.0000 1.0000
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0.0000 S N 0.1250
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9857640 5.3750 478400.0000 100.0000
5.3750 478,400.00 ZZ
5.1250 2142.83 1
10.3750 2142.83 80
XXXXXXXX VA 22556 10.1250 06/24/05
0439509019 0.0000 08/01/05 00
21705104 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
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0.0000 S N 0.1250
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9861186 5.3750 465000.0000 100.0000
5.3750 465,000.00 ZZ
5.1250 2082.81 1
10.3750 2082.81 75
LORTON VA 22079 10.1250 06/22/05
0439535527 0.0000 08/01/05 00
24504398 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
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9861214 5.6250 541400.0000 100.0000
5.6250 541,400.00 ZZ
5.3750 2537.81 1
10.6250 2537.81 80
FALLS CHURCH VA 22041 10.3750 06/27/05
0439519216 0.0000 08/01/05 00
21705098 0.0000 07/01/35 0.0000
0 3.2500 07/01/10 07/01/10
696/G02 3.0000 08/01/10 08/01/10
25 3.2500 0.0000 0.0000
A 10.6250 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
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5.3750 240,800.00 ZZ
5.1250 1078.58 1
10.3750 1078.58 80
ARLINGTON VA 22206 10.1250 06/28/05
0439526823 0.0000 08/01/05 00
40105307 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
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0.0000 S N 0.1250
0.0000 1 0
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6.0000 312,000.00 ZZ
5.7500 1560.00 1
11.0000 1560.00 80
CLINTON MD 20735 10.7500 06/27/05
0439549270 0.0000 08/01/05 00
25605168 0.0000 07/01/35 0.0000
0 3.2500 07/01/10 07/01/10
696/G02 3.0000 08/01/10 08/01/10
25 3.2500 0.0000 0.0000
A 11.0000 6 6
360 E 1.0000 1.0000
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0.0000 S N 0.1250
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5.3750 564,200.00 ZZ
5.1250 2527.15 1
10.3750 2527.15 80
STERLING VA 20165 10.1250 06/27/05
0439530494 0.0000 08/01/05 00
27005127 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
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5.3750 451,900.00 ZZ
5.1250 2024.14 1
10.3750 2024.14 80
WASHINGTON DC 20008 10.1250 06/30/05
0439534645 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
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0.0000 S N 0.1250
0.0000 1 0
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5.5000 477,600.00 ZZ
5.2500 2189.00 1
10.5000 2189.00 80
ALEXANDRIA VA 22314 10.2500 06/24/05
0439531203 0.0000 08/01/05 00
31205155 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 10.5000 6 6
360 E 1.0000 1.0000
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0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9863678 5.5000 286350.0000 100.0000
5.5000 286,350.00 ZZ
5.2500 1312.44 1
10.5000 1312.44 80
XXXX VALLEY MD 21030 10.2500 06/28/05
0439540618 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 10.5000 6 6
360 E 1.0000 1.0000
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0.0000 S N 0.1250
0.0000 1 0
0.0000 08 00
O 0.0000
9863694 5.3750 242500.0000 100.0000
5.3750 242,500.00 ZZ
5.1250 1086.20 1
10.3750 1086.20 80
BLACKSBURG VA 24060 10.1250 06/29/05
0439538778 0.0000 08/01/05 00
40105198 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9863716 5.5000 450000.0000 100.0000
5.5000 450,000.00 ZZ
5.2500 2062.50 1
10.5000 2062.50 70
ALEXANDRIA VA 22304 10.2500 06/24/05
0439545047 0.0000 08/01/05 00
25605187 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 10.5000 6 6
360 E 1.0000 1.0000
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0.0000 S N 0.1250
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9866604 5.6250 189600.0000 100.0000
5.6250 189,488.75 ZZ
5.3750 888.75 1
10.6250 888.75 80
DUBLIN OH 43016 10.3750 06/24/05
0001775549 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9866608 4.8750 479920.0000 100.0000
4.8750 479,920.00 ZZ
4.6250 1949.68 1
9.8750 1949.68 80
CENTREVILLE VA 20120 9.6250 06/17/05
0001775835 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9866610 5.1250 360000.0000 100.0000
5.1250 360,000.00 ZZ
4.8750 1537.50 1
10.1250 1537.50 80
FAIRFAX VA 22033 9.8750 06/23/05
0001776127 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.1250 12 12
360 L12 2.0000 2.0000
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9866612 4.8750 284000.0000 100.0000
4.8750 284,000.00 ZZ
4.6250 1153.75 1
9.8750 1153.75 80
HERNDON VA 20170 9.6250 06/20/05
0001776133 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9866614 5.3750 147500.0000 100.0000
5.3750 147,499.97 ZZ
5.1250 660.68 1
10.3750 660.68 50
CENTREVILLE VA 20121 10.1250 06/24/05
0001776192 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 5 0
0.0000 01 00
O 0.0000
9866616 5.7500 486000.0000 100.0000
5.7500 484,982.73 ZZ
5.5000 2836.17 1
10.7500 2836.17 61
PARK RIDGE IL 60068 10.5000 05/18/05
0002518611 0.0000 07/01/05 00
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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0.0000 05 00
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9866618 4.8750 1000000.0000 100.0000
4.8750 994,786.25 ZZ
4.6250 5292.09 1
9.8750 5292.09 67
SCOTTSDALE AZ 85255 9.6250 03/04/05
0002736521 0.0000 05/01/05 00
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0 2.2500 04/01/10 04/01/10
286/286 2.0000 05/01/10 05/01/10
45 2.2500 0.0000 0.0000
A 9.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9866620 5.7500 156873.6900 100.0000
5.7500 156,545.32 ZZ
5.5000 915.48 1
10.7500 915.48 61
GRAND HAVEN MI 49417 10.5000 05/23/05
0003152433 0.0000 07/01/05 00
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9866622 6.1250 260000.0000 100.0000
6.1250 259,493.29 ZZ
5.8750 1579.79 1
11.1250 1579.79 73
SAN ANDREAS CA 95249 10.8750 05/27/05
0003207003 0.0000 07/01/05 00
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 11.1250 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9866624 5.6250 342700.0000 100.0000
5.6250 342,700.00 ZZ
5.3750 1606.41 1
10.6250 1606.41 90
COKER AL 35452 10.3750 07/26/04
0003309697 0.0000 07/01/05 01
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9866628 6.0000 427500.0000 100.0000
6.0000 427,500.00 ZZ
5.7500 2137.50 1
11.0000 2137.50 90
COLFAX CA 95713 10.7500 05/23/05
0003395547 0.0000 07/01/05 01
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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9866630 5.7500 432000.0000 100.0000
5.7500 432,000.00 ZZ
5.5000 2070.00 1
10.7500 2070.00 80
EASTON MD 21601 10.5000 03/25/05
0003402972 0.0000 05/01/05 00
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0 2.2500 04/01/10 04/01/10
286/286 2.0000 05/01/10 05/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9866634 5.2500 333580.0000 100.0000
5.2500 333,580.00 ZZ
5.0000 1459.41 1
10.2500 1459.41 63
DEER PARK TX 77536 10.0000 05/23/05
0003506319 0.0000 07/01/05 00
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9866636 5.3750 322500.0000 100.0000
5.3750 322,500.00 ZZ
5.1250 1444.53 1
10.3750 1444.53 80
OCEAN VIEW DE 19970 10.1250 06/21/05
0003538045 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9866638 5.5000 180000.0000 100.0000
5.5000 180,000.00 ZZ
5.2500 825.00 1
10.5000 825.00 80
FAYETTEVILLE PA 17222 10.2500 05/10/05
0003608068 0.0000 07/01/05 00
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9866640 4.8750 335100.0000 100.0000
4.8750 334,687.96 ZZ
4.6250 1773.38 1
9.8750 1773.38 80
RESTON VA 20190 9.6250 06/17/05
0003654810 0.0000 08/01/05 00
0003654810 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 9.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 08 00
O 0.0000
9866642 5.5000 285500.0000 100.0000
5.5000 285,500.00 ZZ
5.2500 1308.54 1
10.5000 1308.54 80
HOLLAND OH 43528 10.2500 05/12/05
0003676683 0.0000 07/01/05 00
0003676683 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9866646 6.1250 517380.0000 100.0000
6.1250 517,380.00 ZZ
5.8750 2640.79 1
11.1250 2640.79 80
BERTHOUD CO 80513 10.8750 04/29/05
0003745501 0.0000 06/01/05 00
0003745501 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
286/286 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 11.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9866648 5.1250 460000.0000 100.0000
5.1250 460,000.00 ZZ
4.8750 1964.58 1
10.1250 1964.58 84
BALTIMORE MD 21224 9.8750 06/24/05
0003749986 0.0000 08/01/05 10
0003749986 0.0000 07/01/35 12.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 07 00
O 0.0000
9866650 5.6250 539400.0000 100.0000
5.6250 539,400.00 ZZ
5.3750 2528.44 1
10.6250 2528.44 80
BOULDER CO 80304 10.3750 05/31/05
0003772307 0.0000 07/01/05 00
0003772307 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9866654 5.2500 926379.0000 100.0000
5.2500 926,176.35 ZZ
5.0000 4052.91 1
10.2500 4052.91 75
SANTA ROSA CA 95404 10.0000 06/16/05
0003783017 0.0000 08/01/05 00
0003783017 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9866658 5.2500 327920.0000 100.0000
5.2500 327,728.27 T
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INDIO CA 92203 10.0000 06/09/05
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WASHINGTON GROV MD 20880 10.1250 06/24/05
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SARASOTA FL 34242 10.5000 06/30/05
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PHOENIX AZ 85085 9.8750 06/17/05
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SANFORD FL 32773 10.6250 06/28/05
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FREDERICK MD 21704 10.3750 06/29/05
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LORTON VA 22079 10.2500 06/28/05
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BLAINE MN 55449 10.1250 06/27/05
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DULLES VA 20166 10.2500 06/29/05
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LEESBURG VA 20175 10.1250 03/24/05
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PALM COAST FL 32137 10.0000 03/31/05
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CHULA VISTA CA 91915 10.1250 06/13/05
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FAIRFAX VA 22031 9.8750 06/21/05
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EL GRANADA CA 94018 9.8750 05/31/05
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SOUTH BOSTON MA 02127 10.2500 06/20/05
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NAPLES FL 34120 11.0000 04/11/05
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5.0000 1145.59 1
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RESTON VA 20190 10.0000 06/16/05
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BOULDER CO 80302 10.6250 06/10/05
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MCLEAN VA 22101 10.5000 06/29/05
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5.5000 560,000.00 ZZ
5.2500 2566.67 1
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POTOMAC MD 20854 10.2500 06/17/05
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45 2.2500 0.0000 0.0000
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5.0000 1932.81 1
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CHESAPEAKE VA 23322 10.0000 06/22/05
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5.2500 2339.33 1
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STEAMBOAT SPRIN CO 80487 10.2500 05/13/05
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4.7500 3854.17 1
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GREAT FALLS VA 22066 9.7500 06/17/05
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5.6250 447.97 1
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PHOENIX AZ 85033 10.6250 06/24/05
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9866712 5.6250 565850.0000 100.0000
5.6250 565,802.42 T
5.3750 2652.42 1
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TRUCKEE CA 96161 10.3750 06/03/05
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45 2.2500 0.0000 0.0000
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5.2500 231,733.88 ZZ
5.0000 1281.12 1
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BALTIMORE MD 21201 10.0000 06/16/05
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0 2.2500 07/01/10 07/01/10
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45 2.2500 0.0000 0.0000
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5.5000 115,000.00 ZZ
5.2500 527.08 1
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MARGATE FL 33063 10.2500 06/21/05
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0 2.2500 07/01/10 07/01/10
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45 2.2500 0.0000 0.0000
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5.5000 189,146.59 ZZ
5.2500 867.17 1
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YARDLEY PA 19067 10.2500 06/17/05
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.3750 252,800.00 T
5.1250 1132.33 1
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WASHINGTON DC 20024 10.1250 06/16/05
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.1250 2528.94 1
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BETHLEHEM PA 18017 10.1250 06/24/05
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.3750 460,000.00 ZZ
5.1250 2060.42 1
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FREDERICK MD 21704 10.1250 06/21/05
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.5000 431,894.00 ZZ
5.2500 1980.00 1
10.5000 1980.00 80
MANASSAS VA 20112 10.2500 06/22/05
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.5000 540,000.00 ZZ
5.2500 2475.00 1
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SILVER SPRING MD 20901 10.2500 06/08/05
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 0.5000 0.0000 0.0000
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5.3750 708,000.00 ZZ
5.1250 3171.25 1
10.3750 3171.25 80
DISCOVERY BAY CA 94514 10.1250 06/15/05
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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5.2500 812,000.00 ZZ
5.0000 3552.50 1
10.2500 3552.50 80
RYE BROOK NY 10573 10.0000 06/28/05
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
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5.5000 95,200.00 T
5.2500 436.33 1
10.5000 436.33 80
OLD STATION CA 96071 10.2500 05/31/05
0004055540 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
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5.3750 300,000.00 ZZ
5.1250 1343.75 1
10.3750 1343.75 80
NE ATLANTA GA 30319 10.1250 05/26/05
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0004055776 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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5.3750 668,000.00 ZZ
5.1250 2992.08 1
10.3750 2992.08 80
SCOTTSDALE AZ 85255 10.1250 05/10/05
0004057709 0.0000 07/01/05 00
0004057709 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
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5.1250 351,900.00 T
4.8750 1502.91 1
10.1250 1502.91 80
N WILDWOOD NJ 08260 9.8750 06/21/05
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
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5.5000 462,550.00 ZZ
5.2500 2120.02 1
10.5000 2120.02 80
CLARKSBURG MD 20871 10.2500 06/28/05
0004058128 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
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5.6250 1030.08 1
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BALTIMORE MD 21226 10.6250 06/29/05
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0 2.2500 07/01/10 07/01/10
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45 2.2500 0.0000 0.0000
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5.3750 367,200.00 ZZ
5.1250 1644.75 1
10.3750 1644.75 80
LUTHERVILLE MD 21093 10.1250 06/27/05
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.3750 460,000.00 ZZ
5.1250 2060.42 1
10.3750 2060.42 80
SAMMAMISH WA 98075 10.1250 06/01/05
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.8750 681.92 1
11.1250 681.92 80
PLANTATION FL 33324 10.8750 06/17/05
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6.0000 110,889.49 ZZ
5.7500 665.51 1
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RALEIGH NC 27603 10.7500 06/21/05
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9866762 5.3750 400000.0000 100.0000
5.3750 399,551.78 ZZ
5.1250 2239.88 1
10.3750 2239.88 73
CENTENNIAL CO 80122 10.1250 05/27/05
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0 2.2500 07/01/10 07/01/10
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45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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5.1250 445,000.00 ZZ
4.8750 1900.52 1
10.1250 1900.52 53
GAINESVILLE VA 20155 9.8750 06/29/05
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9867184 5.1250 400000.0000 100.0000
5.1250 399,708.33 ZZ
4.8750 1708.33 1
10.1250 1708.33 67
NEW BRAUNFELS TX 78132 9.8750 06/22/05
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9867186 5.5000 816000.0000 100.0000
5.5000 816,000.00 ZZ
5.2500 3740.00 1
10.5000 3740.00 80
SEATTLE WA 98112 10.2500 05/10/05
0004072685 0.0000 07/01/05 00
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9867190 5.2500 460000.0000 100.0000
5.2500 459,970.51 ZZ
5.0000 2012.50 1
10.2500 2012.50 65
RESTON VA 20194 10.0000 06/29/05
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9867194 5.1250 650000.0000 100.0000
5.1250 650,000.00 ZZ
4.8750 2776.04 1
10.1250 2776.04 75
ARLINGTON VA 22205 9.8750 06/24/05
0004073906 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.3750 533,700.00 ZZ
5.1250 2390.53 1
10.3750 2390.53 70
CHICAGO IL 60614 10.1250 05/25/05
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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9867198 5.2500 632000.0000 100.0000
5.2500 631,991.45 ZZ
5.0000 2765.00 1
10.2500 2765.00 80
RESTON VA 20190 10.0000 06/29/05
0004075235 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.6250 200,000.00 ZZ
5.3750 937.50 1
10.6250 937.50 80
WASHINGTON DC 20007 10.3750 06/17/05
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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5.5000 132,052.00 ZZ
5.2500 605.24 1
10.5000 605.24 95
SAVANNAH GA 31419 10.2500 05/31/05
0004078452 0.0000 07/01/05 10
0004078452 0.0000 06/01/35 30.0000
0 2.2500 06/01/10 06/01/10
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45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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0.0000 03 00
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9867208 5.2500 595000.0000 100.0000
5.2500 594,790.38 ZZ
5.0000 2603.13 1
10.2500 2603.13 75
ALLENDALE NJ 07401 10.0000 06/29/05
0004078746 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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0.0000 05 00
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9867210 5.2500 231360.0000 100.0000
5.2500 231,360.00 T
5.0000 1012.20 1
10.2500 1012.20 80
DAYTON NV 89403 10.0000 06/13/05
0004079780 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
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9867212 5.6250 1233750.0000 100.0000
5.6250 1,232,431.03 ZZ
5.3750 7102.17 1
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CAMBRIDGE MA 02138 10.3750 06/24/05
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9867214 5.2500 225700.0000 100.0000
5.2500 225,700.00 ZZ
5.0000 987.44 1
10.2500 987.44 62
LONG BEACH CA 90805 10.0000 06/20/05
0004082135 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9867216 5.3750 223200.0000 100.0000
5.3750 223,200.00 T
5.1250 999.75 1
10.3750 999.75 80
DAVENPORT FL 33896 10.1250 06/16/05
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9867218 5.3750 412500.0000 100.0000
5.3750 412,500.00 ZZ
5.1250 1847.66 1
10.3750 1847.66 79
SEVERNA PARK MD 21146 10.1250 06/24/05
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9867220 5.7500 618400.0000 100.0000
5.7500 618,400.00 ZZ
5.5000 2963.17 1
10.7500 2963.17 80
SAN JOSE CA 95148 10.5000 06/16/05
0004084730 0.0000 08/01/05 00
0004084730 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9867224 5.3750 440000.0000 100.0000
5.3750 440,000.00 T
5.1250 1970.83 1
10.3750 1970.83 80
SAPPHIRE NC 28774 10.1250 06/27/05
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0004085184 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9867226 5.5000 222000.0000 100.0000
5.5000 221,757.00 ZZ
5.2500 1260.50 1
10.5000 1260.50 80
CHICAGO IL 60610 10.2500 06/27/05
0004085193 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
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9867228 5.2500 400000.0000 100.0000
5.2500 399,541.18 ZZ
5.0000 2208.82 1
10.2500 2208.82 54
SAINT XXXX MN 55102 10.0000 06/27/05
0004085753 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9867230 5.2500 258000.0000 100.0000
5.2500 258,000.00 ZZ
5.0000 1128.75 1
10.2500 1128.75 71
ASHBURN VA 20147 10.0000 06/14/05
0004085998 0.0000 08/01/05 00
0004085998 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9867232 5.2500 945000.0000 100.0000
5.2500 745,000.00 ZZ
5.0000 4134.38 1
10.2500 4134.38 70
IRVINE CA 92604 10.0000 06/22/05
0004086648 0.0000 08/01/05 00
0004086648 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
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9867236 5.7500 355000.0000 100.0000
5.7500 354,978.36 ZZ
5.5000 1701.04 1
10.7500 1701.04 67
PHOENIX AZ 85024 10.5000 06/16/05
0004087356 0.0000 08/01/05 00
0004087356 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 5 0
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9867238 5.7500 397000.0000 100.0000
5.7500 397,000.00 ZZ
5.5000 1902.29 1
10.7500 1902.29 67
HEMET CA 92544 10.5000 06/13/05
0004088150 0.0000 08/01/05 00
0004088150 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9867240 5.8750 542000.0000 100.0000
5.8750 542,000.00 ZZ
5.6250 2653.54 1
10.8750 2653.54 80
BONITA CA 91902 10.6250 06/14/05
0004090184 0.0000 08/01/05 00
0004090184 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
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9867244 5.5000 200000.0000 100.0000
5.5000 199,800.00 ZZ
5.2500 916.67 1
10.5000 916.67 80
PHOENIX AZ 85013 10.2500 06/08/05
0004091944 0.0000 08/01/05 00
0004091944 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
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9867246 5.6250 235000.0000 100.0000
5.6250 235,000.00 ZZ
5.3750 1101.56 1
10.6250 1101.56 70
STAFFORD VA 22554 10.3750 06/15/05
0004092125 0.0000 08/01/05 00
0004092125 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 5 0
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9867248 5.5000 200000.0000 100.0000
5.5000 200,000.00 ZZ
5.2500 916.67 1
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CHANDLER AZ 85248 10.2500 06/23/05
0004092175 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9867250 5.6250 175200.0000 100.0000
5.6250 175,012.69 ZZ
5.3750 1008.56 1
10.6250 1008.56 80
BALTIMORE MD 21224 10.3750 06/24/05
0004092738 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
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O 0.0000
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4.7500 396,000.00 ZZ
4.5000 1567.50 1
9.7500 1567.50 46
WASHINGTON DC 20012 9.5000 06/03/05
0004093494 0.0000 07/01/05 00
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 9.7500 12 12
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0.0000 S N 0.1250
0.0000 1 0
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O 0.0000
9867254 5.1250 640000.0000 100.0000
5.1250 640,000.00 ZZ
4.8750 2733.33 1
10.1250 2733.33 69
SANTA CLARITA CA 91350 9.8750 06/07/05
0004093506 0.0000 08/01/05 00
0004093506 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
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9867256 5.6250 224000.0000 100.0000
5.6250 224,000.00 ZZ
5.3750 1050.00 1
10.6250 1050.00 80
OROVILLE CA 95965 10.3750 06/16/05
0004093622 0.0000 08/01/05 00
0004093622 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9867258 5.6250 726250.0000 100.0000
5.6250 726,250.00 ZZ
5.3750 3404.30 1
10.6250 3404.30 70
HOUSTON TX 77019 10.3750 06/06/05
0004093929 0.0000 08/01/05 00
0004093929 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9867260 5.8750 340000.0000 100.0000
5.8750 339,664.58 ZZ
5.6250 1664.58 1
10.8750 1664.58 59
CHULA VISTA CA 91910 10.6250 06/14/05
0004094142 0.0000 08/01/05 00
0004094142 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
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BALTIMORE MD 21209 10.6250 06/28/05
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NAPLES FL 34109 10.5000 06/03/05
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PASADENA MD 21122 10.0000 06/24/05
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CLARKSBURG MD 20871 10.0000 06/24/05
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GOOSE CREEK SC 29445 9.7500 06/23/05
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FREMONT CA 94538 10.7500 06/20/05
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LA HABRA CA 90631 10.6250 06/01/05
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5.5000 700.29 1
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BURTONSVILLE MD 20866 10.5000 06/17/05
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PARKVILLE MD 21234 10.0000 06/24/05
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5.2500 345,650.00 ZZ
5.0000 1512.22 1
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ISSUE MD 20645 10.0000 06/15/05
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5.2500 1054.17 1
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CHICAGO IL 60614 10.2500 06/29/05
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4.8750 354,563.50 ZZ
4.6250 1878.69 1
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BETHESDA MD 20814 9.6250 06/21/05
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4.6250 1587.63 1
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HERNDON VA 20171 9.6250 06/29/05
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XXXXXXXXXX VILL MD 20886 9.8750 06/29/05
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5.5000 260,000.00 ZZ
5.2500 1191.67 1
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GAITHERSBURG MD 20878 10.2500 06/21/05
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5.5000 4789.97 1
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MCLEAN VA 22101 10.5000 06/20/05
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5.2500 995,000.00 ZZ
5.0000 4353.13 1
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NAPLES FL 34108 10.0000 05/26/05
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XXXXXXXX GA 30907 9.8750 05/31/05
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5.1250 921.81 1
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BROOMFIELD CO 80020 10.1250 06/21/05
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0 2.2500 07/01/10 07/01/10
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45 2.2500 0.0000 0.0000
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6.0000 419,760.00 ZZ
5.7500 2098.80 1
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NORTH BETHESDA MD 20852 10.7500 06/17/05
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45 2.2500 0.0000 0.0000
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9867308 5.5000 390000.0000 100.0000
5.5000 390,000.00 ZZ
5.2500 1787.50 1
10.5000 1787.50 74
LIVERMORE CA 94551 10.2500 06/08/05
0004103273 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9867310 5.2500 360000.0000 100.0000
5.2500 360,000.00 ZZ
5.0000 1575.00 1
10.2500 1575.00 48
HUNTINGTOWN MD 20639 10.0000 06/24/05
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45 2.2500 0.0000 0.0000
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5.1250 227,783.78 ZZ
4.8750 972.90 1
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XXXXX SPRINGS GA 30115 9.8750 05/31/05
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45 2.2500 0.0000 0.0000
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6.2500 511,966.67 ZZ
6.0000 2666.67 1
11.2500 2666.67 80
FOUNTAIN VALLEY CA 92708 11.0000 06/16/05
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0 2.2500 07/01/10 07/01/10
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45 2.2500 0.0000 0.0000
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4.6250 1604.69 1
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BALTIMORE MD 21222 9.6250 06/15/05
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45 2.2500 0.0000 0.0000
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5.3750 348,000.00 ZZ
5.1250 1558.75 1
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CHURCHVILLE MD 21028 10.1250 06/20/05
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0 2.2500 07/01/10 07/01/10
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45 2.2500 0.0000 0.0000
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9867320 5.6250 491200.0000 100.0000
5.6250 491,192.50 T
5.3750 2302.50 1
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S LAKE TAHOE CA 96150 10.3750 06/17/05
0004105039 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.3750 248,000.00 ZZ
5.1250 1110.83 1
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CENTREVILLE VA 20120 10.1250 06/22/05
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.5000 562,000.00 ZZ
5.2500 2575.83 1
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MILL VALLEY CA 94941 10.2500 06/15/05
0004105054 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9867326 5.6250 164000.0000 100.0000
5.6250 163,777.47 ZZ
5.3750 944.08 1
10.6250 944.08 80
OLYMPIA WA 98516 10.3750 06/22/05
0004105059 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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5.2500 221,135.97 ZZ
5.0000 969.06 1
10.2500 969.06 80
KILL DEVIL HILL NC 27948 10.0000 06/22/05
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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5.8750 560,000.00 ZZ
5.6250 2741.67 1
10.8750 2741.67 80
WALDORF MD 20603 10.6250 06/18/05
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.3750 658,760.99 ZZ
5.1250 3693.02 1
10.3750 3693.02 57
SAN JOSE CA 95125 10.1250 06/17/05
0004106513 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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5.2500 210,000.00 ZZ
5.0000 918.75 1
10.2500 918.75 73
ARLINGTON VA 22206 10.0000 06/20/05
0004106633 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9867338 5.6250 551200.0000 100.0000
5.6250 550,909.82 ZZ
5.3750 2583.75 1
10.6250 2583.75 80
LOMA LINDA CA 92354 10.3750 06/22/05
0004106973 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.7500 980,000.00 ZZ
5.5000 4695.83 1
10.7500 4695.83 70
WASHINGTON DC 20008 10.5000 05/23/05
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0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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4.8750 499,385.20 ZZ
4.6250 2646.05 1
9.8750 2646.05 35
FORT LAUDERDALE FL 33316 9.6250 06/22/05
0004109701 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.6250 1427.63 1
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JESSUP MD 20794 10.6250 06/17/05
0004110133 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9867494 5.3750 452000.0000 100.0000
5.3750 451,994.65 ZZ
5.1250 2024.58 1
10.3750 2024.58 68
HUNTINGTOWN MD 20639 10.1250 06/17/05
0004110408 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
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9867496 5.5000 132000.0000 100.0000
5.5000 132,000.00 T
5.2500 605.00 1
10.5000 605.00 80
CAROLINA SHORES NC 28467 10.2500 06/06/05
0004111021 0.0000 08/01/05 00
0004111021 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9867502 5.7500 650000.0000 100.0000
5.7500 650,000.00 ZZ
5.5000 3114.58 1
10.7500 3114.58 62
DALLAS TX 75230 10.5000 05/27/05
0004111958 0.0000 07/01/05 00
0004111958 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9867506 5.3750 650000.0000 100.0000
5.3750 650,000.00 ZZ
5.1250 2911.46 1
10.3750 2911.46 75
MESA AZ 85207 10.1250 06/17/05
0004112198 0.0000 08/01/05 00
0004112198 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9867508 5.6250 256500.0000 100.0000
5.6250 256,500.00 ZZ
5.3750 1202.34 1
10.6250 1202.34 61
NORTH HOLLYWOOD CA 91605 10.3750 06/02/05
0004112244 0.0000 08/01/05 00
0004112244 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9867510 5.7500 249000.0000 100.0000
5.7500 249,000.00 ZZ
5.5000 1193.13 1
10.7500 1193.13 75
HAYWARD CA 94545 10.5000 06/09/05
0004112282 0.0000 08/01/05 00
0004112282 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 01 00
O 0.0000
9867512 5.5000 258000.0000 100.0000
5.5000 257,633.33 ZZ
5.2500 1182.50 1
10.5000 1182.50 80
LAUREL MD 20723 10.2500 06/28/05
0004113186 0.0000 08/01/05 00
0004113186 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 09 00
O 0.0000
9867514 5.1250 200000.0000 100.0000
5.1250 199,765.19 ZZ
4.8750 1088.98 1
10.1250 1088.98 35
SPRINGFIELD IL 62711 9.8750 06/27/05
0004113596 0.0000 08/01/05 00
0004113596 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9867516 5.3750 200000.0000 100.0000
5.3750 200,000.00 ZZ
5.1250 895.83 1
10.3750 895.83 40
SAN DIEGO CA 92139 10.1250 06/10/05
0004113938 0.0000 08/01/05 00
0004113938 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9867518 5.3750 238000.0000 100.0000
5.3750 238,000.00 ZZ
5.1250 1066.04 1
10.3750 1066.04 55
SPRING VALLEY CA 91977 10.1250 06/14/05
0004114030 0.0000 08/01/05 00
0004114030 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9867520 5.7500 176000.0000 100.0000
5.7500 176,000.00 ZZ
5.5000 843.33 1
10.7500 843.33 80
BEND OR 97701 10.5000 06/08/05
0004114035 0.0000 08/01/05 00
0004114035 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9867522 5.5000 200000.0000 100.0000
5.5000 200,000.00 ZZ
5.2500 916.67 1
10.5000 916.67 50
SAN DIEGO CA 92139 10.2500 06/16/05
0004114905 0.0000 08/01/05 00
0004114905 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9867526 5.6250 658850.0000 100.0000
5.6250 658,850.00 ZZ
5.3750 3088.36 1
10.6250 3088.36 75
EDGEWATER MD 21037 10.3750 06/17/05
0004115908 0.0000 08/01/05 00
0004115908 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9867528 5.2500 416880.0000 100.0000
5.2500 416,880.00 ZZ
5.0000 1823.85 1
10.2500 1823.85 80
COLUMBIA MD 21045 10.0000 06/20/05
0004116262 0.0000 08/01/05 00
0004116262 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9867530 5.2500 420000.0000 100.0000
5.2500 420,000.00 ZZ
5.0000 1837.50 1
10.2500 1837.50 52
PEORIA AZ 85383 10.0000 06/17/05
0004116303 0.0000 08/01/05 00
0004116303 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9867532 5.7500 146400.0000 100.0000
5.7500 146,400.00 ZZ
5.5000 701.50 1
10.7500 701.50 80
APACHE JUNCTION AZ 85219 10.5000 06/23/05
0004116331 0.0000 08/01/05 00
0004116331 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9867534 5.8750 254000.0000 100.0000
5.8750 254,000.00 ZZ
5.6250 1243.54 1
10.8750 1243.54 61
QUEEN CREEK AZ 85242 10.6250 06/15/05
0004116332 0.0000 08/01/05 00
0004116332 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9867536 5.6250 408000.0000 100.0000
5.6250 408,000.00 ZZ
5.3750 1912.50 1
10.6250 1912.50 75
EL DORADO HILLS CA 95762 10.3750 06/14/05
0004116342 0.0000 08/01/05 00
0004116342 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9867538 5.6250 637500.0000 100.0000
5.6250 637,500.00 T
5.3750 2988.28 1
10.6250 2988.28 75
AVENTURA FL 33160 10.3750 06/28/05
0004116388 0.0000 08/01/05 00
0004116388 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 08 00
O 0.0000
9867540 5.2500 311500.0000 100.0000
5.2500 311,500.00 ZZ
5.0000 1362.81 1
10.2500 1362.81 72
LOS ANGELES CA 90042 10.0000 06/06/05
0004116645 0.0000 08/01/05 00
0004116645 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9867542 5.5000 156000.0000 100.0000
5.5000 155,985.74 ZZ
5.2500 715.00 1
10.5000 715.00 75
GILBERT AZ 85296 10.2500 06/15/05
0004116679 0.0000 08/01/05 00
0004116679 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9867544 5.8750 540000.0000 100.0000
5.8750 539,500.00 ZZ
5.6250 2643.75 1
10.8750 2643.75 80
SAN MATEO CA 94401 10.6250 06/21/05
0004117314 0.0000 08/01/05 00
0004117314 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9867546 5.7500 600000.0000 100.0000
5.7500 600,000.00 ZZ
5.5000 2875.00 1
10.7500 2875.00 69
BRENTWOOD CA 94513 10.5000 06/09/05
0004117842 0.0000 08/01/05 00
0004117842 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
359 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9867548 5.5000 357000.0000 100.0000
5.5000 357,000.00 ZZ
5.2500 1636.25 1
10.5000 1636.25 70
PEMBROKE PINES FL 33027 10.2500 06/21/05
0004118126 0.0000 08/01/05 00
0004118126 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 09 00
O 0.0000
9867550 5.8750 699000.0000 100.0000
5.8750 699,000.00 ZZ
5.6250 3422.19 1
10.8750 3422.19 74
GROVER BEACH CA 93433 10.6250 06/15/05
0004118177 0.0000 08/01/05 00
0004118177 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9867552 6.0000 224000.0000 100.0000
6.0000 224,000.00 T
5.7500 1120.00 1
11.0000 1120.00 80
GILBERT AZ 85297 10.7500 05/26/05
0004118242 0.0000 07/01/05 00
0004118242 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
286/286 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 11.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9867554 5.3750 363000.0000 100.0000
5.3750 363,000.00 ZZ
5.1250 1625.94 1
10.3750 1625.94 62
GAITHERSBURG MD 20878 10.1250 06/16/05
0004118294 0.0000 08/01/05 00
0004118294 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9867556 5.6250 667500.0000 100.0000
5.6250 667,500.00 ZZ
5.3750 3128.91 1
10.6250 3128.91 75
SAN FRANCISCO CA 94116 10.3750 06/15/05
0004118348 0.0000 08/01/05 00
0004118348 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9867558 5.3750 280000.0000 100.0000
5.3750 280,000.00 ZZ
5.1250 1254.17 1
10.3750 1254.17 80
NAPERVILLE IL 60565 10.1250 06/27/05
0004118966 0.0000 08/01/05 00
0004118966 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9867560 5.7500 217600.0000 100.0000
5.7500 217,600.00 ZZ
5.5000 1042.67 1
10.7500 1042.67 80
TAMPA FL 33609 10.5000 06/17/05
0004119195 0.0000 08/01/05 00
0004119195 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 01 00
O 0.0000
9867562 5.8750 250640.0000 100.0000
5.8750 250,640.00 ZZ
5.6250 1227.09 1
10.8750 1227.09 80
CHICAGO IL 60647 10.6250 06/23/05
0004119245 0.0000 08/01/05 00
0004119245 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9867564 5.5000 348000.0000 100.0000
5.5000 348,000.00 ZZ
5.2500 1595.00 1
10.5000 1595.00 80
FREDERICKSBURG VA 22407 10.2500 06/17/05
0004119279 0.0000 08/01/05 00
0004119279 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9867566 5.8750 800000.0000 100.0000
5.8750 800,000.00 ZZ
5.6250 3916.67 1
10.8750 3916.67 39
LOS ANGELES CA 90020 10.6250 06/14/05
0004119445 0.0000 08/01/05 00
0004119445 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9867568 5.1250 560000.0000 100.0000
5.1250 560,000.00 T
4.8750 2391.67 1
10.1250 2391.67 80
ANNAPOLIS MD 21401 9.8750 06/16/05
0004119453 0.0000 08/01/05 00
0004119453 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9867570 5.6250 162000.0000 100.0000
5.6250 162,000.00 ZZ
5.3750 759.38 1
10.6250 759.38 66
CORPUS CHISTI TX 78418 10.3750 06/20/05
0004120060 0.0000 08/01/05 00
0004120060 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9867572 5.6250 432000.0000 100.0000
5.6250 432,000.00 ZZ
5.3750 2025.00 1
10.6250 2025.00 60
SAN JOSE CA 95148 10.3750 06/16/05
0004120179 0.0000 08/01/05 00
0004120179 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9867574 5.7500 395000.0000 100.0000
5.7500 395,000.00 ZZ
5.5000 1892.71 1
10.7500 1892.71 74
ANAHEIM CA 92804 10.5000 06/10/05
0004120212 0.0000 08/01/05 00
0004120212 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9867578 5.5000 326250.0000 100.0000
5.5000 326,250.00 ZZ
5.2500 1495.31 1
10.5000 1495.31 75
VALLEJO CA 94591 10.2500 06/14/05
0004121288 0.0000 08/01/05 00
0004121288 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9867580 5.8750 146200.0000 100.0000
5.8750 146,175.00 ZZ
5.6250 715.77 1
10.8750 715.77 75
MESA AZ 85206 10.6250 06/15/05
0004122098 0.0000 08/01/05 00
0004122098 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9867582 5.2500 265500.0000 100.0000
5.2500 265,500.00 ZZ
5.0000 1161.56 1
10.2500 1161.56 80
RICHMOND VA 23233 10.0000 06/27/05
0004122183 0.0000 08/01/05 00
0004122183 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9867584 5.6250 113600.0000 100.0000
5.6250 113,500.18 ZZ
5.3750 532.50 1
10.6250 532.50 80
CLEARWATER FL 33761 10.3750 06/17/05
0004122259 0.0000 08/01/05 00
0004122259 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
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9867586 5.5000 159600.0000 100.0000
5.5000 159,600.00 T
5.2500 731.50 1
10.5000 731.50 80
DENVER CO 80218 10.2500 06/21/05
0004122658 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9867588 5.6250 145000.0000 100.0000
5.6250 145,000.00 ZZ
5.3750 679.69 1
10.6250 679.69 44
SAN XXXX CAPIST CA 92675 10.3750 06/14/05
0004123018 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9867590 5.5000 220000.0000 100.0000
5.5000 220,000.00 ZZ
5.2500 1008.33 1
10.5000 1008.33 45
BELLFLOWER CA 90706 10.2500 06/17/05
0004123052 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
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9867592 5.7500 202400.0000 100.0000
5.7500 202,400.00 ZZ
5.5000 969.83 1
10.7500 969.83 80
SACRAMENTO CA 95822 10.5000 06/14/05
0004123901 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9867598 5.5000 383200.0000 100.0000
5.5000 383,200.00 T
5.2500 1756.33 1
10.5000 1756.33 80
PALM SPRINGS CA 92262 10.2500 06/21/05
0004124230 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9867600 5.7500 600000.0000 100.0000
5.7500 600,000.00 ZZ
5.5000 2875.00 1
10.7500 2875.00 78
LAKE FOREST CA 92610 10.5000 06/16/05
0004126056 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9867602 5.8750 410000.0000 100.0000
5.8750 410,000.00 ZZ
5.6250 2007.29 1
10.8750 2007.29 65
GARDEN GROVE CA 92841 10.6250 06/20/05
0004126106 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
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0.0000 S N 0.1250
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9867606 5.5000 321600.0000 100.0000
5.5000 321,600.00 ZZ
5.2500 1474.00 1
10.5000 1474.00 80
RENO NV 89523 10.2500 06/17/05
0004126668 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9867608 5.0000 48500.0000 100.0000
5.0000 48,000.08 ZZ
4.7500 202.08 1
10.0000 202.08 21
FORT LAUDERDALE FL 33311 9.7500 06/17/05
0004126714 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9867610 4.6250 405600.0000 100.0000
4.6250 405,560.01 ZZ
4.3750 1563.25 1
9.6250 1563.25 80
FAIRFAX VA 22031 9.3750 06/24/05
0004127487 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 9.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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O 0.0000
9867612 5.5000 400000.0000 100.0000
5.5000 400,000.00 ZZ
5.2500 1833.33 1
10.5000 1833.33 44
WASHINGTON DC 20007 10.2500 06/23/05
0004127665 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 5 0
0.0000 07 00
O 0.0000
9867614 5.8750 265200.0000 100.0000
5.8750 265,199.99 T
5.6250 1298.38 1
10.8750 1298.38 80
CHICAGO IL 60614 10.6250 06/29/05
0004127696 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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0.0000 08 00
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9867618 5.1250 408000.0000 100.0000
5.1250 408,000.00 ZZ
4.8750 1742.50 1
10.1250 1742.50 80
GLEN ALLEN VA 23059 9.8750 06/29/05
0004128768 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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0.0000 S N 0.1250
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O 0.0000
9867620 6.1250 640000.0000 100.0000
6.1250 639,377.96 ZZ
5.8750 3888.71 1
11.1250 3888.71 80
SAN FRANCISCO CA 94121 10.8750 06/06/05
0004129014 0.0000 08/01/05 00
0004129014 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 11.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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O 0.0000
9867622 5.5000 282000.0000 100.0000
5.5000 282,000.00 ZZ
5.2500 1292.50 1
10.5000 1292.50 74
CHICAGO IL 60656 10.2500 06/22/05
0004129673 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9867624 5.2500 559200.0000 100.0000
5.2500 559,200.00 ZZ
5.0000 2446.50 1
10.2500 2446.50 80
WALNUT CREEK CA 94597 10.0000 06/21/05
0004129833 0.0000 08/01/05 00
0004129833 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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0.0000 05 00
O 0.0000
9867626 5.6250 200000.0000 100.0000
5.6250 200,000.00 ZZ
5.3750 937.50 1
10.6250 937.50 11
PALO ALTO CA 94301 10.3750 06/14/05
0004130548 0.0000 08/01/05 00
0004130548 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9867628 5.6250 330000.0000 100.0000
5.6250 330,000.00 ZZ
5.3750 1546.88 1
10.6250 1546.88 75
LAGUNA NIGUEL CA 92677 10.3750 06/20/05
0004130555 0.0000 08/01/05 00
0004130555 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 01 00
O 0.0000
9867630 5.8750 375000.0000 100.0000
5.8750 375,000.00 ZZ
5.6250 1835.94 1
10.8750 1835.94 63
EDGEWATER MD 21037 10.6250 06/24/05
0004130874 0.0000 08/01/05 00
0004130874 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9867632 5.3750 320000.0000 100.0000
5.3750 320,000.00 ZZ
5.1250 1433.33 1
10.3750 1433.33 80
COLLEGE PARK MD 20740 10.1250 06/17/05
0004131379 0.0000 08/01/05 00
0004131379 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9867634 5.5000 340000.0000 100.0000
5.5000 340,000.00 ZZ
5.2500 1558.33 1
10.5000 1558.33 67
UPPER MARLBORO MD 20772 10.2500 06/20/05
0004131762 0.0000 08/01/05 00
0004131762 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9867636 5.6250 159200.0000 100.0000
5.6250 159,200.00 ZZ
5.3750 746.25 1
10.6250 746.25 80
CHICAGO IL 60613 10.3750 06/29/05
0004132084 0.0000 08/01/05 00
0004132084 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9867638 5.5000 216000.0000 100.0000
5.5000 216,000.00 ZZ
5.2500 990.00 1
10.5000 990.00 80
YUCCA VALLEY CA 92284 10.2500 06/06/05
0004132995 0.0000 08/01/05 00
0004132995 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9867640 5.6250 432000.0000 100.0000
5.6250 432,000.00 ZZ
5.3750 2025.00 1
10.6250 2025.00 75
MONTEREY PARK CA 91755 10.3750 06/24/05
0004133188 0.0000 08/01/05 00
0004133188 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 01 00
O 0.0000
9867646 6.0000 191000.0000 100.0000
6.0000 191,000.00 ZZ
5.7500 955.00 1
11.0000 955.00 55
GLENDALE AZ 85308 10.7500 06/14/05
0004133663 0.0000 08/01/05 00
0004133663 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 11.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9867752 5.2500 306400.0000 100.0000
5.2500 306,400.00 ZZ
5.0000 1340.50 1
10.2500 1340.50 80
STONERIDGE VA 20105 10.0000 06/28/05
0439551631 0.0000 08/01/05 00
23605093 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 10.2500 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 01 00
O 0.0000
9867758 5.3750 359650.0000 100.0000
5.3750 359,650.00 ZZ
5.1250 1610.93 1
10.3750 1610.93 80
ARLINGTON VA 22204 10.1250 06/30/05
0439553330 0.0000 08/01/05 00
30205079 0.0000 07/01/35 0.0000
0 3.2500 07/01/10 07/01/10
696/G02 3.0000 08/01/10 08/01/10
25 3.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9867768 5.5000 250000.0000 100.0000
5.5000 250,000.00 ZZ
5.2500 1145.83 1
10.5000 1145.83 75
ROCKVILLE MD 20850 10.2500 06/22/05
0439553066 0.0000 08/01/05 00
32905131 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 10.5000 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 01 00
O 0.0000
9867800 5.2500 290500.0000 100.0000
5.2500 290,500.00 ZZ
5.0000 1270.94 1
10.2500 1270.94 78
SILVER SPRING MD 20901 10.0000 06/22/05
0004134079 0.0000 08/01/05 00
0004134079 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9867802 5.0000 60000.0000 100.0000
5.0000 59,927.90 ZZ
4.7500 322.10 1
10.0000 322.10 25
XXXX JUNCTION MO 64834 9.7500 06/29/05
0004134164 0.0000 08/01/05 00
0004134164 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9867804 5.6250 350000.0000 100.0000
5.6250 349,425.83 ZZ
5.3750 2014.80 1
10.6250 2014.80 56
WASHINGTON DC 20001 10.3750 06/27/05
0004134520 0.0000 08/01/05 00
0004134520 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 07 00
O 0.0000
9867806 5.5000 280000.0000 100.0000
5.5000 277,935.83 ZZ
5.2500 1283.33 1
10.5000 1283.33 22
SAN DIEGO CA 92109 10.2500 06/24/05
0004135986 0.0000 08/01/05 00
0004135986 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 01 00
O 0.0000
9867808 5.6250 129750.0000 100.0000
5.6250 129,703.63 ZZ
5.3750 608.20 1
10.6250 608.20 80
HILLSBORO OR 97124 10.3750 06/17/05
0004136232 0.0000 08/01/05 00
0004136232 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9867810 5.6250 940000.0000 100.0000
5.6250 940,000.00 ZZ
5.3750 4406.25 1
10.6250 4406.25 80
HOUSTON TX 77024 10.3750 06/29/05
0004136450 0.0000 08/01/05 00
0004136450 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9867812 5.1250 632000.0000 100.0000
5.1250 632,000.00 ZZ
4.8750 2699.17 1
10.1250 2699.17 80
ARLINGTON VA 22207 9.8750 06/22/05
0004136858 0.0000 08/01/05 00
0004136858 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9867816 6.1250 395950.0000 100.0000
6.1250 395,950.00 ZZ
5.8750 2020.99 1
11.1250 2020.99 80
ROUND HILL VA 20141 10.8750 06/29/05
0004136866 0.0000 08/01/05 00
0004136866 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 11.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9867818 5.7500 476800.0000 100.0000
5.7500 476,800.00 ZZ
5.5000 2284.67 1
10.7500 2284.67 80
ORLANDO FL 34787 10.5000 06/20/05
0004136962 0.0000 08/01/05 00
0004136962 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9867820 5.2500 449000.0000 100.0000
5.2500 445,000.00 ZZ
5.0000 1964.38 1
10.2500 1964.38 62
BUFFALO GROVE IL 60089 10.0000 06/10/05
0004137754 0.0000 08/01/05 00
0004137754 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9867822 5.5000 248000.0000 100.0000
5.5000 247,697.54 ZZ
5.2500 1408.12 1
10.5000 1408.12 73
KENT WA 98030 10.2500 06/14/05
0004138033 0.0000 08/01/05 00
0004138033 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
286/286 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9867824 5.2500 440000.0000 100.0000
5.2500 439,495.30 ZZ
5.0000 2429.70 1
10.2500 2429.70 74
FAIR HAVEN NJ 07704 10.0000 06/23/05
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LORTON VA 22079 9.8750 06/28/05
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XXXXXXXXXX VILL MD 20886 10.2500 06/29/05
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WATERFORD MI 48329 9.7500 06/23/05
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BALTIMORE MD 21219 10.1250 06/20/05
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GLYNDON MD 21136 10.0000 06/20/05
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VILLA PARK CA 92861 9.8750 06/15/05
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ATLANTIS FL 33462 9.6250 06/24/05
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MIAMI FL 33161 10.7500 06/07/05
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OLNEY MD 20832 9.8750 06/28/05
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SAN JOSE CA 95110 10.6250 06/22/05
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SAN DIEGO CA 92115 10.6250 06/17/05
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FREMONT CA 94538 9.6250 06/17/05
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WOODBRIDGE VA 22193 9.8750 06/17/05
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VIRGINIA BEACH VA 23453 10.1250 06/29/05
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ROCKLIN CA 95677 10.3750 06/17/05
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OLNEY MD 20832 10.1250 06/27/05
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COLUMBIA MD 21045 10.5000 06/23/05
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BAY POINT CA 94565 10.2500 06/17/05
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DAHLONEGA GA 30533 10.7500 06/27/05
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SAN DIEGO CA 92128 10.5000 06/20/05
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MARTINEZ CA 94553 10.6250 06/17/05
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ALEXANDRIA VA 22301 10.0000 06/28/05
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BETHESDA MD 20814 9.8750 06/24/05
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KINGSTON MA 02364 10.7500 06/24/05
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WAVES NC 27982 10.2500 06/28/05
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CHANDLER AZ 85248 10.1250 06/22/05
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LAND O LAKES FL 34639 10.1250 06/29/05
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SAN JOSE CA 95131 10.6250 06/20/05
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BOWIE MD 20715 10.0000 06/29/05
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DALY CITY CA 94014 10.7500 06/16/05
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PUEBLO CO 81001 10.2500 06/17/05
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DENVER CO 80224 10.3750 06/22/05
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WARWICK RI 02886 10.6250 06/24/05
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BRISTOL IN 46507 11.1250 06/24/05
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RUSTON WA 98407 10.1250 03/10/05
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5.6250 2105.21 1
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CENTREVILLE VA 20120 10.6250 06/23/05
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45 2.7500 0.0000 0.0000
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5.0000 1312.50 1
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CHARLOTTESVILLE VA 22902 10.0000 06/20/05
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286/286 2.5000 08/01/10 08/01/10
45 2.7500 0.0000 0.0000
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5.1250 1259.94 1
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ZIMMERMAN MN 55398 10.1250 03/09/05
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45 2.2500 0.0000 0.0000
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5.6250 941.73 1
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ATLANTA GA 30316 10.6250 04/01/05
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0 2.2500 04/01/10 04/01/10
E22/G01 2.0000 05/01/10 05/01/10
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360 L12 2.0000 2.0000
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0.0000 05 00
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9884454 5.6250 521150.0000 100.0000
5.6250 521,150.00 ZZ
5.3750 2442.89 1
10.6250 2442.89 80
GAINESVILLE VA 20155 10.3750 06/30/05
0439563636 0.0000 08/01/05 00
33605039 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 10.6250 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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0.0000 03 00
O 0.0000
9884470 5.5000 352000.0000 100.0000
5.5000 352,000.00 ZZ
5.2500 1613.33 1
10.5000 1613.33 80
ROCKVILLE MD 20853 10.2500 06/30/05
0439566274 0.0000 08/01/05 00
31205229 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 10.5000 6 6
360 E 1.0000 1.0000
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0.0000 S N 0.1250
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9885313 5.5000 380000.0000 100.0000
5.5000 378,746.48 TX
5.2500 2157.60 1
10.5000 2157.60 80
DRIPPING SPRING TX 78620 10.2500 04/06/05
0423682863 0.0000 06/01/05 00
0423682863 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
E22/G01 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
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0.0000 05 00
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9886812 4.8750 920000.0000 100.0000
4.8750 920,000.00 ZZ
4.6250 3737.50 1
9.8750 3737.50 80
VIENNA VA 22182 9.6250 06/23/05
0439568957 0.0000 08/01/05 00
40105328 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
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9886834 6.2500 220000.0000 100.0000
6.2500 220,000.00 ZZ
6.0000 1145.83 1
11.2500 1145.83 80
GERMANTOWN MD 20874 11.0000 07/08/05
0439613019 0.0000 09/01/05 00
26205198 0.0000 08/01/35 0.0000
0 3.2500 08/01/10 08/01/10
696/G01 3.0000 09/01/10 09/01/10
25 3.2500 0.0000 0.0000
A 11.2500 6 6
360 E 1.0000 1.0000
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5.3750 200,000.00 ZZ
5.1250 895.83 1
10.3750 895.83 80
SPANAWAY WA 98387 10.1250 04/05/05
0423656057 0.0000 06/01/05 00
0423656057 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
E22/U57 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
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9888944 5.5000 311900.0000 100.0000
5.5000 311,900.00 ZZ
5.2500 1429.54 1
10.5000 1429.54 80
FAIRFAX VA 22030 10.2500 06/29/05
0439630807 0.0000 08/01/05 00
23305200 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 10.5000 6 6
360 E 1.0000 1.0000
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0.0000 S N 0.1250
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9888966 5.3750 300000.0000 100.0000
5.3750 300,000.00 ZZ
5.1250 1343.75 1
10.3750 1343.75 77
WASHINGTON DC 20005 10.1250 07/05/05
0439638263 0.0000 09/01/05 00
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0 2.2500 08/01/10 08/01/10
696/G01 2.0000 09/01/10 09/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
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9889889 5.2500 220000.0000 100.0000
5.2500 220,000.00 ZZ
5.0000 962.50 1
10.2500 962.50 75
BELLE PLAINE MN 56011 10.0000 04/08/05
0423675032 0.0000 06/01/05 00
0423675032 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
E22/G01 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9889891 5.7500 259000.0000 100.0000
5.7500 259,000.00 ZZ
5.5000 1241.04 1
10.7500 1241.04 80
WEST BLOOMFIELD MI 48332 10.5000 04/08/05
0423677939 0.0000 06/01/05 00
0423677939 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
E22/G01 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
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9891081 5.2500 460000.0000 100.0000
5.2500 460,000.00 ZZ
5.0000 2012.50 1
10.2500 2012.50 80
HIGHWOOD IL 60040 10.0000 04/11/05
0439183336 0.0000 06/01/05 00
LFB53E 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
E33/G01 2.0000 06/01/10 06/01/10
25 2.2500 0.0000 0.0000
A 10.2500 12 12
360 E12 2.0000 2.0000
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9891255 5.8750 342400.0000 100.0000
5.8750 342,400.00 ZZ
5.6250 1676.33 1
10.8750 1676.33 80
BIG SKY MT 59716 10.6250 04/08/05
0423726330 0.0000 06/01/05 00
0423726330 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
E22/G01 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
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9891524 5.5000 1218750.0000 100.0000
5.5000 1,218,750.00 ZZ
5.2500 5585.94 1
10.5000 5585.94 75
MCLEAN VA 22101 10.2500 07/12/05
0439612201 0.0000 09/01/05 00
26705093 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
696/G01 2.0000 09/01/10 09/01/10
25 2.2500 0.0000 0.0000
A 10.5000 6 6
360 E 1.0000 1.0000
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9891528 5.3750 311350.0000 100.0000
5.3750 311,350.00 ZZ
5.1250 1394.59 1
10.3750 1394.59 80
HERNDON VA 20171 10.1250 06/27/05
0439665019 0.0000 08/01/05 00
80105032 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
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9891530 5.5000 550000.0000 100.0000
5.5000 550,000.00 ZZ
5.2500 2520.83 1
10.5000 2520.83 70
CLARKSBURG MD 20871 10.2500 06/28/05
0439643446 0.0000 08/01/05 00
32905141 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 10.5000 6 6
360 E 1.0000 1.0000
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O 0.0000
9891632 5.7500 302250.0000 100.0000
5.7500 302,250.00 ZZ
5.5000 1448.28 1
10.7500 1448.28 63
BLOOMFIELD HILL MI 48304 10.5000 06/28/05
0439782558 0.0000 09/01/05 00
205528589 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
Y21/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 5 0
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O 0.0000
9891646 5.7500 130500.0000 100.0000
5.7500 130,500.00 ZZ
5.5000 625.31 1
10.7500 625.31 75
MESA AZ 85212 10.5000 06/23/05
0439779836 0.0000 08/01/05 00
205560270 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
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O 0.0000
9891660 5.3750 130400.0000 100.0000
5.3750 130,400.00 ZZ
5.1250 584.08 1
10.3750 584.08 80
PLYMOUTH MN 55441 10.1250 07/06/05
0439779497 0.0000 09/01/05 00
205564739 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
Y21/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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O 0.0000
9891678 5.6250 287000.0000 100.0000
5.6250 287,000.00 ZZ
5.3750 1345.31 1
10.6250 1345.31 70
VALLEJO CA 94589 10.3750 06/24/05
0439779950 0.0000 08/01/05 00
205572936 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
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O 0.0000
9891688 5.6250 447500.0000 100.0000
5.6250 447,500.00 ZZ
5.3750 2097.66 1
10.6250 2097.66 79
ROCKLIN CA 95765 10.3750 07/05/05
0439780032 0.0000 09/01/05 00
205583962 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
Y21/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9891706 5.6250 456500.0000 100.0000
5.6250 456,500.00 ZZ
5.3750 2139.84 1
10.6250 2139.84 73
SAN JOSE CA 95119 10.3750 07/06/05
0439779463 0.0000 09/01/05 00
205599541 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
Y21/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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0.0000 05 00
O 0.0000
9891714 5.7500 423200.0000 100.0000
5.7500 423,200.00 ZZ
5.5000 2027.83 1
10.7500 2027.83 80
ATLANTA GA 30331 10.5000 07/07/05
0439770157 0.0000 09/01/05 00
205606156 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
Y21/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9891734 5.6250 400000.0000 100.0000
5.6250 400,000.00 ZZ
5.3750 1875.00 1
10.6250 1875.00 75
TAMPA FL 33647 10.3750 07/08/05
0439779166 0.0000 09/01/05 00
205655556 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
Y21/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9892809 5.6250 188000.0000 100.0000
5.6250 188,000.00 ZZ
5.3750 881.25 1
10.6250 881.25 80
LOVELAND CO 80538 10.3750 04/11/05
0423695634 0.0000 06/01/05 00
0423695634 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
E22/G01 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9893178 5.6250 677500.0000 100.0000
5.6250 677,500.00 ZZ
5.3750 3175.78 1
10.6250 3175.78 70
BETHESDA MD 20817 10.3750 07/18/05
0439661398 0.0000 09/01/05 00
33905095 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
696/G01 2.0000 09/01/10 09/01/10
25 2.2500 0.0000 0.0000
A 10.6250 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9893477 5.5000 210000.0000 100.0000
5.5000 210,000.00 ZZ
5.2500 962.50 1
10.5000 962.50 36
DEERFIELD IL 60015 10.2500 04/18/05
0439190067 0.0000 06/01/05 00
85412 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
E33/G01 2.0000 06/01/10 06/01/10
25 2.2500 0.0000 0.0000
A 10.5000 12 12
360 E12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 09 00
O 0.0000
9893905 5.2500 442000.0000 100.0000
5.2500 441,459.03 ZZ
5.0000 1933.75 1
10.2500 1931.38 56
SPRINGFIELD VA 22151 10.0000 04/13/05
0423541051 0.0000 06/01/05 00
0423541051 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
E22/G01 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9893941 5.5000 275000.0000 100.0000
5.5000 275,000.00 ZZ
5.2500 1260.42 1
10.5000 1260.42 78
KIRKLAND WA 98034 10.2500 04/07/05
0423309848 0.0000 06/01/05 00
0423309848 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
E22/G01 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
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O 0.0000
9894116 5.5000 403400.0000 100.0000
5.5000 403,400.00 ZZ
5.2500 1848.92 1
10.5000 1848.92 80
ALEXANDRIA VA 22301 10.2500 07/15/05
0439673815 0.0000 09/01/05 00
25505078 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
696/G01 2.0000 09/01/10 09/01/10
25 2.2500 0.0000 0.0000
A 10.5000 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 07 00
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9895827 5.2500 240000.0000 100.0000
5.2500 240,000.00 ZZ
5.0000 1050.00 1
10.2500 1050.00 80
WINDER GA 30680 10.0000 04/14/05
0423711886 0.0000 06/01/05 00
0423711886 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
E22/G01 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
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9895925 5.2500 282000.0000 100.0000
5.2500 279,512.21 ZZ
5.0000 1557.21 1
10.2500 1557.21 41
CARLSBAD CA 92009 10.0000 04/12/05
0423842293 0.0000 06/01/05 00
0423842293 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
E22/G01 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
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O 0.0000
9897319 5.5000 262500.0000 100.0000
5.5000 262,499.99 ZZ
5.2500 1203.13 1
10.5000 1203.12 70
KANSAS CITY KS 66109 10.2500 04/16/05
0439195702 0.0000 06/01/05 00
10001420 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
Y86/G01 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
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9897695 6.0000 262500.0000 100.0000
6.0000 262,500.00 ZZ
5.7500 1312.50 1
11.0000 1312.50 75
BEND OR 97702 10.7500 04/14/05
0423774272 0.0000 06/01/05 00
0423774272 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
E22/G01 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 11.0000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9899068 5.5000 500000.0000 100.0000
5.5000 500,000.00 ZZ
5.2500 2291.67 1
10.5000 2291.67 73
NORTH POTOMAC MD 20878 10.2500 07/14/05
0439674672 0.0000 09/01/05 00
32905109 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
696/G01 2.0000 09/01/10 09/01/10
25 2.2500 0.0000 0.0000
A 10.5000 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9900364 5.5000 290400.0000 100.0000
5.5000 290,400.00 ZZ
5.2500 1331.00 1
10.5000 1331.00 80
FORT LAUDERDALE FL 33315 10.2500 07/25/05
0439680331 0.0000 09/01/05 00
26105093 0.0000 08/01/35 0.0000
0 3.2500 08/01/10 08/01/10
696/G02 3.0000 09/01/10 09/01/10
25 3.2500 0.0000 0.0000
A 10.5000 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 07 00
O 0.0000
9901815 5.6250 225600.0000 100.0000
5.6250 225,600.00 ZZ
5.3750 1057.50 1
10.6250 1057.50 80
GRAND JUNCTION CO 81506 10.3750 04/18/05
0423861517 0.0000 06/01/05 00
0423861517 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
E22/G01 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
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9902742 5.6250 587000.0000 100.0000
5.6250 587,000.00 ZZ
5.3750 2751.56 1
10.6250 2751.56 79
FAIRFAX VA 22030 10.3750 07/21/05
0439681099 0.0000 09/01/05 00
25805058 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
696/G01 2.0000 09/01/10 09/01/10
25 2.2500 0.0000 0.0000
A 10.6250 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
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9902758 5.5000 326300.0000 100.0000
5.5000 326,300.00 ZZ
5.2500 1495.54 1
10.5000 1495.54 80
ALEXANDRIA VA 22311 10.2500 07/22/05
0439681578 0.0000 09/01/05 00
26605139 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
696/G01 2.0000 09/01/10 09/01/10
25 2.2500 0.0000 0.0000
A 10.5000 6 6
360 E 1.0000 1.0000
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0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9902766 5.3750 268000.0000 100.0000
5.3750 268,000.00 ZZ
5.1250 1200.42 1
10.3750 1200.42 80
MANASSAS VA 20110 10.1250 07/21/05
0439692039 0.0000 09/01/05 00
33605076 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
696/G01 2.0000 09/01/10 09/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
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LORTON VA 22079 10.5000 07/19/05
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LOUISVILLE KY 40291 10.3750 04/25/05
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WEST HARWICH MA 02671 10.0000 03/31/05
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DESTREHAN LA 70047 10.1250 04/27/05
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CENTERVILLE MA 02632 10.2500 04/28/05
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VANCOUVER WA 98685 10.3750 04/07/05
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ROCKVILLE MD 20852 10.3750 07/26/05
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WOODBRIDGE VA 22193 10.1250 07/21/05
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696/G01 2.0000 09/01/10 09/01/10
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5.3750 3843.75 1
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CLIFTON VA 20124 10.3750 07/22/05
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696/G01 2.0000 09/01/10 09/01/10
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FALLS CHURCH VA 22043 10.1250 07/14/05
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MIAMI FL 33133 9.8750 04/04/05
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5.2500 1497.60 1
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HERNDON VA 20171 10.2500 07/22/05
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696/G01 2.0000 09/01/10 09/01/10
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WASHINGTON DC 20008 10.2500 07/28/05
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696/G01 2.0000 09/01/10 09/01/10
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ARLINGTON VA 22201 10.1250 07/15/05
0439782004 0.0000 09/01/05 00
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0 2.2500 08/01/10 08/01/10
696/G01 2.0000 09/01/10 09/01/10
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OLNEY MD 20832 10.3750 07/25/05
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696/G01 2.0000 09/01/10 09/01/10
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OCEAN CITY MD 21842 10.2500 07/29/05
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HAVRE DE GRACE MD 21078 10.6250 04/14/05
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CORNVILLE AZ 86325 10.1250 04/14/05
0439228347 2.2500 06/01/05 00
1001819769 2.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
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WASHINGTON DC 20005 10.2500 08/01/05
0439788506 0.0000 09/01/05 00
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696/G01 2.0000 09/01/10 09/01/10
25 2.2500 0.0000 0.0000
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9921168 5.5000 277220.0000 100.0000
5.5000 277,220.00 ZZ
5.2500 1270.59 1
10.5000 1270.59 80
ARLINGTON VA 22201 10.2500 08/02/05
0439794322 0.0000 09/01/05 00
80005070 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
696/G01 2.0000 09/01/10 09/01/10
25 2.2500 0.0000 0.0000
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KENSINGTON MD 20895 10.3750 07/25/05
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5.1250 4479.17 1
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MCLEAN VA 22101 10.1250 07/27/05
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TAKOMA PARK MD 20912 10.2500 08/01/05
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5.3750 273,500.00 ZZ
5.1250 1225.05 1
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ARLINGTON VA 22201 10.1250 08/03/05
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80005086 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
696/G01 2.0000 09/01/10 09/01/10
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XXXX VALLEY MD 21030 10.1250 07/22/05
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ARLINGTON VA 22201 10.1250 08/02/05
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696/G01 2.0000 09/01/10 09/01/10
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SEATTLE WA 98126 10.1250 05/05/05
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WASHINGTON DC 20009 10.0000 05/05/05
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MISHAWAKA IN 46545 10.2500 05/06/05
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LOXAHATCHEE FL 33470 10.5000 07/26/05
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ARLINGTON VA 22201 10.3750 08/04/05
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ARLINGTON VA 22206 10.3750 07/28/05
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ARLINGTON VA 22201 10.3750 08/02/05
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FORT XXXXXXX CO 80526 10.1250 05/13/05
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LAS VEGAS NV 89149 10.1250 03/17/05
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5.2500 1051.17 1
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LAS VEGAS NV 89141 10.2500 02/23/05
777003255 2.2500 04/01/05 00
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IRVINE CA 92620 10.3750 02/25/05
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LAKE FOREST IL 60045 10.0000 05/11/05
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MIRAMAR FL 33027 10.6250 04/22/05
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HILTON HEAD ISL SC 29926 10.0000 04/01/05
0029364593 2.2500 06/01/05 00
0029364593 1.8750 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
025/025 1.8750 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
3.1250 1 0
0.0000 05 00
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9937119 5.5000 575000.0000 100.0000
5.5000 575,000.00 ZZ
5.1250 2635.42 1
10.5000 2635.42 35
DESTIN FL 32541 10.1250 03/25/05
0031897648 2.2500 05/01/05 00
0031897648 1.8750 04/01/35 0.0000
0 2.2500 04/01/10 04/01/10
025/025 1.8750 05/01/10 05/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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3.2500 2 0
0.0000 05 00
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9937163 5.8750 772000.0000 100.0000
5.8750 772,000.00 ZZ
5.5000 3779.58 1
10.8750 3779.58 41
ENGLEWOOD FL 34223 10.5000 04/13/05
0032436040 2.2500 06/01/05 00
0032436040 1.8750 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
025/025 1.8750 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
3.6250 2 0
0.0000 01 00
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9937515 5.8750 452000.0000 100.0000
5.8750 452,000.00 ZZ
5.5000 2212.92 1
10.8750 2212.92 80
SAMMAMISH WA 98074 10.5000 04/13/05
0143446375 0.0000 06/01/05 00
0143446375 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
025/025 1.8750 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9937523 5.5000 632000.0000 100.0000
5.5000 632,000.00 ZZ
5.1250 2896.67 1
10.5000 2896.67 75
WAKE FOREST NC 27587 10.1250 02/28/05
0201202694 2.2500 05/01/05 00
0201202694 1.8750 04/01/35 0.0000
0 2.2500 04/01/10 04/01/10
025/025 1.8750 05/01/10 05/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
3.2500 2 0
0.0000 03 00
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9937525 5.5000 450000.0000 100.0000
5.5000 450,000.00 ZZ
5.1250 2062.50 1
10.5000 2062.50 43
SAINT XXXXXX IS GA 31522 10.1250 03/04/05
0201252509 2.2500 05/01/05 00
0201252509 1.8750 04/01/35 0.0000
0 2.2500 04/01/10 04/01/10
025/025 1.8750 05/01/10 05/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
3.2500 5 0
0.0000 05 00
O 0.0000
9937685 5.8750 416000.0000 100.0000
5.8750 416,000.00 ZZ
5.5000 2036.67 1
10.8750 2036.67 65
ANNANDALE VA 22003 10.5000 04/15/05
0201584513 2.2500 06/01/05 00
0201584513 1.8750 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
025/025 1.8750 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
3.6250 1 0
0.0000 05 00
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9938023 6.2500 480000.0000 100.0000
6.2500 478,163.92 ZZ
5.8750 2955.45 1
11.2500 2955.45 80
QUEENS VILLAGE NY 11429 10.8750 03/09/05
0134875939 0.0000 05/01/05 00
0134875939 0.0000 04/01/35 0.0000
0 2.2500 04/01/10 04/01/10
025/025 1.8750 05/01/10 05/01/10
45 2.2500 0.0000 0.0000
A 11.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9938049 5.5000 650000.0000 100.0000
5.5000 650,000.00 ZZ
5.1250 2979.17 1
10.5000 2979.17 74
SEATTLE WA 98112 10.1250 03/30/05
0143282499 2.2500 06/01/05 00
0143282499 1.8750 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
025/025 1.8750 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
3.2500 1 0
0.0000 05 00
O 0.0000
9938073 6.0000 430400.0000 100.0000
6.0000 430,400.00 ZZ
5.6250 2152.00 1
11.0000 2152.00 80
JACKSONVILLE FL 32259 10.6250 03/21/05
0143287134 2.2500 05/01/05 00
0143287134 1.8750 04/01/35 0.0000
0 2.2500 04/01/10 04/01/10
025/025 1.8750 05/01/10 05/01/10
45 2.2500 0.0000 0.0000
A 11.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
3.7500 2 0
0.0000 03 00
O 0.0000
9938315 5.2500 475000.0000 100.0000
5.2500 372,920.81 ZZ
4.8750 2622.97 1
10.2500 2622.97 64
SHERIDAN WY 82801 9.8750 04/01/05
0201453776 0.0000 06/01/05 00
0201453776 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
025/025 1.8750 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9939005 5.6250 226400.0000 100.0000
5.6250 226,400.00 T
5.3750 1061.25 1
10.6250 1061.25 80
GOODYEAR AZ 85338 10.3750 05/10/05
0424212496 0.0000 07/01/05 00
0424212496 0.0000 06/01/35 0.0000
0 3.2500 06/01/10 06/01/10
E22/G02 3.0000 07/01/10 07/01/10
45 3.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9939455 5.3750 274000.0000 100.0000
5.3750 273,751.45 ZZ
5.1250 1227.29 1
10.3750 1226.74 80
MAPLETON UT 84664 10.1250 05/02/05
0439332958 0.0000 07/01/05 00
2818713 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
X08/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9941777 5.5000 288000.0000 100.0000
5.5000 288,000.00 ZZ
5.2500 1320.00 1
10.5000 1320.00 80
EDEN PRAIRIE MN 55346 10.2500 05/13/05
0423726173 0.0000 07/01/05 00
0423726173 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
E22/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9941823 5.1250 573000.0000 100.0000
5.1250 571,651.68 ZZ
4.8750 3119.91 1
10.1250 3119.91 48
GLENVIEW IL 60025 9.8750 05/13/05
0423925569 0.0000 07/01/05 00
0423925569 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
E22/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9941917 5.6250 376400.0000 100.0000
5.6250 376,400.00 ZZ
5.3750 1764.38 1
10.6250 1764.38 80
UPPER MARLBORO MD 20772 10.3750 05/16/05
0439329418 0.0000 07/01/05 00
27005071 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
696/G01 2.0000 07/01/10 07/01/10
25 2.2500 0.0000 0.0000
A 10.6250 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9942259 5.3750 359650.0000 100.0000
5.3750 359,650.00 ZZ
5.1250 1610.93 1
10.3750 1610.93 48
JUPITER FL 33458 10.1250 04/18/05
0439342148 0.0000 06/01/05 00
19990594 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
T08/G01 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9942279 5.7500 183920.0000 100.0000
5.7500 183,920.00 ZZ
5.5000 881.28 1
10.7500 881.28 80
MCCALLA AL 35111 10.5000 04/20/05
0439341256 0.0000 06/01/05 00
31370005 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
T08/G01 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9943909 5.5000 264000.0000 100.0000
5.5000 264,000.00 ZZ
5.2500 1210.00 1
10.5000 1210.00 80
RACINE WI 53402 10.2500 05/16/05
0424045201 0.0000 07/01/05 00
0424045201 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
E22/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9944133 5.6250 412000.0000 100.0000
5.6250 412,000.00 ZZ
5.3750 1931.25 1
10.6250 1931.25 75
SCOTTSDALE AZ 85260 10.3750 04/11/05
0439358680 0.0000 06/01/05 00
05004216 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
Y28/G01 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
9944135 5.0000 287200.0000 100.0000
5.0000 287,200.00 ZZ
4.7500 1196.67 1
10.0000 1196.67 80
DEERFIELD BEACH FL 33065 9.7500 04/14/05
0439354838 0.0000 06/01/05 00
05002922 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
Y28/G01 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9944141 5.0000 435000.0000 100.0000
5.0000 433,425.45 ZZ
4.7500 2335.17 1
10.0000 2335.17 47
BURR RIDGE IL 60521 9.7500 04/11/05
0439370123 0.0000 06/01/05 00
05003408 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
Y28/G01 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9944145 4.8750 361381.0000 100.0000
4.8750 361,381.00 ZZ
4.6250 1468.11 1
9.8750 1468.11 80
HAYMARKET VA 20169 9.6250 05/05/05
0439354622 0.0000 07/01/05 00
05004821 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
Y28/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 9.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 09 00
O 0.0000
9944173 5.6250 332000.0000 100.0000
5.6250 332,000.00 ZZ
5.3750 1556.25 1
10.6250 1556.25 80
GAINESVILLE VA 20155 10.3750 04/28/05
0439369620 0.0000 06/01/05 00
05004897 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
Y28/G01 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 07 00
O 0.0000
9944377 6.1250 112000.0000 100.0000
6.1250 112,000.00 ZZ
5.7500 571.67 1
12.1250 571.67 80
ROSEVILLE MI 48066 11.7500 04/15/05
389553 2.2500 06/01/05 00
389553 1.8750 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
253/253 1.8750 06/01/10 06/01/10
25 2.2500 0.0000 0.0000
A 12.1250 6 6
360 E 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
3.8750 5 0
0.0000 05 00
O 0.0000
9944435 5.8750 157000.0000 100.0000
5.8750 157,000.00 ZZ
5.6250 768.65 1
10.8750 768.65 80
VILLA RICA GA 30180 10.6250 05/05/05
0439336413 2.2500 07/01/05 00
26505202 2.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
L21/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
3.6250 2 0
0.0000 03 00
O 0.0000
9944437 5.7500 332000.0000 100.0000
5.7500 332,000.00 ZZ
5.5000 1590.83 1
10.7500 1590.83 80
ATLANTA GA 30305 10.5000 04/22/05
0439337031 2.2500 06/01/05 00
26550169 2.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
L21/G01 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
3.5000 1 0
0.0000 05 00
O 0.0000
9944605 5.1250 915000.0000 100.0000
5.1250 915,000.00 ZZ
4.8750 3907.81 1
10.1250 3907.81 31
LEESBURG VA 20176 9.8750 04/20/05
0439371519 0.0000 06/01/05 00
05003915 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
Y28/G01 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9945047 6.0000 175700.0000 100.0000
6.0000 175,595.25 ZZ
5.7500 878.50 1
11.0000 878.48 80
BELLEVILLE MI 48111 10.7500 05/23/05
0423926658 0.0000 07/01/05 00
0423926658 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
E22/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 11.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9945537 5.7500 156000.0000 100.0000
5.7500 156,000.00 ZZ
5.5000 747.50 1
10.7500 747.50 80
BOGART GA 30622 10.5000 05/06/05
0439336801 2.2500 07/01/05 00
26504723 2.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
L21/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
3.5000 1 0
0.0000 03 00
O 0.0000
9948835 5.0000 359650.0000 100.0000
5.0000 359,650.00 ZZ
4.7500 1498.54 1
10.0000 1498.54 55
COLLEYVILLE TX 76034 9.7500 04/26/05
0439352956 0.0000 06/01/05 00
05022601 0.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
Y28/G01 2.0000 06/01/10 06/01/10
45 2.2500 0.0000 0.0000
A 10.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9950271 5.7500 300000.0000 100.0000
5.7500 300,000.00 ZZ
5.5000 1437.50 1
10.7500 1437.50 25
LAGUNA BEACH CA 92651 10.5000 05/17/05
0424120657 0.0000 07/01/05 00
0424120657 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
E22/U57 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9953123 5.5000 180800.0000 100.0000
5.5000 180,800.00 ZZ
5.2500 828.67 1
10.5000 828.67 80
AVONDALE ESTATE GA 30002 10.2500 05/26/05
0423986512 0.0000 07/01/05 00
0423986512 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
E22/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9953225 5.6250 111920.0000 100.0000
5.6250 111,920.00 ZZ
5.3750 524.63 1
10.6250 524.63 80
SAINT LOUIS MO 63139 10.3750 05/26/05
0424163913 0.0000 07/01/05 00
0424163913 0.0000 06/01/35 0.0000
0 3.2500 06/01/10 06/01/10
E22/G02 3.0000 07/01/10 07/01/10
45 3.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9953251 5.7500 110000.0000 100.0000
5.7500 110,000.00 ZZ
5.5000 527.08 1
10.7500 527.08 64
FARMINGTON HILL MI 48331 10.5000 05/26/05
0424190189 0.0000 07/01/05 00
0424190189 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
E22/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9953371 5.8750 194400.0000 100.0000
5.8750 194,400.00 ZZ
5.6250 951.75 1
10.8750 951.75 80
JORDAN MN 55352 10.6250 05/26/05
0424329522 0.0000 07/01/05 00
0424329522 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
E22/U57 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9953907 5.7500 352800.0000 100.0000
5.7500 352,800.00 ZZ
5.5000 1690.50 1
11.7500 1690.50 90
MIAMI FL 33131 11.5000 05/10/05
0439422205 2.7500 07/01/05 14
3254020181 2.5000 06/01/35 30.0000
0 2.7500 06/01/10 06/01/10
N67/G01 2.5000 07/01/10 07/01/10
25 2.7500 0.0000 0.0000
A 11.7500 6 6
360 E 1.0000 1.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
3.0000 1 0
0.0000 01 00
O 0.0000
9953931 6.0000 128800.0000 100.0000
6.0000 127,984.14 ZZ
5.7500 644.00 1
12.0000 640.78 80
PORTLAND OR 97216 11.7500 04/20/05
0439432048 0.0000 06/01/05 00
3335006426 0.0000 05/01/35 0.0000
0 2.7500 05/01/10 05/01/10
N67/G01 2.5000 06/01/10 06/01/10
25 2.7500 0.0000 0.0000
A 12.0000 6 6
360 E 1.0000 1.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9954111 5.7500 319950.0000 100.0000
5.7500 318,603.26 ZZ
5.5000 1867.14 1
11.7500 1867.14 80
BOTHELL WA 98011 11.5000 04/13/05
0439386517 2.2500 06/01/05 00
3339001786 2.0000 05/01/35 0.0000
0 2.2500 05/01/10 05/01/10
N67/G01 2.0000 06/01/10 06/01/10
25 2.2500 0.0000 0.0000
A 11.7500 6 6
360 E 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
3.5000 1 0
0.0000 05 00
O 0.0000
9954119 6.0000 180000.0000 100.0000
6.0000 180,000.00 ZZ
5.7500 900.00 1
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ARLINGTON WA 98223 11.7500 04/15/05
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SEATTLE WA 98105 11.3750 05/01/05
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PRAIRIEVILLE LA 70769 11.2500 04/29/05
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SCOTTSDALE AZ 85258 11.3750 05/04/05
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LAS VEGAS NV 89123 11.6250 05/09/05
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FERNELY NV 89408 10.1250 05/03/05
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ORLANDO FL 32837 11.3750 04/26/05
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EVANSTON IL 60201 11.7500 04/22/05
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TAMPA FL 33618 11.3750 04/15/05
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LAND O' LAKES FL 34638 11.5000 05/06/05
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CHARLESTON SC 29412 11.6250 04/29/05
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LAND O LAKES FL 34639 11.3750 05/12/05
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BRADENTON FL 34203 11.6250 04/19/05
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SUNRISE FL 33326 11.3750 05/02/05
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DELRAY BEACH FL 33484 11.6250 04/21/05
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BUFFALO MN 55313 11.3750 04/29/05
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BOCA RATON FL 33428 11.6250 05/13/05
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LEBANON OH 45036 11.6250 05/12/05
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CANTON CT 06019 11.5000 04/26/05
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SAUGUS MA 01906 11.5000 04/29/05
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KILL DEVIL HILL NC 27948 11.6250 04/19/05
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WINCHESTER VA 22602 11.6250 05/09/05
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5.5000 1533.33 1
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NORTH HAVEN CT 06473 11.5000 05/02/05
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MARICOPA AZ 85239 11.6250 05/10/05
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ROCKVILLE MD 20851 11.3750 05/10/05
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5.2500 962.50 1
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BULLHEAD CITY AZ 86442 10.2500 04/19/05
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4.8750 1252.32 1
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BULLHEAD CITY AZ 86442 9.8750 04/19/05
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SUN CITY AZ 85351 11.6250 04/13/05
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5.2500 576.31 1
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PHOENIX AZ 85022 11.2500 05/09/05
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CHANDLER AZ 85226 10.3750 05/03/05
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TEMPE AZ 85282 10.3750 04/26/05
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FOUNTAIN HILLS AZ 85268 10.2500 04/07/05
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5.7500 1500.00 1
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SCOTTSDALE AZ 85260 10.7500 04/13/05
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PHOENIX AZ 85050 10.6250 04/14/05
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5.6250 1702.77 1
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SNOHOMISH WA 98296 10.6250 04/08/05
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N67/G01 2.0000 06/01/10 06/01/10
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5.5000 213,237.35 ZZ
5.2500 977.35 1
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AURORA CO 80016 10.2500 05/26/05
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6.1250 125,000.00 ZZ
5.8750 638.02 1
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WINCHESTER VA 22602 10.8750 05/23/05
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45 2.2500 0.0000 0.0000
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5.1250 3355.35 1
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GLENVIEW IL 60025 10.1250 05/27/05
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0 2.2500 06/01/10 06/01/10
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45 2.2500 0.0000 0.0000
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5.5000 177,600.00 ZZ
5.2500 814.00 1
10.5000 814.00 80
LOVELAND CO 80538 10.2500 05/24/05
0424294346 0.0000 07/01/05 00
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E22/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
5.0000 S N 0.1250
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0.0000 05 00
O 0.0000
9959779 5.6250 294400.0000 100.0000
5.6250 294,400.00 ZZ
5.3750 1380.00 1
10.6250 1380.00 80
PHOENIX AZ 85022 10.3750 05/24/05
0424305811 0.0000 07/01/05 00
0424305811 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
E22/U57 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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0.0000 03 00
O 0.0000
9959911 5.3750 252000.0000 100.0000
5.3750 252,000.00 ZZ
5.1250 1128.75 1
10.3750 1128.75 80
BELLEVILLE NJ 07109 10.1250 05/24/05
0423904044 0.0000 07/01/05 00
0423904044 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
E22/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
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O 0.0000
9959953 5.3750 251900.0000 100.0000
5.3750 251,900.00 ZZ
5.1250 1128.30 1
10.3750 1128.30 80
ARDEN NC 28704 10.1250 05/31/05
0424318848 0.0000 07/01/05 00
0424318848 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
E22/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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9960289 5.2500 396000.0000 100.0000
5.2500 395,885.74 ZZ
5.0000 1732.50 1
10.2500 1732.50 80
WEST BLOOMFIELD MI 48323 10.0000 05/31/05
0424117240 0.0000 07/01/05 00
0424117240 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
E22/U57 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9961463 5.6250 199700.0000 100.0000
5.6250 199,700.00 ZZ
5.3750 936.09 1
10.6250 936.09 77
MESA AZ 85208 10.3750 05/04/05
0439365313 0.0000 07/01/05 00
294317 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
H58/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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O 0.0000
9961521 6.1250 202500.0000 100.0000
6.1250 202,500.00 T
5.8750 1033.59 1
11.1250 1033.59 75
FEDERAL WAY WA 98023 10.8750 05/05/05
0439363359 0.0000 07/01/05 00
297086 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
H58/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 11.1250 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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O 0.0000
9961595 5.7500 260800.0000 100.0000
5.7500 260,800.00 ZZ
5.5000 1249.67 1
10.7500 1249.67 80
PHOENIX AZ 85086 10.5000 05/11/05
0439367319 0.0000 07/01/05 00
298153 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
H58/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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O 0.0000
9961597 6.2500 220000.0000 100.0000
6.2500 220,000.00 ZZ
6.0000 1145.83 1
11.2500 1145.83 80
LAS VEGAS NV 89123 11.0000 05/10/05
0439364308 0.0000 07/01/05 00
298165 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
H58/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 11.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9961605 5.5000 327200.0000 100.0000
5.5000 327,200.00 ZZ
5.2500 1499.67 1
10.5000 1499.67 80
HENDERSON NV 89052 10.2500 05/04/05
0439364894 0.0000 07/01/05 00
298177 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
H58/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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0.0000 03 00
O 0.0000
9961607 5.8750 267000.0000 100.0000
5.8750 267,000.00 ZZ
5.6250 1307.19 1
10.8750 1307.19 79
GRASS VALLEY CA 95945 10.6250 05/12/05
0439368713 0.0000 07/01/05 00
298199 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
H58/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9961615 5.7500 313100.0000 100.0000
5.7500 313,100.00 ZZ
5.5000 1500.27 1
10.7500 1500.27 72
PHOENIX AZ 85021 10.5000 05/11/05
0439364787 0.0000 07/01/05 00
298328 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
H58/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9961813 5.8750 623200.0000 100.0000
5.8750 623,200.00 ZZ
5.6250 3051.08 1
10.8750 3051.08 80
PHOENIX AZ 85022 10.6250 05/11/05
0439367012 0.0000 07/01/05 00
302338 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
H58/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
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O 0.0000
9961843 5.8750 248000.0000 100.0000
5.8750 248,000.00 ZZ
5.6250 1214.17 1
10.8750 1214.17 80
ARLINGTON WA 98223 10.6250 05/18/05
0439364373 0.0000 07/01/05 00
303762 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
H58/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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0.0000 05 00
O 0.0000
9962005 5.5000 500000.0000 100.0000
5.5000 499,000.00 ZZ
5.2500 2291.67 1
10.5000 2291.67 65
CHANDLER AZ 85248 10.2500 05/10/05
0439361544 0.0000 07/01/05 00
1001827730 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
944/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9962015 5.6250 488000.0000 100.0000
5.6250 488,000.00 ZZ
5.3750 2287.50 1
10.6250 2287.50 80
SAN JOSE CA 95133 10.3750 05/16/05
0439357641 0.0000 07/01/05 00
1001826338 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
944/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9962275 5.2500 555000.0000 100.0000
5.2500 555,000.00 ZZ
5.0000 2428.13 1
10.2500 2428.13 64
SEAFORD, BROAD DE 19973 10.0000 05/16/05
0439355157 0.0000 07/01/05 00
1001823711 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
944/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9962821 5.5000 500000.0000 100.0000
5.5000 498,902.93 ZZ
5.2500 2838.95 1
10.5000 2838.95 49
PALO ALTO CA 94306 10.2500 04/28/05
0439354796 0.0000 07/01/05 00
1001824252 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
944/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9962835 5.8750 175200.0000 100.0000
5.8750 175,200.00 ZZ
5.6250 857.75 1
10.8750 857.75 80
GIG HARBOR WA 98332 10.6250 05/04/05
0439362914 0.0000 07/01/05 00
1001821733 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
944/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9962965 5.2500 470000.0000 100.0000
5.2500 469,500.00 ZZ
5.0000 2056.25 1
10.2500 2056.25 59
AUBURN CA 95602 10.0000 05/11/05
0439354770 0.0000 07/01/05 00
1001823272 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
944/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9964689 5.3750 253000.0000 100.0000
5.3750 252,950.00 ZZ
5.1250 1133.23 1
10.3750 1133.23 77
DENVER CO 80212 10.1250 05/27/05
0424319374 0.0000 07/01/05 00
0424319374 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
E22/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9964785 5.5000 167960.0000 100.0000
5.5000 167,960.00 ZZ
5.2500 769.82 1
10.5000 769.82 80
PACIFIC WA 98047 10.2500 05/24/05
0424301679 0.0000 07/01/05 00
0424301679 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
E22/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9965127 5.3750 416000.0000 100.0000
5.3750 416,000.00 T
5.1250 1863.33 1
10.3750 1863.33 80
WASHINGTON DC 20003 10.1250 05/25/05
0439352899 0.0000 07/01/05 00
40105226 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
696/G01 2.0000 07/01/10 07/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 07 00
O 0.0000
9965483 5.5000 202500.0000 100.0000
5.5000 202,499.99 ZZ
5.2500 928.13 1
10.5000 928.12 95
HOMESTEAD FL 33035 10.2500 05/13/05
0439367566 0.0000 07/01/05 12
10026151 0.0000 06/01/35 30.0000
0 2.2500 06/01/10 06/01/10
L49/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9965491 5.7500 176450.0000 100.0000
5.7500 176,450.00 ZZ
5.5000 845.49 1
10.7500 845.49 80
GILBERT AZ 85297 10.5000 05/06/05
0439366576 0.0000 07/01/05 00
10025526 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
L49/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9965555 5.2500 520000.0000 100.0000
5.2500 519,986.92 ZZ
5.0000 2275.00 1
10.2500 2275.00 80
SCOTTSDALE AZ 85260 10.0000 05/11/05
0439367665 0.0000 07/01/05 00
10027421 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
L49/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9966511 5.8750 240000.0000 100.0000
5.8750 239,598.85 ZZ
5.6250 1175.00 1
10.8750 1173.05 74
SOUTH ELGIN IL 60177 10.6250 05/27/05
0424225118 0.0000 07/01/05 00
0424225118 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
E22/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9968735 5.3750 885000.0000 100.0000
5.3750 885,000.00 ZZ
5.1250 3964.06 1
10.3750 3964.06 75
ASHEVILLE NC 28803 10.1250 06/06/05
0423262237 0.0000 07/01/05 00
0423262237 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
E22/U57 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
9968819 5.8750 300000.0000 100.0000
5.8750 300,000.00 ZZ
5.6250 1468.75 1
10.8750 1468.75 59
ROSELAND NJ 07068 10.6250 05/31/05
0424067825 0.0000 08/01/05 00
0424067825 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
E22/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 01 00
O 0.0000
9968823 5.8750 252000.0000 100.0000
5.8750 251,484.88 ZZ
5.6250 1490.68 1
10.8750 1490.68 54
GLEN COVE NY 11542 10.6250 05/31/05
0424071538 0.0000 07/01/05 00
0424071538 0.0000 06/01/35 0.0000
0 3.2500 06/01/10 06/01/10
E22/G02 3.0000 07/01/10 07/01/10
45 3.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9968833 5.3750 250000.0000 100.0000
5.3750 249,438.47 ZZ
5.1250 1399.93 1
10.3750 1399.93 79
CHICAGO IL 60639 10.1250 06/01/05
0424097509 0.0000 07/01/05 00
0424097509 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
E22/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9968837 5.5000 344000.0000 100.0000
5.5000 344,000.00 ZZ
5.2500 1576.67 1
10.5000 1576.67 65
SANTA ANA CA 92704 10.2500 05/27/05
0424103778 0.0000 08/01/05 00
0424103778 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
E22/U57 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
9969261 5.5000 153280.0000 100.0000
5.5000 153,112.22 ZZ
5.2500 870.31 1
10.5000 870.31 80
WEST POINT UT 84015 10.2500 06/03/05
0424470979 0.0000 08/01/05 00
0424470979 0.0000 07/01/35 0.0000
0 3.2500 07/01/10 07/01/10
E22/G02 3.0000 08/01/10 08/01/10
45 3.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9969265 5.7500 108720.0000 100.0000
5.7500 108,606.49 ZZ
5.5000 634.46 1
10.7500 634.46 80
BOISE ID 83705 10.5000 06/03/05
0424509776 0.0000 08/01/05 00
0424509776 0.0000 07/01/35 0.0000
0 3.2500 07/01/10 07/01/10
E22/G02 3.0000 08/01/10 08/01/10
45 3.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9971541 5.2500 638000.0000 100.0000
5.2500 638,000.00 ZZ
5.0000 2791.25 1
10.2500 2791.25 67
SCOTTSDALE AZ 85262 10.0000 05/25/05
0424239945 0.0000 07/01/05 00
0424239945 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
E22/U57 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
9973275 5.7500 276440.0000 100.0000
5.7500 275,861.38 ZZ
5.5000 1613.23 1
10.7500 1613.23 80
NOTTINGHAM NH 03290 10.5000 05/18/05
0439378522 2.2500 07/01/05 00
28505426 2.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
L21/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
3.5000 1 0
0.0000 05 00
O 0.0000
9973829 5.1250 308000.0000 100.0000
5.1250 307,275.25 ZZ
4.8750 1677.02 1
10.1250 1677.02 80
PORSTMOUTH NH 03801 9.8750 05/31/05
0439378340 2.2500 07/01/05 00
28505712 2.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
L21/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
2.8750 1 0
0.0000 05 00
O 0.0000
9974887 5.8750 232000.0000 100.0000
5.8750 232,000.00 ZZ
5.6250 1135.83 1
10.8750 1135.83 80
PINCKNEY MI 48169 10.6250 06/03/05
0424365799 0.0000 08/01/05 00
0424365799 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
E22/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
9977203 5.1250 797800.0000 100.0000
5.1250 797,800.00 T
4.8750 3407.27 1
10.1250 3407.27 70
KIAWAH ISLAND SC 29455 9.8750 06/07/05
0439388190 0.0000 08/01/05 00
30019045 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
U80/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
9977245 5.5000 480000.0000 100.0000
5.5000 480,000.00 ZZ
5.2500 2200.00 1
10.5000 2200.00 80
SCOTTSDALE AZ 85255 10.2500 06/03/05
0439388000 2.2500 08/01/05 00
20383156 2.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
L01/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
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5.1250 1899.17 1
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SANTEE CA 92071 10.1250 06/01/05
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45 2.2500 0.0000 0.0000
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6.1250 169,600.00 ZZ
5.8750 865.67 1
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COLLEGEVILLE PA 19426 10.8750 06/09/05
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0 2.2500 07/01/10 07/01/10
E22/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.6250 529,433.41 ZZ
5.3750 3050.98 1
10.6250 3050.97 27
PLEASANTON CA 94588 10.3750 06/07/05
0401130950 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
E82/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.3750 909.54 1
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GLADSTONE OR 97027 10.3750 06/07/05
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45 3.2500 0.0000 0.0000
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5.7500 132,661.35 ZZ
5.5000 774.98 1
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COLORADO SPRING CO 80904 10.5000 06/14/05
0424036614 0.0000 08/01/05 00
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0 3.2500 07/01/10 07/01/10
E22/G02 3.0000 08/01/10 08/01/10
45 3.2500 0.0000 0.0000
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5.7500 174,217.92 ZZ
5.5000 1017.75 1
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SOUTH WEBER UT 84405 10.5000 06/13/05
0439442682 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
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45 2.2500 0.0000 0.0000
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5.3750 1931.25 1
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LITCHFIELD PARK AZ 85340 10.3750 06/02/05
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0 2.2500 07/01/10 07/01/10
E22/U57 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.5000 328,000.00 ZZ
5.2500 1503.33 1
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CONCORD CA 94518 10.2500 06/08/05
0424425924 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
E22/U57 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.1250 805,000.00 ZZ
4.8750 3438.02 1
10.1250 3438.02 73
YORBA LINDA CA 92886 9.8750 06/08/05
0424314938 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
E22/U57 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9985297 5.5000 201500.0000 100.0000
5.5000 201,500.00 ZZ
5.2500 923.54 1
10.5000 923.54 80
ABINGDON MD 21009 10.2500 06/09/05
0424189314 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
E22/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9985365 5.8750 201600.0000 100.0000
5.8750 201,600.00 ZZ
5.6250 987.00 1
10.8750 987.00 80
PORT ST LUCIE FL 34983 10.6250 06/10/05
0424334423 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
E22/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9985453 5.5000 185600.0000 100.0000
5.5000 185,600.00 ZZ
5.2500 850.67 1
10.5000 850.67 80
TWP OF WINSLOW NJ 08004 10.2500 06/06/05
0439455882 2.2500 08/01/05 00
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0 2.2500 07/01/10 07/01/10
L21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9986621 5.7500 180720.0000 100.0000
5.7500 180,531.32 ZZ
5.5000 1054.63 1
10.7500 1054.63 80
GLENDALE MO 63122 10.5000 06/16/05
0424281533 0.0000 08/01/05 00
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0 3.2500 07/01/10 07/01/10
E22/G02 3.0000 08/01/10 08/01/10
45 3.2500 0.0000 0.0000
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9986631 5.8750 194400.0000 100.0000
5.8750 194,400.00 ZZ
5.6250 951.75 1
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LAS VEGAS NV 89129 10.6250 06/09/05
0424351013 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
E22/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9986675 5.8750 507000.0000 100.0000
5.8750 506,922.50 T
5.6250 2482.19 1
10.8750 2482.19 72
SAN RAMON CA 94583 10.6250 06/01/05
0424309383 0.0000 08/01/05 00
0424309383 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
E22/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.7500 304,000.00 ZZ
5.5000 1456.67 1
10.7500 1456.67 80
MESA AZ 85212 10.5000 06/09/05
0424416592 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
E22/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9987733 5.8750 204800.0000 100.0000
5.8750 204,800.00 ZZ
5.6250 1002.67 1
10.8750 1002.67 80
CASTLE ROCK CO 80109 10.6250 06/16/05
0424243533 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
E22/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9987811 5.8750 270000.0000 100.0000
5.8750 269,721.87 ZZ
5.6250 1597.15 2
10.8750 1597.15 75
LOWELL MA 01852 10.6250 06/13/05
0424346302 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
E22/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
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9988041 5.3750 614400.0000 100.0000
5.3750 614,400.00 ZZ
5.1250 2752.00 1
10.3750 2752.00 80
LAGUNA NIGUEL CA 92677 10.1250 06/14/05
0424501054 0.0000 08/01/05 00
0424501054 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
E22/U57 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
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9988067 5.5000 457600.0000 100.0000
5.5000 457,099.13 ZZ
5.2500 2598.20 1
10.5000 2598.20 80
HAYDEN ID 83835 10.2500 06/14/05
0424520773 0.0000 08/01/05 00
0424520773 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
E22/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9988993 5.5000 383920.0000 100.0000
5.5000 383,920.00 ZZ
5.2500 1759.63 1
10.5000 1759.63 80
MOUNT PLEASANT SC 29466 10.2500 06/20/05
0424230951 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
E22/U57 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9989005 6.1250 179000.0000 100.0000
6.1250 178,225.00 ZZ
5.8750 913.65 1
11.1250 913.65 95
GREAT MILLS MD 20634 10.8750 06/15/05
0424243723 0.0000 08/01/05 01
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0 2.2500 07/01/10 07/01/10
E22/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9989797 5.6250 543000.0000 100.0000
5.6250 543,000.00 ZZ
5.3750 2545.31 1
10.6250 2545.31 75
SCOTTSDALE AZ 85257 10.3750 06/16/05
0439483231 2.2500 08/01/05 00
20509190 2.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
L01/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
3.3750 5 0
0.0000 03 00
O 0.0000
9989937 5.5000 359100.0000 100.0000
5.5000 359,099.99 ZZ
5.2500 1645.88 1
10.5000 1645.88 70
BOULDER CO 80304 10.2500 06/21/05
0424287126 0.0000 08/01/05 00
0424287126 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
E22/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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0.0000 S N 0.1250
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9990171 5.3750 473000.0000 100.0000
5.3750 472,469.99 ZZ
5.1250 2648.66 1
10.3750 2648.66 69
LAS VEGAS NV 89123 10.1250 06/14/05
0424511509 0.0000 08/01/05 00
0424511509 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
E22/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
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9990227 5.8750 288000.0000 100.0000
5.8750 288,000.00 ZZ
5.6250 1410.00 1
10.8750 1410.00 80
PHOENIX AZ 85050 10.6250 06/14/05
0424579894 0.0000 08/01/05 00
0424579894 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
E22/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
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9990303 6.1250 160000.0000 100.0000
6.1250 159,999.67 ZZ
5.8750 816.67 1
11.1250 816.67 79
ORMOND BEACH FL 32176 10.8750 06/16/05
0424090157 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
E22/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 11.1250 12 12
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9990483 5.6250 455000.0000 100.0000
5.6250 454,513.57 ZZ
5.3750 2619.24 1
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CERRITOS CA 90703 10.3750 06/07/05
0439485848 0.0000 08/01/05 00
2052233 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
975/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
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9993703 5.5000 110400.0000 100.0000
5.5000 110,400.00 ZZ
5.2500 506.00 1
10.5000 506.00 80
EAGLE ID 83616 10.2500 06/16/05
0424539153 0.0000 08/01/05 00
0424539153 0.0000 07/01/35 0.0000
0 3.2500 07/01/10 07/01/10
E22/G02 3.0000 08/01/10 08/01/10
45 3.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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9993747 5.6250 200000.0000 100.0000
5.6250 200,000.00 ZZ
5.3750 937.50 1
10.6250 937.50 80
SPARKS NV 89431 10.3750 06/15/05
0424618759 0.0000 08/01/05 00
0424618759 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
E22/U57 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
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0.0000 S N 0.1250
0.0000 1 0
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9994113 5.7500 499000.0000 100.0000
5.7500 499,000.00 ZZ
5.5000 2391.04 1
10.7500 2391.04 58
CORAL GABLES FL 33146 10.5000 06/16/05
44718 0.0000 08/01/05 00
44718 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
F62/F62 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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9995719 5.6250 176800.0000 100.0000
5.6250 176,800.00 ZZ
5.3750 828.75 1
10.6250 828.75 80
SEATTLE WA 98102 10.3750 06/17/05
0424668945 0.0000 08/01/05 00
0424668945 0.0000 07/01/35 0.0000
0 3.2500 07/01/10 07/01/10
E22/G02 3.0000 08/01/10 08/01/10
45 3.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
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9995725 5.5000 196000.0000 100.0000
5.5000 195,785.46 ZZ
5.2500 1112.87 1
10.5000 1112.87 80
LITTLETON CO 80129 10.2500 06/17/05
0424678365 0.0000 08/01/05 00
0424678365 0.0000 07/01/35 0.0000
0 3.2500 07/01/10 07/01/10
E22/G02 3.0000 08/01/10 08/01/10
45 3.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
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9995761 6.0000 319200.0000 100.0000
6.0000 319,200.00 ZZ
5.7500 1596.00 1
11.0000 1596.00 80
CLINTON NJ 08809 10.7500 06/23/05
0424492239 0.0000 08/01/05 00
0424492239 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
E22/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 11.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
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9995783 5.5000 350000.0000 100.0000
5.5000 350,000.00 ZZ
5.2500 1604.17 1
10.5000 1604.17 48
RICHMOND CA 94803 10.2500 06/16/05
0424521227 0.0000 08/01/05 00
0424521227 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
E22/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
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9995813 5.5000 341600.0000 100.0000
5.5000 341,600.00 ZZ
5.2500 1565.67 1
10.5000 1565.67 80
ROSEVILLE CA 95747 10.2500 06/16/05
0424544963 0.0000 08/01/05 00
0424544963 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
E22/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
9996175 5.6250 200000.0000 100.0000
5.6250 199,786.19 ZZ
5.3750 1151.31 1
10.6250 1151.31 80
SEATTLE WA 98178 10.3750 06/14/05
0439508953 0.0000 08/01/05 00
306752 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
H58/G02 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
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9996257 5.8750 136250.0000 100.0000
5.8750 136,111.09 ZZ
5.6250 805.97 1
10.8750 805.97 80
BUCKEYE AZ 85326 10.6250 06/10/05
0439507443 0.0000 08/01/05 00
308473 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
H58/G02 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
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9996261 5.5000 312000.0000 100.0000
5.5000 311,658.50 ZZ
5.2500 1771.50 1
10.5000 1771.50 80
BOTHELL WA 98021 10.2500 06/14/05
0439507161 0.0000 08/01/05 00
308657 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
H58/G02 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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9996481 5.7500 351000.0000 100.0000
5.7500 351,000.00 ZZ
5.5000 1681.88 1
10.7500 1681.88 42
SEBASTOPOL CA 95472 10.5000 05/24/05
0439510223 0.0000 07/01/05 00
300079 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
H58/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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9996483 5.5000 500000.0000 100.0000
5.5000 500,000.00 ZZ
5.2500 2291.67 1
10.5000 2291.67 36
LAFAYETTE CA 94549 10.2500 05/20/05
0439498627 0.0000 07/01/05 00
300291 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
H58/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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5.6250 410,000.00 ZZ
5.3750 1921.88 1
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BOISE ID 83714 10.3750 06/06/05
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302159 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
H58/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.5000 179,000.00 ZZ
5.2500 820.42 1
10.5000 820.42 80
PRESCOTT VALLEY AZ 86314 10.2500 05/26/05
0439496423 0.0000 07/01/05 00
303213 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
H58/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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9996493 5.8750 182000.0000 100.0000
5.8750 182,000.00 ZZ
5.6250 891.04 1
10.8750 891.04 80
TEMPE AZ 85284 10.6250 05/23/05
0439509589 0.0000 07/01/05 00
303590 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
H58/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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5.8750 631,150.00 ZZ
5.6250 3090.00 1
10.8750 3090.00 65
WILTON CA 95693 10.6250 06/01/05
0439501156 0.0000 08/01/05 00
305871 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
H58/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.5000 359,600.00 ZZ
5.2500 1648.17 1
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ANAHEIM CA 92801 10.2500 06/06/05
0439505595 0.0000 08/01/05 00
306583 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
H58/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.8750 142,800.00 ZZ
5.6250 699.12 1
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TROUTDALE OR 97060 10.6250 06/13/05
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0 2.2500 07/01/10 07/01/10
H58/G02 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.5000 359,600.00 ZZ
5.2500 1648.17 1
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MESA AZ 85212 10.2500 06/09/05
0439510348 0.0000 08/01/05 00
300635 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
H58/G02 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.7500 158,400.00 ZZ
5.5000 759.00 1
10.7500 759.00 80
TEMPE AZ 85283 10.5000 06/02/05
0439503749 0.0000 08/01/05 00
302564 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
H58/G02 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.5000 724.50 1
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GLENDALE AZ 85051 10.5000 06/02/05
0439510231 0.0000 08/01/05 00
302822 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
H58/G02 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.8750 248,080.00 ZZ
5.6250 1214.56 1
10.8750 1214.56 80
CLOVIS CA 93611 10.6250 06/03/05
0439509886 0.0000 08/01/05 00
303766 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
H58/G02 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.5000 182,800.00 ZZ
5.2500 837.83 1
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ORLAND CA 95963 10.2500 06/06/05
0439503871 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
H58/G02 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.6250 449,300.00 ZZ
5.3750 2106.09 1
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DISCOVERY BAY CA 94514 10.3750 05/31/05
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H58/G02 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.1250 484,000.00 T
4.8750 2067.08 1
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GREENSBORO GA 30642 9.8750 06/16/05
0439488156 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
U80/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9997127 5.6250 368000.0000 100.0000
5.6250 368,000.00 ZZ
5.3750 1725.00 1
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PEMBROKE PINES FL 33024 10.3750 06/21/05
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0 3.2500 07/01/10 07/01/10
A52/G02 3.0000 08/01/10 08/01/10
25 3.2500 0.0000 0.0000
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9997637 5.8750 315700.0000 100.0000
5.8750 315,700.00 ZZ
5.6250 1545.61 1
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CHARLESTON SC 29414 10.6250 06/20/05
0424524460 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
E22/U57 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9997639 5.7500 360000.0000 100.0000
5.7500 360,000.00 ZZ
5.5000 1725.00 1
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RENTON WA 98058 10.5000 06/18/05
0424532364 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
E22/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9997679 5.5000 420000.0000 100.0000
5.5000 420,000.00 ZZ
5.2500 1925.00 1
10.5000 1925.00 80
SAN LORENZO CA 94580 10.2500 06/15/05
0424562759 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
E22/U57 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.2500 524,100.00 ZZ
5.0000 2292.94 1
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WASHINGTON DC 20009 10.0000 06/02/05
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0 2.2500 07/01/10 07/01/10
696/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
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9999721 5.7500 416000.0000 100.0000
5.7500 416,000.00 ZZ
5.5000 1993.33 1
10.7500 1993.33 80
SILVERTHORNE CO 80498 10.5000 06/24/05
0439495615 0.0000 08/01/05 00
070-05 0.0000 07/01/35 0.0000
0 3.2500 07/01/10 07/01/10
825/G02 3.0000 08/01/10 08/01/10
45 3.2500 0.0000 0.0000
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5.6250 148,000.00 ZZ
5.3750 693.75 1
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BIRMINGHAM AL 35242 10.3750 06/10/05
0439497041 2.2500 08/01/05 00
26505730 2.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
L21/G02 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9999917 5.6250 134400.0000 100.0000
5.6250 134,400.00 ZZ
5.3750 630.00 1
10.6250 630.00 80
WINSTON SALEM NC 27103 10.3750 06/24/05
0439491887 2.2500 08/01/05 00
26505914 2.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
L21/G02 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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9999919 5.5000 146400.0000 100.0000
5.5000 146,400.00 ZZ
5.2500 671.00 1
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WOODSTOCK GA 30188 10.2500 06/21/05
0439493727 2.2500 08/01/05 00
26506093 2.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
L21/G02 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.6250 180,000.00 ZZ
5.3750 843.75 1
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GILBERT AZ 85296 10.3750 06/21/05
0424440279 0.0000 08/01/05 00
0424440279 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
E22/U57 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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10000095 5.6250 152000.0000 100.0000
5.6250 152,000.00 ZZ
5.3750 712.50 1
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COPPELL TX 75019 10.3750 06/22/05
0424464907 0.0000 08/01/05 00
0424464907 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
E22/U57 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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10000135 5.5000 158000.0000 100.0000
5.5000 156,944.73 ZZ
5.2500 897.11 1
10.5000 897.11 49
POWHATAN VA 23139 10.2500 06/20/05
0424496255 0.0000 08/01/05 00
0424496255 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
E22/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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10000141 5.6250 170000.0000 100.0000
5.6250 169,800.00 ZZ
5.3750 796.88 1
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ENGLEWOOD CO 80113 10.3750 06/21/05
0424498657 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
E22/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.5000 156,000.00 ZZ
5.2500 715.00 1
10.5000 715.00 80
ROCHESTER HILLS MI 48307 10.2500 06/22/05
0424513083 0.0000 08/01/05 00
0424513083 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
E22/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.3750 460,000.00 ZZ
5.1250 2060.42 1
10.3750 2060.42 80
OLIVE BRANCH MS 38654 10.1250 06/27/05
0424531689 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
E22/U57 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.8750 750,000.00 ZZ
5.6250 3671.88 1
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LAS VEGAS NV 89141 10.6250 06/16/05
0424581288 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
E22/U57 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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10000549 5.7500 620100.0000 100.0000
5.7500 619,452.56 T
5.5000 3618.74 1
10.7500 3618.75 60
NAGS HEAD NC 27959 10.5000 06/24/05
0401108360 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
E82/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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10001371 5.3750 372000.0000 100.0000
5.3750 372,000.00 ZZ
5.1250 1666.25 1
10.3750 1666.25 80
GARDEN GROVE CA 92841 10.1250 06/02/05
0439496316 0.0000 08/01/05 00
2052052 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
975/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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10001899 5.5000 280000.0000 100.0000
5.5000 280,000.00 ZZ
5.2500 1283.33 1
10.5000 1283.33 80
WOODBRIDGE TOWN NJ 08830 10.2500 06/23/05
0423739515 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
E22/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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10002023 5.7500 359600.0000 100.0000
5.7500 359,600.00 ZZ
5.5000 1723.08 1
10.7500 1723.08 73
WESTWOOD NJ 07675 10.5000 06/10/05
0424305951 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
E22/U57 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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10002037 5.6250 750000.0000 100.0000
5.6250 750,000.00 ZZ
5.3750 3515.63 1
10.6250 3515.63 45
SOUTHAMPTON NY 11968 10.3750 06/22/05
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0 2.2500 07/01/10 07/01/10
E22/U57 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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10002109 5.7500 310000.0000 100.0000
5.7500 310,000.00 ZZ
5.5000 1485.42 1
10.7500 1485.42 57
GOLDEN CO 80401 10.5000 06/23/05
0424427284 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
E22/U57 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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10002243 5.8750 140000.0000 100.0000
5.8750 140,000.00 ZZ
5.6250 685.42 1
10.8750 685.42 80
COLORADO SPRING CO 80907 10.6250 06/23/05
0424525103 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
E22/U57 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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10002351 5.8750 361600.0000 100.0000
5.8750 361,231.33 ZZ
5.6250 2139.00 1
10.8750 2139.00 80
MISSION VIEJO CA 92691 10.6250 06/22/05
0424612646 0.0000 08/01/05 00
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MESA AZ 85212 10.8750 05/25/05
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ST XXXXXX UT 84770 11.1250 06/08/05
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LOS BANOS CA 93635 11.2500 05/27/05
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SAINT CLAIR SHO MI 48080 10.3750 06/24/05
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COMMERCE CITY CO 80022 10.2500 06/24/05
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LAS VEGAS NV 89142 10.5000 06/22/05
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WEST COVINA CA 91792 10.6250 06/23/05
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SEATAC WA 98188 10.2500 06/24/05
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ESSEXVILLE MI 48732 10.5000 06/24/05
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LINCOLN CA 95648 10.0000 06/24/05
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CORONA CA 92883 10.6250 06/21/05
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ASHEVILLE NC 28803 10.3750 06/24/05
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FARIBAULT MN 55021 10.5000 06/24/05
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CHARLESTON SC 29406 10.7500 06/29/05
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SACRAMENTO CA 95823 10.0000 06/22/05
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TUMWATER WA 98512 10.2500 06/17/05
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GOOSE CREEK SC 29445 10.3750 06/30/05
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GLENDALE CA 91207 10.2500 06/15/05
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MURRIETA CA 92562 10.6250 06/27/05
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WEST PALM BEACH FL 33414 10.6250 06/30/05
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CERRITOS CA 90703 10.5000 06/24/05
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ST AUGUSTINE FL 32092 10.5000 06/30/05
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CAPE CORAL FL 33991 10.5000 06/30/05
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CHARLESTON SC 29407 10.2500 06/30/05
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MINNEAPOLIS MN 55410 9.7500 06/30/05
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XXXXX CA 94514 11.6250 06/01/05
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ODESSA FL 33556 11.5000 06/15/05
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WARRENTON VA 20187 11.7500 06/20/05
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MOUNTAIN VIEW CA 94041 11.1250 06/03/05
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SAN JOSE CA 95125 11.5000 06/13/05
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TUCSON AZ 85750 11.6250 06/07/05
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PETALUMA CA 94952 11.6250 05/31/05
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LODI CA 95240 11.6250 06/06/05
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SCOTTSDALE AZ 85255 11.1250 05/19/05
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FALLS CHURCH VA 22046 11.2500 06/15/05
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TORRANCE CA 90502 10.5000 06/07/05
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BOSTON MA 02128 11.1250 05/18/05
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EVERETT MA 02149 11.2500 05/31/05
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WINCHESTER VA 22602 11.2500 05/31/05
0439555913 2.7500 07/01/05 00
3274029562 2.5000 06/01/35 0.0000
0 2.7500 06/01/10 06/01/10
N67/G01 2.5000 07/01/10 07/01/10
25 2.7500 0.0000 0.0000
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360 E 1.0000 1.0000
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10007033 5.7500 250000.0000 100.0000
5.7500 249,695.67 ZZ
5.5000 1197.92 1
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STERLING VA 20164 11.5000 06/08/05
0439552456 2.7500 08/01/05 00
3274029590 2.5000 07/01/35 0.0000
0 2.7500 07/01/10 07/01/10
N67/G01 2.5000 08/01/10 08/01/10
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5.2500 1430.26 1
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MOUNT PROSPECT IL 60056 11.2500 05/31/05
0439538976 2.7500 07/01/05 00
3253001359 2.5000 06/01/35 0.0000
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N67/G01 2.5000 07/01/10 07/01/10
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5.6250 218,400.00 ZZ
5.3750 1023.75 1
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ROCKVILLE MD 20852 11.3750 05/19/05
0439550161 2.7500 07/01/05 00
3274028276 2.5000 06/01/35 0.0000
0 2.7500 06/01/10 06/01/10
N67/G01 2.5000 07/01/10 07/01/10
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5.6250 165,600.00 ZZ
5.3750 776.25 1
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ALEXANDRIA VA 22315 11.3750 06/03/05
0439551748 2.7500 07/01/05 00
3274028323 2.5000 06/01/35 0.0000
0 2.7500 06/01/10 06/01/10
N67/G02 2.5000 07/01/10 07/01/10
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5.6250 153,999.99 ZZ
5.3750 721.88 1
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FAIRFAX VA 22031 11.3750 05/25/05
0439547175 2.7500 07/01/05 00
3274028330 2.5000 06/01/35 0.0000
0 2.7500 06/01/10 06/01/10
N67/G01 2.5000 07/01/10 07/01/10
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5.5000 267,000.00 ZZ
5.2500 1223.75 1
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WELLINGTON FL 33414 11.2500 05/13/05
0439536590 2.7500 07/01/05 00
3254019433 2.5000 06/01/35 0.0000
0 2.7500 06/01/10 06/01/10
N67/G01 2.5000 07/01/10 07/01/10
25 2.7500 0.0000 0.0000
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5.5000 284,000.00 ZZ
5.2500 1301.67 1
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SEATTLE WA 98106 11.2500 06/06/05
0439554445 2.7500 08/01/05 00
3339002132 2.5000 07/01/35 0.0000
0 2.7500 07/01/10 07/01/10
N67/G01 2.5000 08/01/10 08/01/10
25 2.7500 0.0000 0.0000
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5.7500 560,000.00 ZZ
5.5000 2683.33 1
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SAN JOSE CA 95120 11.5000 06/08/05
0439551250 2.7500 08/01/05 00
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0 2.7500 07/01/10 07/01/10
N67/G01 2.5000 08/01/10 08/01/10
25 2.7500 0.0000 0.0000
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5.2500 2042.05 1
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FOUNTAIN HILLS AZ 85268 11.2500 05/10/05
0439536442 2.7500 07/01/05 00
3347002167 2.5000 06/01/35 0.0000
0 2.7500 06/01/10 06/01/10
N67/G01 2.5000 07/01/10 07/01/10
25 2.7500 0.0000 0.0000
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5.6250 2585.00 1
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SAN JOSE CA 95133 11.6250 05/26/05
0439517798 2.7500 07/01/05 00
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0 2.7500 06/01/10 06/01/10
N67/G01 2.5000 07/01/10 07/01/10
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5.6250 4259.38 1
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SAUGUS MA 01906 11.6250 05/26/05
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0 2.7500 06/01/10 06/01/10
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5.5000 1198.16 1
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SHIRLEY NY 11967 11.5000 05/27/05
0439547712 2.7500 07/01/05 00
3274026130 2.5000 06/01/35 0.0000
0 2.7500 06/01/10 06/01/10
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5.6250 318,662.72 ZZ
5.3750 1494.14 1
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ALEXANDRIA VA 22306 11.3750 05/17/05
0439551318 2.7500 07/01/05 00
3274026538 2.5000 06/01/35 0.0000
0 2.7500 06/01/10 06/01/10
N67/G01 2.5000 07/01/10 07/01/10
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5.8750 124,000.00 ZZ
5.6250 607.08 1
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LAKELAND FL 33811 11.6250 05/24/05
0439553363 2.7500 07/01/05 00
3252009994 2.5000 06/01/35 0.0000
0 2.7500 06/01/10 06/01/10
N67/G01 2.5000 07/01/10 07/01/10
25 2.7500 0.0000 0.0000
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5.6250 184,000.00 ZZ
5.3750 862.50 1
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PEMBROKE PINES FL 33026 11.3750 06/13/05
0439553140 2.7500 08/01/05 00
3252010298 2.5000 07/01/35 0.0000
0 2.7500 07/01/10 07/01/10
N67/G02 2.5000 08/01/10 08/01/10
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10007941 5.5000 300800.0000 100.0000
5.5000 300,470.76 ZZ
5.2500 1707.91 1
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SKOKIE IL 60076 11.2500 06/10/05
0439549205 2.7500 08/01/05 00
3253000899 2.5000 07/01/35 0.0000
0 2.7500 07/01/10 07/01/10
N67/G02 2.5000 08/01/10 08/01/10
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5.8750 149,199.99 ZZ
5.6250 730.46 1
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TAMPA FL 33611 11.6250 05/24/05
0439551466 2.7500 07/01/05 00
3253001019 2.5000 06/01/35 0.0000
0 2.7500 06/01/10 06/01/10
N67/G02 2.5000 07/01/10 07/01/10
25 2.7500 0.0000 0.0000
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10008001 5.3750 113600.0000 100.0000
5.3750 113,314.10 ZZ
5.1250 636.13 1
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STATESVILLE NC 28677 11.1250 05/27/05
0439553132 2.7500 07/01/05 00
3253001180 2.5000 06/01/35 0.0000
0 2.7500 06/01/10 06/01/10
N67/G02 2.5000 07/01/10 07/01/10
25 2.7500 0.0000 0.0000
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10008005 5.7500 200000.0000 100.0000
5.7500 199,581.36 ZZ
5.5000 1167.15 1
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NAPERVILLE IL 60540 11.5000 05/26/05
0439551359 2.7500 07/01/05 00
3253001201 2.5000 06/01/35 0.0000
0 2.7500 06/01/10 06/01/10
N67/G01 2.5000 07/01/10 07/01/10
25 2.7500 0.0000 0.0000
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10008027 5.5000 172000.0000 100.0000
5.5000 172,000.00 ZZ
5.2500 788.33 1
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ZION IL 60099 11.2500 05/24/05
0439518804 2.7500 07/01/05 00
3253001271 2.5000 06/01/35 0.0000
0 2.7500 06/01/10 06/01/10
N67/G02 2.5000 07/01/10 07/01/10
25 2.7500 0.0000 0.0000
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10008073 5.3750 193500.0000 100.0000
5.3750 193,499.99 ZZ
5.1250 866.72 1
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SCOTTSDALE AZ 85254 11.1250 05/24/05
0439541673 2.7500 07/01/05 00
3311000171 2.5000 06/01/35 0.0000
0 2.7500 06/01/10 06/01/10
N67/G01 2.5000 07/01/10 07/01/10
25 2.7500 0.0000 0.0000
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10008105 5.7500 213150.0000 100.0000
5.7500 213,150.00 T
5.5000 1021.34 1
11.7500 1021.34 80
TUCSON AZ 85749 11.5000 05/26/05
0439553421 2.7500 07/01/05 00
3311000269 2.5000 06/01/35 0.0000
0 2.7500 06/01/10 06/01/10
N67/G02 2.5000 07/01/10 07/01/10
25 2.7500 0.0000 0.0000
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5.6250 202,400.00 T
5.3750 948.75 1
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TOLLESON AZ 85353 11.3750 06/08/05
0439534694 2.7500 08/01/05 00
3311000288 2.5000 07/01/35 0.0000
0 2.7500 07/01/10 07/01/10
N67/G02 2.5000 08/01/10 08/01/10
25 2.7500 0.0000 0.0000
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5.7500 441,000.00 ZZ
5.5000 2113.13 1
11.7500 2113.13 72
FOLSOM CA 95630 11.5000 06/06/05
0439556069 2.7500 08/01/05 00
3311000355 2.5000 07/01/35 0.0000
0 2.7500 07/01/10 07/01/10
N67/G02 2.5000 08/01/10 08/01/10
25 2.7500 0.0000 0.0000
A 11.7500 6 6
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10008171 5.7500 396000.0000 100.0000
5.7500 396,000.00 ZZ
5.5000 1897.50 1
11.7500 1897.50 80
RAMONA CA 92065 11.5000 05/10/05
0439554783 2.2500 07/01/05 00
3318003431 2.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
N67/G01 2.0000 07/01/10 07/01/10
25 2.2500 0.0000 0.0000
A 11.7500 6 6
360 E 2.0000 2.0000
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0.0000 S N 0.1250
3.5000 2 0
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10008175 5.7500 134800.0000 100.0000
5.7500 134,800.00 T
5.5000 645.92 1
11.7500 645.92 80
EDMOND OK 73034 11.5000 05/16/05
0439557067 2.7500 07/01/05 00
3318003468 2.5000 06/01/35 0.0000
0 2.7500 06/01/10 06/01/10
N67/G02 2.5000 07/01/10 07/01/10
25 2.7500 0.0000 0.0000
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10008263 5.6250 276000.0000 100.0000
5.6250 275,935.32 ZZ
5.3750 1293.75 1
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GALT CA 95632 11.3750 05/23/05
0439536327 2.7500 07/01/05 00
3318003829 2.5000 06/01/35 0.0000
0 2.7500 06/01/10 06/01/10
N67/G01 2.5000 07/01/10 07/01/10
25 2.7500 0.0000 0.0000
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5.5000 435,000.00 ZZ
5.2500 1993.75 1
11.5000 1993.75 59
GILROY CA 95020 11.2500 06/03/05
0439533746 2.7500 08/01/05 00
3318003922 2.5000 07/01/35 0.0000
0 2.7500 07/01/10 07/01/10
N67/G01 2.5000 08/01/10 08/01/10
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5.8750 404,000.00 ZZ
5.6250 1977.92 1
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LA MESA CA 91942 11.6250 06/06/05
0439549338 2.7500 08/01/05 00
3318003987 2.5000 07/01/35 0.0000
0 2.7500 07/01/10 07/01/10
N67/G02 2.5000 08/01/10 08/01/10
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5.8750 464,000.00 ZZ
5.6250 2271.67 1
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LOS ANGELES CA 90066 11.6250 06/13/05
0439538083 2.7500 08/01/05 00
3318500205 2.5000 07/01/35 0.0000
0 2.7500 07/01/10 07/01/10
N67/G01 2.5000 08/01/10 08/01/10
25 2.7500 0.0000 0.0000
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10008359 5.5000 213600.0000 100.0000
5.5000 213,227.17 ZZ
5.2500 979.00 1
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CENTENNIAL CO 80122 11.2500 05/19/05
0439547928 2.7500 07/01/05 00
3332000005 2.5000 06/01/35 0.0000
0 2.7500 06/01/10 06/01/10
N67/G01 2.5000 07/01/10 07/01/10
25 2.7500 0.0000 0.0000
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5.3750 784.92 1
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BROOKLYN PARK MN 55443 11.3750 05/25/05
0439516717 2.7500 07/01/05 00
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0 2.7500 06/01/10 06/01/10
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5.5000 224,000.00 ZZ
5.2500 1026.67 1
11.5000 1026.67 80
AURORA CO 80013 11.2500 06/07/05
0439552464 2.7500 08/01/05 00
3332000050 2.5000 07/01/35 0.0000
0 2.7500 07/01/10 07/01/10
N67/G02 2.5000 08/01/10 08/01/10
25 2.7500 0.0000 0.0000
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10008397 5.6250 444000.0000 100.0000
5.6250 444,000.00 ZZ
5.3750 2081.25 1
11.6250 2081.25 79
LEES SUMMIT MO 64081 11.3750 05/25/05
0439527003 2.7500 07/01/05 00
3332000082 2.5000 06/01/35 0.0000
0 2.7500 06/01/10 06/01/10
N67/G01 2.5000 07/01/10 07/01/10
25 2.7500 0.0000 0.0000
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5.6250 514,649.22 ZZ
5.3750 2965.78 1
11.6250 2965.78 80
COLORADO SPRING CO 80906 11.3750 06/13/05
0439554874 2.7500 08/01/05 00
3332000158 2.5000 07/01/35 0.0000
0 2.7500 07/01/10 07/01/10
N67/G01 2.5000 08/01/10 08/01/10
25 2.7500 0.0000 0.0000
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2.8750 1 0
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5.6250 434,816.13 ZZ
5.3750 2508.42 1
11.6250 2508.42 75
LEXINGTON MA 02421 11.3750 05/31/05
0439554486 2.7500 07/01/05 00
3274027971 2.5000 06/01/35 0.0000
0 2.7500 06/01/10 06/01/10
N67/G01 2.5000 07/01/10 07/01/10
25 2.7500 0.0000 0.0000
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2.8750 1 0
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5.6250 185,580.40 T
5.3750 878.91 1
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BULLHEAD CITY AZ 86442 10.3750 05/18/05
0439552449 0.0000 07/01/05 00
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0 2.2500 06/01/10 06/01/10
N67/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
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10008579 5.8750 171000.0000 100.0000
5.8750 171,000.00 T
5.6250 837.19 1
11.8750 837.19 75
MESA AZ 85208 11.6250 05/16/05
0439543208 2.7500 07/01/05 00
1161012769 2.5000 06/01/35 0.0000
0 2.7500 06/01/10 06/01/10
N67/G02 2.5000 07/01/10 07/01/10
25 2.7500 0.0000 0.0000
A 11.8750 6 6
360 E 1.0000 1.0000
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0.0000 S N 0.1250
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0.0000 03 00
O 0.0000
10008651 5.2500 359650.0000 100.0000
5.2500 358,805.12 ZZ
5.0000 1986.00 1
11.2500 1986.00 80
SIMI VALLEY CA 93063 11.0000 05/18/05
0439555632 0.0000 07/01/05 00
1165007975 0.0000 06/01/35 0.0000
0 2.7500 06/01/10 06/01/10
N67/G01 2.5000 07/01/10 07/01/10
25 2.7500 0.0000 0.0000
A 11.2500 6 6
360 E 1.0000 1.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
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0.0000 05 00
O 0.0000
10008673 5.3750 193500.0000 100.0000
5.3750 193,500.00 ZZ
5.1250 866.72 1
11.3750 866.72 45
EVANSTON IL 60201 11.1250 05/12/05
0439551854 0.0000 07/01/05 00
1165008049 0.0000 06/01/35 0.0000
0 2.7500 06/01/10 06/01/10
N67/G01 2.5000 07/01/10 07/01/10
25 2.7500 0.0000 0.0000
A 11.3750 6 6
360 E 1.0000 1.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
10008689 5.3750 268000.0000 100.0000
5.3750 268,000.00 ZZ
5.1250 1200.42 1
10.3750 1200.42 80
SPARKS NV 89434 10.1250 05/04/05
0439533480 0.0000 07/01/05 00
1260301165 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
N67/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
10008691 5.5000 207000.0000 100.0000
5.5000 207,000.00 ZZ
5.2500 948.75 1
10.5000 948.75 68
RENO NV 89506 10.2500 06/03/05
0439531914 0.0000 08/01/05 00
1260301566 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
N67/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
10008695 5.6250 487000.0000 100.0000
5.6250 487,000.00 ZZ
5.3750 2282.81 1
10.6250 2282.81 67
SPARKS NV 89436 10.3750 06/13/05
0439516600 0.0000 08/01/05 00
1260301816 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
N67/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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10008697 5.1250 314750.0000 100.0000
5.1250 314,750.00 T
4.8750 1344.24 1
10.1250 1344.24 80
LAS VEGAS NV 89148 9.8750 05/27/05
0439545245 0.0000 07/01/05 00
1360300323 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
N67/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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O 0.0000
10008725 5.8750 544800.0000 100.0000
5.8750 544,800.00 ZZ
5.6250 2667.25 1
11.8750 2667.25 80
LORTON VA 22079 11.6250 05/25/05
0439553785 2.7500 07/01/05 00
3274027883 2.5000 06/01/35 0.0000
0 2.7500 06/01/10 06/01/10
N67/G01 2.5000 07/01/10 07/01/10
25 2.7500 0.0000 0.0000
A 11.8750 6 6
360 E 1.0000 1.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
3.1250 1 0
0.0000 03 00
O 0.0000
10008727 5.8750 244000.0000 100.0000
5.8750 244,000.00 ZZ
5.6250 1194.58 1
11.8750 1194.58 80
BETHEL CT 06801 11.6250 06/17/05
0439539768 2.7500 08/01/05 00
3274027898 2.5000 07/01/35 0.0000
0 2.7500 07/01/10 07/01/10
N67/G02 2.5000 08/01/10 08/01/10
25 2.7500 0.0000 0.0000
A 11.8750 6 6
360 E 1.0000 1.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
3.1250 1 0
0.0000 05 00
O 0.0000
10008743 5.6250 316350.0000 100.0000
5.6250 316,350.00 ZZ
5.3750 1482.89 1
10.6250 1482.89 80
LAS VEGAS NV 89148 10.3750 05/17/05
0439548900 0.0000 07/01/05 00
1360300324 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
N67/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
10008751 5.7500 212000.0000 100.0000
5.7500 211,556.26 ZZ
5.5000 1237.17 1
10.7500 1237.17 65
CHANDLER AZ 85249 10.5000 05/17/05
0439551409 0.0000 07/01/05 00
1740300220 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
N67/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
10008759 5.6250 228200.0000 100.0000
5.6250 228,200.00 ZZ
5.3750 1069.69 1
11.6250 1069.69 50
CHANDLER AZ 85226 11.3750 06/01/05
0439541111 2.7500 08/01/05 00
1750300515 2.5000 07/01/35 0.0000
0 2.7500 07/01/10 07/01/10
N67/G01 2.5000 08/01/10 08/01/10
25 2.7500 0.0000 0.0000
A 11.6250 6 6
360 E 1.0000 1.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
2.8750 2 0
0.0000 03 00
O 0.0000
10008765 5.6250 332051.0000 100.0000
5.6250 332,038.15 ZZ
5.3750 1556.49 1
10.6250 1556.49 80
CHANDLER AZ 85249 10.3750 05/16/05
0439542556 0.0000 07/01/05 00
1760006480 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
N67/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
10008769 5.8750 141900.0000 100.0000
5.8750 141,856.71 ZZ
5.6250 694.72 1
11.8750 694.51 80
PHOENIX AZ 85042 11.6250 05/23/05
0439541657 2.7500 07/01/05 00
1760006560 2.5000 06/01/35 0.0000
0 2.7500 06/01/10 06/01/10
N67/G01 2.5000 07/01/10 07/01/10
25 2.7500 0.0000 0.0000
A 11.8750 6 6
360 E 1.0000 1.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
3.1250 1 0
0.0000 03 00
O 0.0000
10008775 5.2500 181600.0000 100.0000
5.2500 181,600.00 ZZ
5.0000 794.50 1
10.2500 794.50 80
EL PASO TX 79932 10.0000 05/19/05
0439551219 0.0000 07/01/05 00
1760301591 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
N67/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
10008777 5.7500 337400.0000 100.0000
5.7500 337,200.00 ZZ
5.5000 1616.71 1
10.7500 1615.75 45
PEORIA AZ 85383 10.5000 05/19/05
0439550401 0.0000 07/01/05 00
1760301606 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
N67/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
10008783 5.6250 208000.0000 100.0000
5.6250 208,000.00 ZZ
5.3750 975.00 1
10.6250 975.00 68
MESA AZ 85215 10.3750 06/15/05
0439539602 0.0000 08/01/05 00
1760301760 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
N67/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
10008939 5.6250 117006.0000 100.0000
5.6250 116,880.92 ZZ
5.3750 673.55 2
10.6250 673.55 80
MONTROSE CO 81401 10.3750 07/01/05
0424391324 0.0000 08/01/05 00
0424391324 0.0000 07/01/35 0.0000
0 3.2500 07/01/10 07/01/10
E22/G02 3.0000 08/01/10 08/01/10
45 3.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
10009119 5.3750 193600.0000 100.0000
5.3750 193,600.00 ZZ
5.1250 867.17 1
10.3750 867.17 80
MONUMENT CO 80132 10.1250 06/27/05
0424586139 0.0000 08/01/05 00
0424586139 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
E22/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
10009365 5.6250 220000.0000 100.0000
5.6250 220,000.00 ZZ
5.3750 1031.25 1
10.6250 1031.25 80
ASHEVILLE NC 28801 10.3750 07/01/05
0424246809 0.0000 08/01/05 00
0424246809 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
E22/U57 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
10009817 5.8750 390000.0000 100.0000
5.8750 390,000.00 ZZ
5.6250 1909.38 1
10.8750 1909.38 60
PLEASANT HILL CA 94523 10.6250 06/16/05
0439518655 2.2500 08/01/05 00
400184 2.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Z35/G02 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 10.8750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
3.6250 1 0
0.0000 05 00
O 0.0000
10013785 5.3750 528850.0000 100.0000
5.3750 528,850.00 ZZ
5.1250 2368.81 1
10.3750 2368.81 80
TRACY CA 95377 10.1250 06/01/05
0439529272 0.0000 08/01/05 00
10022468 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
L49/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
10013815 5.2500 327000.0000 100.0000
5.2500 327,000.00 ZZ
5.0000 1430.63 1
10.2500 1430.63 57
CORONA CA 92880 10.0000 06/22/05
0439531930 0.0000 08/01/05 00
10025410 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
L49/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
10014663 5.6250 658000.0000 100.0000
5.6250 658,000.00 ZZ
5.3750 3084.38 1
10.6250 3084.38 71
DUBLIN CA 94568 10.3750 06/24/05
0424503936 0.0000 08/01/05 00
0424503936 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
E22/U57 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
10014715 5.7500 440000.0000 100.0000
5.7500 440,000.00 ZZ
5.5000 2108.33 1
10.7500 2108.33 80
GLENDALE AZ 85310 10.5000 06/28/05
0424555084 0.0000 08/01/05 00
0424555084 0.0000 07/01/35 0.0000
0 3.2500 07/01/10 07/01/10
E22/G02 3.0000 08/01/10 08/01/10
45 3.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
10014723 6.0000 149600.0000 100.0000
6.0000 149,600.00 ZZ
5.7500 748.00 1
11.0000 748.00 80
GARDEN CITY MI 48135 10.7500 07/05/05
0424563195 0.0000 08/01/05 00
0424563195 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
E22/U57 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 11.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
10017803 5.7500 579200.0000 100.0000
5.7500 579,200.00 ZZ
5.5000 2775.33 1
10.7500 2775.33 80
SAN CARLOS CA 94070 10.5000 06/27/05
0439538695 0.0000 08/01/05 00
H5052002 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
893/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
10017835 5.6250 163120.0000 100.0000
5.6250 163,120.00 ZZ
5.3750 764.63 1
10.6250 764.63 80
ANNANDALE MN 55302 10.3750 06/28/05
0439535410 3.2500 08/01/05 00
0505012355 3.0000 07/01/35 0.0000
0 3.2500 07/01/10 07/01/10
U85/G02 3.0000 08/01/10 08/01/10
45 3.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
2.3750 1 0
0.0000 05 00
O 0.0000
10017931 5.6250 225000.0000 100.0000
5.6250 225,000.00 ZZ
5.3750 1054.69 1
10.6250 1054.69 61
YUCAIPA CA 92399 10.3750 06/21/05
0424439404 0.0000 08/01/05 00
0424439404 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
E22/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
10018115 5.5000 121500.0000 100.0000
5.5000 119,471.13 ZZ
5.2500 689.86 1
10.5000 689.86 80
BEAUMONT TX 77713 10.2500 06/30/05
0424614956 0.0000 08/01/05 00
0424614956 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
E22/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
10018123 5.5000 425000.0000 100.0000
5.5000 425,000.00 ZZ
5.2500 1947.92 1
10.5000 1947.92 68
NEWARK CA 94560 10.2500 06/24/05
0424619765 0.0000 08/01/05 00
0424619765 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
E22/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
10018173 5.3750 177800.0000 100.0000
5.3750 177,800.00 ZZ
5.1250 796.40 1
10.3750 796.40 95
GREENACRES FL 33463 10.1250 07/06/05
0424664894 0.0000 08/01/05 10
0424664894 0.0000 07/01/35 30.0000
0 2.2500 07/01/10 07/01/10
E22/U57 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 09 00
O 0.0000
10018591 5.7500 195750.0000 100.0000
5.7500 195,750.00 ZZ
5.5000 937.97 1
10.7500 937.97 80
GILBERT AZ 85296 10.5000 06/20/05
0439529686 0.0000 08/01/05 00
10023549 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
L49/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
10018631 5.2500 644700.0000 100.0000
5.2500 643,960.50 ZZ
5.0000 3560.06 1
10.2500 3560.06 80
SAN MARCOS CA 92078 10.0000 06/17/05
0439531989 2.2500 08/01/05 00
10028028 2.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
L49/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
3.0000 1 0
0.0000 03 00
O 0.0000
10018835 5.6250 225450.0000 100.0000
5.6250 225,450.00 T
5.3750 1056.80 1
10.6250 1056.80 80
PEORIA AZ 85345 10.3750 06/23/05
0439532391 0.0000 08/01/05 00
10026183 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
L49/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
10020089 5.7500 504000.0000 100.0000
5.7500 504,000.00 ZZ
5.5000 2415.00 1
10.7500 2415.00 80
LIVERMORE CA 94551 10.5000 06/24/05
0424739159 0.0000 08/01/05 00
0424739159 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
E22/U57 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
10020117 5.3750 222400.0000 100.0000
5.3750 221,363.24 ZZ
5.1250 996.17 1
10.3750 996.17 80
MONUMENT CO 80132 10.1250 07/07/05
0424768125 0.0000 09/01/05 00
0424768125 0.0000 08/01/35 0.0000
0 3.2500 08/01/10 08/01/10
E22/G02 3.0000 09/01/10 09/01/10
45 3.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
10020123 5.6250 179178.0000 100.0000
5.6250 179,178.00 ZZ
5.3750 1031.45 1
10.6250 1031.45 80
AUSTIN TX 78717 10.3750 07/07/05
0424784270 0.0000 09/01/05 00
0424784270 0.0000 08/01/35 0.0000
0 3.2500 08/01/10 08/01/10
E22/G02 3.0000 09/01/10 09/01/10
45 3.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
10020223 5.6250 108000.0000 100.0000
5.6250 107,884.54 ZZ
5.3750 621.71 1
10.6250 621.71 80
VERNAL UT 84078 10.3750 06/28/05
0424431526 0.0000 08/01/05 00
0424431526 0.0000 07/01/35 0.0000
0 3.2500 07/01/10 07/01/10
E22/G02 3.0000 08/01/10 08/01/10
45 3.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
10020399 5.7500 416750.0000 100.0000
5.7500 416,750.00 ZZ
5.5000 1996.93 1
10.7500 1996.93 80
EAGLE CO 81631 10.5000 07/05/05
0424658037 0.0000 09/01/05 00
0424658037 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
E22/G01 2.0000 09/01/10 09/01/10
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OAKLAND CA 94605 10.5000 06/30/05
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ASHLAND VA 23005 9.6250 06/28/05
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WESTON FL 33326 10.6250 07/08/05
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FAIRFIELD CA 94533 11.2500 06/15/05
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CENTREVILLE MD 21617 10.2500 07/06/05
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NORTHFIELD IL 60093 10.5000 07/06/05
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LOCUST GROVE GA 30248 10.5000 07/11/05
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ATLANTIS FL 33462 10.2500 07/06/05
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SAN LEANDRO CA 94579 10.2500 07/06/05
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EUGENE OR 97405 10.5000 07/06/05
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4.2500 2533.43 1
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BRENTWOOD CA 94513 9.2500 06/20/05
0439541798 0.0000 08/01/05 00
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LEXINGTON KY 40515 10.2500 07/08/05
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CHATTANOOGA TN 37411 10.5000 07/08/05
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SYLMAR CA 91342 10.6250 06/30/05
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LEMON GROVE CA 91945 10.3750 07/07/05
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RANCHO CUCAMONG CA 91739 10.0000 06/23/05
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EL DORADO HILLS CA 95762 11.2500 06/21/05
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4.6250 1706.25 1
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YUCAIPA CA 92399 9.6250 06/22/05
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DAVIE FL 33328 10.3750 06/30/05
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L49/G01 2.0000 08/01/10 08/01/10
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GOODYEAR AZ 85338 10.2500 06/24/05
0439619644 0.0000 08/01/05 04
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4.6250 1821.63 1
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RANCHO CUCAMONG CA 91739 9.6250 06/07/05
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WATKINSVILLE GA 30677 10.3750 06/30/05
0439567199 2.2500 08/01/05 00
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XXXXXXX AL 35130 10.2500 06/23/05
0439567017 2.2500 08/01/05 00
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CANTON GA 30115 10.2500 06/23/05
0439557554 2.2500 08/01/05 00
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CUMMING GA 30041 10.2500 06/16/05
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DALLAS GA 30132 10.1250 06/29/05
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ROSWELL GA 30076 10.2500 06/30/05
0439566647 2.2500 08/01/05 00
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HIRAM GA 30141 10.3750 06/21/05
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TWP OF WEST DEP NJ 08086 10.1250 06/29/05
0439563180 2.2500 08/01/05 00
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QUAKERTOWN PA 18951 10.5000 06/18/05
0439566415 2.2500 08/01/05 00
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NAPLES FL 34108 9.8750 06/22/05
0439560913 2.2500 08/01/05 00
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5.7500 159,832.95 ZZ
5.5000 933.72 1
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LEOMINSTER MA 01453 10.5000 06/20/05
0439560087 2.2500 08/01/05 00
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0 2.2500 07/01/10 07/01/10
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RICHMOND VT 05477 10.3750 06/14/05
0439561192 0.0000 08/01/05 00
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TWP OF RIVERSID NJ 08075 10.2500 06/20/05
0439559246 2.2500 08/01/05 00
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SHARON MA 02067 10.5000 06/29/05
0439566902 2.2500 08/01/05 00
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CITY OF PHILADE PA 19111 10.5000 06/17/05
0439561887 2.2500 08/01/05 00
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5.6250 408,000.00 ZZ
5.3750 1912.50 1
10.6250 1912.50 80
OAKLAND CA 94608 10.3750 06/10/05
0439564022 2.2500 08/01/05 00
32504598 2.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
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5.8750 218,775.00 ZZ
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TOWN OF NORTHFI NH 03276 10.6250 06/22/05
0439560467 3.2500 08/01/05 00
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5.5000 1796.88 1
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VENTURA CA 93003 10.5000 06/15/05
0439559881 2.2500 08/01/05 00
16505712 2.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
L21/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
3.5000 2 0
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10030563 5.8750 192800.0000 100.0000
5.8750 192,800.00 ZZ
5.6250 943.92 1
10.8750 943.92 80
DENVER CO 80219 10.6250 07/07/05
0424602563 0.0000 09/01/05 00
0424602563 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
E22/U57 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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0.0000 05 00
O 0.0000
10030663 6.1250 460000.0000 100.0000
6.1250 460,000.00 ZZ
5.8750 2347.92 1
11.1250 2347.92 80
SANTA ROSA CA 95403 10.8750 07/11/05
0424756062 0.0000 09/01/05 00
0424756062 0.0000 08/01/35 0.0000
0 3.2500 08/01/10 08/01/10
E22/G02 3.0000 09/01/10 09/01/10
45 3.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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0.0000 05 00
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10030841 5.1250 484500.0000 100.0000
5.1250 484,500.00 ZZ
4.8750 2069.22 1
10.1250 2069.22 75
CLAREMONT CA 91711 9.8750 06/17/05
0439570904 0.0000 08/01/05 00
1001833010 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
944/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
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10030843 5.6250 442500.0000 100.0000
5.6250 442,500.00 ZZ
5.3750 2074.22 1
10.6250 2074.22 75
BRENTWOOD CA 94513 10.3750 06/13/05
0439571027 0.0000 08/01/05 00
1001833435 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
944/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
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10030845 4.7500 612000.0000 100.0000
4.7500 612,000.00 ZZ
4.5000 2422.50 1
9.7500 2422.50 80
LAKE FOREST CA 92630 9.5000 06/08/05
0439570664 0.0000 08/01/05 00
1001827212 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
944/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 9.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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10030851 5.7500 264000.0000 100.0000
5.7500 263,724.37 ZZ
5.5000 1540.63 1
10.7500 1540.63 80
FOREST GROVE OR 97116 10.5000 06/07/05
0439568825 0.0000 08/01/05 00
1001825384 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
944/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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0.0000 05 00
O 0.0000
10030853 5.3750 507000.0000 100.0000
5.3750 507,000.00 ZZ
5.1250 2270.94 1
10.3750 2270.94 53
FREMONT CA 94539 10.1250 06/03/05
0439570938 0.0000 08/01/05 00
1001824361 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
944/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
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O 0.0000
10030855 5.1250 488000.0000 100.0000
5.1250 487,427.07 ZZ
4.8750 2657.10 1
10.1250 2657.10 57
SAN JOSE CA 95148 9.8750 06/09/05
0439570920 0.0000 08/01/05 00
1001832513 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
944/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
10030857 5.2500 544000.0000 100.0000
5.2500 543,376.01 ZZ
5.0000 3003.99 1
10.2500 3003.99 80
SAINT LOUIS MO 63119 10.0000 06/28/05
0439561564 0.0000 08/01/05 00
1001836241 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
944/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.2500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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O 0.0000
10030859 4.8750 384000.0000 100.0000
4.8750 383,527.84 ZZ
4.6250 2032.16 1
9.8750 2032.16 63
FREMONT CA 94536 9.6250 06/10/05
0439560871 0.0000 08/01/05 00
1001832059 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
944/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 9.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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10030861 5.7500 575000.0000 100.0000
5.7500 575,000.00 ZZ
5.5000 2755.21 1
10.7500 2755.21 72
DISCOVERY BAY CA 94514 10.5000 06/17/05
0439570953 0.0000 08/01/05 00
1001833832 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
944/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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10030863 5.3750 344000.0000 100.0000
5.3750 344,000.00 ZZ
5.1250 1540.83 1
10.3750 1540.83 80
SURPISE AZ 85379 10.1250 06/20/05
0439570508 0.0000 08/01/05 00
1001830937 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
944/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.3750 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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O 0.0000
10030865 5.5000 637000.0000 100.0000
5.5000 636,302.76 ZZ
5.2500 3616.82 1
10.5000 3616.82 70
MILPITAS CA 95035 10.2500 06/07/05
0439569930 0.0000 08/01/05 00
1001830269 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
944/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
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10030867 5.5000 453000.0000 100.0000
5.5000 453,000.00 ZZ
5.2500 2076.25 1
10.5000 2076.25 74
BRENTWOOD CA 94513 10.2500 04/27/05
0439570912 0.0000 07/01/05 00
1001820402 0.0000 06/01/35 0.0000
0 2.2500 06/01/10 06/01/10
944/G01 2.0000 07/01/10 07/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
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O 0.0000
10030877 5.6250 618750.0000 100.0000
5.6250 618,088.52 ZZ
5.3750 3561.87 1
10.6250 3561.87 75
GARDNERVILLE NV 89410 10.3750 06/02/05
0439569138 0.0000 08/01/05 00
1001829357 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
944/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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10030879 5.3750 546400.0000 100.0000
5.3750 545,787.74 ZZ
5.1250 3059.68 1
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SAMMAMISH WA 98075 10.1250 06/22/05
0439570623 0.0000 08/01/05 00
1001826072 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
944/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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10030887 5.5000 500000.0000 100.0000
5.5000 500,000.00 ZZ
5.2500 2291.67 1
10.5000 2291.67 36
CLEARWATER BEAC FL 33767 10.2500 06/22/05
0439570979 0.0000 08/01/05 00
1001831040 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
944/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 5 0
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10030889 5.0000 644050.0000 100.0000
5.0000 644,050.00 ZZ
4.7500 2683.54 1
10.0000 2683.54 80
SAN JOSE CA 95112 9.7500 06/20/05
0439570680 0.0000 08/01/05 00
1001831942 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
944/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.0000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
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0.0000 05 00
O 0.0000
10031007 5.5000 336000.0000 100.0000
5.5000 336,000.00 ZZ
5.2500 1540.00 1
10.5000 1540.00 64
ANAHEIM CA 92804 10.2500 07/01/05
0439696014 0.0000 09/01/05 00
2052388 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
975/G02 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
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O 0.0000
10031011 5.3750 305000.0000 100.0000
5.3750 305,000.00 ZZ
5.1250 1366.15 1
11.3750 1366.15 78
CITRUS HEIGHTS CA 95621 11.1250 06/16/05
0439617846 0.0000 08/01/05 00
1001832240 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
944/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 11.3750 6 6
360 E 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
10031019 5.8750 211000.0000 100.0000
5.8750 211,000.00 ZZ
5.6250 1033.02 1
11.8750 1033.02 77
ANOKA MN 55303 11.6250 06/17/05
0439612300 0.0000 08/01/05 00
1001829554 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
944/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 11.8750 6 6
360 E 1.0000 1.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
10031021 5.8750 300000.0000 100.0000
5.8750 300,000.00 ZZ
5.6250 1468.75 1
11.8750 1468.75 80
SACRAMENTO CA 95833 11.6250 06/15/05
0439576760 0.0000 08/01/05 00
1001831553 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
944/G02 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 11.8750 6 6
360 E 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
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10031027 6.0000 189950.0000 100.0000
6.0000 189,950.00 ZZ
5.7500 949.75 1
12.0000 949.75 85
EAGLE POINT OR 97524 11.7500 06/10/05
0439571167 0.0000 08/01/05 11
1001830727 0.0000 07/01/35 12.0000
0 2.2500 07/01/10 07/01/10
944/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 12.0000 6 6
360 E 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
10031031 6.0000 925000.0000 100.0000
6.0000 924,079.16 ZZ
5.7500 5545.84 1
12.0000 5545.84 79
CORONA CA 92883 11.7500 06/09/05
0439614678 0.0000 08/01/05 00
1001823407 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
944/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 12.0000 6 6
360 E 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
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10031033 5.5000 464000.0000 100.0000
5.5000 464,000.00 ZZ
5.2500 2126.67 1
11.5000 2126.67 80
PHOENIX AZ 85048 11.2500 06/22/05
0439629858 0.0000 08/01/05 00
1001832958 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
944/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 11.5000 6 6
360 E 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
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O 0.0000
10031049 5.7500 254400.0000 100.0000
5.7500 254,400.00 ZZ
5.5000 1219.00 1
11.7500 1219.00 80
SACRAMENTO CA 95823 11.5000 06/21/05
0439615766 0.0000 08/01/05 00
1001833369 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
944/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 11.7500 6 6
360 E 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
10031053 6.1250 348000.0000 100.0000
6.1250 348,000.00 T
5.8750 1776.25 1
12.1250 1776.25 80
TAMPA FL 33647 11.8750 06/22/05
0439615030 0.0000 08/01/05 00
1001832004 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
944/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 12.1250 6 6
360 E 2.0000 2.0000
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10031061 5.8750 592000.0000 100.0000
5.8750 592,000.00 ZZ
5.6250 2898.33 1
11.8750 2898.33 80
SAN JOSE CA 95130 11.6250 06/16/05
0439618331 0.0000 08/01/05 00
1001832526 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
944/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 11.8750 6 6
360 E 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 05 00
O 0.0000
10031065 6.2500 600000.0000 100.0000
6.2500 600,000.00 ZZ
6.0000 3125.00 1
12.2500 3125.00 75
BONITA CA 91902 12.0000 06/20/05
0439612664 0.0000 08/01/05 00
1001834899 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
944/G01 2.0000 08/01/10 08/01/10
25 2.2500 0.0000 0.0000
A 12.2500 6 6
360 E 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 03 00
O 0.0000
10031271 5.1250 580000.0000 100.0000
5.1250 580,000.00 ZZ
4.8750 2477.08 1
10.1250 2477.08 80
SAN DIEGO CA 92130 9.8750 06/23/05
0439555095 0.0000 08/01/05 00
9906817 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
808/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
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O 0.0000
10031517 5.5000 690200.0000 100.0000
5.5000 689,444.54 ZZ
5.2500 3918.88 1
10.5000 3918.88 70
IRVINE CA 92606 10.2500 06/02/05
0439567561 0.0000 08/01/05 00
8921796 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
Y62/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
10031555 5.3750 328000.0000 100.0000
5.3750 327,632.46 ZZ
5.1250 1836.71 2
11.3750 1836.71 64
LONG BEAH CA 90813 11.1250 06/02/05
0439568031 0.0000 08/01/05 00
8921597 0.0000 07/01/35 0.0000
0 2.7500 07/01/10 07/01/10
Y62/G01 2.5000 08/01/10 08/01/10
45 3.3750 0.0000 0.0000
A 7.3750 12 12
360 1 2.0000 2.0000
6.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
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10031787 5.5000 114942.0000 100.0000
5.5000 114,942.00 ZZ
5.2500 526.82 1
10.5000 526.82 80
DENVER CO 80249 10.2500 07/15/05
0423178268 0.0000 09/01/05 00
0423178268 0.0000 08/01/35 0.0000
0 3.2500 08/01/10 08/01/10
E22/G02 3.0000 09/01/10 09/01/10
45 3.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
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0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
10031797 5.5000 180000.0000 100.0000
5.5000 180,000.00 ZZ
5.2500 825.00 1
10.5000 825.00 80
BOCA RATON FL 33428 10.2500 07/15/05
0423836956 0.0000 09/01/05 00
0423836956 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
E22/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
10031841 6.1250 297000.0000 100.0000
6.1250 297,000.00 ZZ
5.8750 1515.94 1
11.1250 1515.94 80
SAINT CLOUD FL 34771 10.8750 07/15/05
0424313591 0.0000 09/01/05 00
0424313591 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
E22/U57 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 11.1250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
10031967 5.7500 432000.0000 100.0000
5.7500 432,000.00 ZZ
5.5000 2070.00 1
10.7500 2070.00 80
ELK GROVE CA 95624 10.5000 07/08/05
0424574010 0.0000 09/01/05 00
0424574010 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
E22/U57 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 10.7500 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
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10032145 6.1250 227050.0000 100.0000
6.1250 227,050.00 ZZ
5.8750 1158.90 1
11.1250 1158.90 95
DELTONA FL 32738 10.8750 07/15/05
0424719516 0.0000 09/01/05 01
0424719516 0.0000 08/01/35 30.0000
0 2.2500 08/01/10 08/01/10
E22/U57 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 11.1250 12 12
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0.0000 S N 0.1250
0.0000 1 0
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10032179 5.5000 324000.0000 100.0000
5.5000 324,000.00 ZZ
5.2500 1485.00 1
10.5000 1485.00 80
VACAVILLE CA 95688 10.2500 07/07/05
0424751444 0.0000 09/01/05 00
0424751444 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
E22/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 5 0
0.0000 05 00
O 0.0000
10032185 5.6250 132800.0000 100.0000
5.6250 132,800.00 ZZ
5.3750 622.50 1
10.6250 622.50 80
BELLINGHAM WA 98225 10.3750 07/12/05
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WILTON CA 95693 10.1250 07/09/05
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BALTIMORE MD 21224 10.5000 05/24/05
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PASADENA MD 21122 10.2500 06/03/05
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EDGEWATER MD 21037 10.3750 06/10/05
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FALLS CHURCH VA 22043 10.3750 06/24/05
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SILVER SPRING MD 20902 10.0000 06/28/05
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DALLAS TX 75230 9.7500 06/27/05
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WALNUT CREEK CA 94595 10.1500 07/11/05
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OLIVE BRANCH MS 38654 10.5000 07/18/05
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ROSEBURG OR 97470 10.5000 07/12/05
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PUYALLUP WA 98375 10.1250 07/14/05
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FRANKLIN TN 37064 10.5000 07/13/05
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SPRINGFIELD VA 22150 10.6250 07/13/05
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ROCKLEDGE FL 32955 10.6250 07/12/05
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LITTLETON CO 80128 10.6250 07/13/05
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KENNER LA 70065 10.1250 07/18/05
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SAN DIEGO CA 92126 10.5000 07/12/05
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SHOW LOW AZ 85901 10.2500 06/07/05
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CHANDLER AZ 85249 10.2500 06/01/05
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FIRESTONE CO 80504 10.3750 06/24/05
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GILBERT AZ 85233 10.3750 06/27/05
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CAVE CREEK AZ 85331 10.6250 07/13/05
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LITTLETON CO 80127 10.2500 07/14/05
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LITTLETON CO 80128 11.1250 07/08/05
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PORTLAND OR 97203 10.8750 07/16/05
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VALLEJO CA 94591 10.7500 07/15/05
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HEDGESVILLE WV 25427 10.5000 07/20/05
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TACOMA WA 98444 10.7500 07/14/05
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BOYNTON BEACH FL 33436 10.7500 07/15/05
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CHELSEA AL 35043 10.3750 07/15/05
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LOVELAND CO 80538 10.5000 07/20/05
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ESCONDIDO CA 92026 10.3750 07/01/05
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KIRKWOOD CA 95646 11.0000 07/19/05
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OREM UT 84097 10.2500 07/20/05
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SAN JOSE CA 95110 10.6250 07/19/05
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SAN DIEGO CA 92139 10.6250 06/30/05
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BURLINGAME CA 94010 10.7500 07/08/05
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GARDENA CA 90249 10.6250 07/06/05
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5.5000 1557.29 1
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GLENDALE AZ 85304 10.5000 07/07/05
0439709023 0.0000 09/01/05 00
314658 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
H58/G01 2.0000 09/01/10 09/01/10
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5.7500 582,000.00 ZZ
5.5000 2788.75 1
10.7500 2788.75 80
SAN MATEO CA 94403 10.5000 07/08/05
0439716762 0.0000 09/01/05 00
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0 2.2500 08/01/10 08/01/10
H58/G01 2.0000 09/01/10 09/01/10
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5.5000 2415.00 1
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SAN RAFAEL CA 94903 10.5000 07/14/05
0439724139 0.0000 09/01/05 00
317708 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
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5.5000 173,600.00 ZZ
5.2500 795.67 1
10.5000 795.67 80
MESA AZ 85204 10.2500 07/06/05
0439725474 0.0000 09/01/05 00
302013 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
H58/G01 2.0000 09/01/10 09/01/10
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5.6250 357,000.00 ZZ
5.3750 1673.44 1
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HOLLISTER CA 95023 10.3750 06/23/05
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5.5000 421.67 1
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TEMPE AZ 85282 10.5000 06/29/05
0439717935 0.0000 08/01/05 00
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H58/G01 2.0000 08/01/10 08/01/10
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5.5000 2558.75 1
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SAN JOSE CA 95148 10.5000 07/01/05
0439723867 0.0000 09/01/05 00
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0 2.2500 08/01/10 08/01/10
H58/G01 2.0000 09/01/10 09/01/10
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5.1250 1500.52 1
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DISCOVERY BAY CA 94514 10.1250 06/22/05
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H58/G01 2.0000 08/01/10 08/01/10
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6.0000 192,807.87 ZZ
5.7500 1157.13 1
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HESPERIA CA 92345 10.7500 06/30/05
0439774456 0.0000 08/01/05 00
312309 0.0000 07/01/35 0.0000
0 2.2500 07/01/10 07/01/10
H58/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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5.3750 1151.25 1
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KEIZER OR 97303 10.3750 07/14/05
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0 2.2500 08/01/10 08/01/10
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6.1250 184,000.00 ZZ
5.8750 939.17 1
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LAGUNA XXXXX CA 92637 10.8750 07/12/05
0424752970 0.0000 09/01/05 00
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0 2.2500 08/01/10 08/01/10
E22/G01 2.0000 09/01/10 09/01/10
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5.6250 4644.92 1
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SAN RAMON CA 94582 11.6250 07/07/05
0439681727 0.0000 09/01/05 00
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0 2.2500 08/01/10 08/01/10
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5.8750 2450.00 1
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STATELINE NV 89449 11.8750 06/29/05
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5.3750 1593.75 1
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SANTA ROSA CA 95403 10.3750 07/13/05
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5.6250 520.55 1
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PHOENIX AZ 85051 10.6250 07/21/05
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0 2.2500 08/01/10 08/01/10
E82/G01 2.0000 09/01/10 09/01/10
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10053895 6.1250 380000.0000 100.0000
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5.8750 1939.58 1
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TAHOE CITY CA 96145 11.8750 06/22/05
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0 2.2500 07/01/10 07/01/10
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5.6250 3451.56 1
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RENO NV 89509 11.6250 06/24/05
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25 2.2500 0.0000 0.0000
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5.3750 776.02 1
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CHARLOTTE NC 28209 10.3750 07/19/05
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0 2.2500 08/01/10 08/01/10
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5.2500 1001.00 1
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TUCKER GA 30084 10.2500 07/19/05
0439769977 2.2500 09/01/05 00
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5.5000 192,600.00 ZZ
5.2500 882.75 1
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ACWORTH GA 30101 10.2500 07/15/05
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CUMMING GA 30040 10.3750 07/01/05
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5.2500 528.23 1
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WOODSTOCK GA 30188 10.2500 07/11/05
0439770884 2.2500 09/01/05 00
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45 2.2500 0.0000 0.0000
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5.3750 798.75 1
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SMYRNA GA 30082 10.3750 07/18/05
0439770173 2.2500 09/01/05 00
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5.3750 1364.31 1
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PHOENIX AZ 85050 10.3750 07/11/05
0439781808 0.0000 09/01/05 00
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5.8750 353,600.00 ZZ
5.6250 1731.17 1
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SAN DIEGO CA 92105 10.6250 07/22/05
0439793548 0.0000 09/01/05 00
10075 0.0000 08/01/35 0.0000
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5.1250 1200.42 1
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OAKLAND CA 94621 10.1250 07/11/05
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0 3.2500 08/01/10 08/01/10
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5.5000 173,600.00 ZZ
5.2500 795.67 1
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DENVER CO 80231 10.2500 07/01/05
0439714247 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
L14/G01 2.0000 08/01/10 08/01/10
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10061933 5.3750 1600000.0000 100.0000
5.3750 1,600,000.00 ZZ
5.1250 7166.67 1
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NAPLES FL 34119 10.1250 06/30/05
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10061937 5.6250 201600.0000 100.0000
5.6250 201,600.00 ZZ
5.3750 945.00 1
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LYNNWOOD WA 98036 10.3750 06/22/05
0439727934 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
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5.5000 515,000.00 ZZ
5.2500 2360.42 1
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PALM BEACH GARD FL 33418 10.2500 06/30/05
0439726738 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
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10061943 5.5000 240000.0000 100.0000
5.5000 240,000.00 ZZ
5.2500 1100.00 1
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NEDERLAND CO 80466 10.2500 07/01/05
0439711417 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
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10061959 5.3750 291700.0000 100.0000
5.3750 291,700.00 ZZ
5.1250 1306.57 1
10.3750 1306.57 80
FLOWER MOUND TX 75028 10.1250 07/06/05
0439714197 0.0000 09/01/05 00
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0 2.2500 08/01/10 08/01/10
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45 2.2500 0.0000 0.0000
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10061969 5.3750 450000.0000 100.0000
5.3750 450,000.00 ZZ
5.1250 2519.87 1
10.3750 2519.87 75
VANCOURVER WA 98665 10.1250 07/12/05
0439726514 2.2500 09/01/05 00
0650622009 2.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
Y46/G01 2.0000 09/01/10 09/01/10
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10061991 5.6250 152480.0000 100.0000
5.6250 152,480.00 ZZ
5.3750 714.75 1
10.6250 714.75 80
BEAVERTON OR 97007 10.3750 07/12/05
0439727207 0.0000 09/01/05 00
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0 2.2500 08/01/10 08/01/10
Y46/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
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10061995 5.6250 156000.0000 100.0000
5.6250 156,000.00 ZZ
5.3750 731.25 1
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MILWAUKIE OR 97222 10.3750 07/01/05
0439727637 0.0000 09/01/05 00
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0 2.2500 08/01/10 08/01/10
Y46/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
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10061999 5.5000 156800.0000 100.0000
5.5000 156,800.00 ZZ
5.2500 718.67 1
10.5000 718.66 80
XXXXXXXXX OR 97113 10.2500 06/30/05
0439727736 0.0000 08/01/05 00
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0 2.2500 07/01/10 07/01/10
Y46/G01 2.0000 08/01/10 08/01/10
45 2.2500 0.0000 0.0000
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10062423 5.2500 150000.0000 100.0000
5.2500 150,000.00 ZZ
5.0000 656.25 1
10.2500 656.25 50
SACRAMENTO CA 95822 10.0000 07/16/05
0424749737 0.0000 09/01/05 00
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0 2.2500 08/01/10 08/01/10
E22/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
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5.5000 592,000.00 ZZ
5.2500 2713.33 1
10.5000 2713.33 70
CASTRO VALLEY CA 94552 10.2500 07/19/05
0424792018 0.0000 09/01/05 00
0424792018 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
E22/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
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10062543 5.8750 148080.0000 100.0000
5.8750 148,080.00 ZZ
5.6250 724.98 1
10.8750 724.98 80
LAYTON UT 84040 10.6250 07/25/05
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CUMMING GA 30040 10.5000 07/22/05
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CANTON GA 30114 10.3750 07/22/05
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MCDONOUGH GA 30252 10.2500 07/22/05
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HAYMARKET VA 20169 10.2500 07/14/05
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XXXXX SPRINGS GA 30115 10.3750 07/22/05
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CUMMING GA 30041 10.2500 07/22/05
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ALPHARETTA GA 30004 10.3750 07/26/05
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CAPE CORAL FL 33991 10.3750 07/27/05
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BELLEVUE WA 98005 10.5000 07/23/05
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SEATTLE WA 98125 10.2500 07/23/05
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LUTZ FL 33549 10.6250 07/25/05
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ROHNERT PARK CA 94928 10.5000 07/25/05
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SPARKS NV 89431 10.8750 07/26/05
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TEMPE AZ 85283 11.1250 07/27/05
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XXXXXXX CO 80602 10.6250 07/26/05
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CHARLOTTE NC 28226 10.3750 07/27/05
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PARKLAND FL 33067 10.5000 07/27/05
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IRVINE CA 92618 10.5000 07/07/05
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MARSHFIELD MA 02050 10.3750 07/27/05
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FORT XXXXXXX CO 80525 10.1250 07/25/05
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DUPONT WA 98327 10.2500 07/26/05
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COLORADO SPRING CO 80911 10.6250 07/27/05
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HOUSTON TX 77025 10.5000 07/26/05
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TRACY CA 95377 10.5000 07/25/05
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GOFFSTOWN NH 03035 10.2500 08/01/05
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ROCK HILL SC 29730 10.6250 07/26/05
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CALHOUN GA 30701 10.2500 07/25/05
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MINNEAPOLIS MN 55416 10.2500 07/26/05
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PEORIA AZ 85383 10.1250 07/25/05
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FAYETTEVILLE GA 30215 10.6250 07/26/05
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ANACORTES WA 98221 10.7500 08/01/05
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POWHATAN VA 23139 10.6250 07/29/05
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STANSBURY PARK UT 84074 10.5000 07/28/05
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PLEASANT HILL CA 94523 10.7500 07/27/05
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BUCKEYE AZ 85326 10.5000 07/18/05
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5.7500 379,000.00 ZZ
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SPARTANBURG SC 29306 10.5000 07/28/05
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GLENDALE CA 91214 10.5000 07/26/05
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LINCOLNTON NC 28092 10.2500 08/05/05
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0 2.2500 08/01/10 08/01/10
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5.3750 862.50 1
10.6250 862.50 80
WASHINGTON UT 84780 10.3750 08/01/05
0424766996 0.0000 09/01/05 00
0424766996 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
E22/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 10.6250 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 2 0
0.0000 03 00
O 0.0000
10076357 5.5000 170950.0000 100.0000
5.5000 170,950.00 ZZ
5.2500 783.52 1
10.5000 783.52 79
BROKEN ARROW OK 74012 10.2500 08/05/05
0424850220 0.0000 09/01/05 00
0424850220 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
E22/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 10.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
10076515 6.5000 232000.0000 100.0000
6.5000 232,000.00 T
6.2500 1256.67 1
11.5000 1256.67 80
LAS VEGAS NV 89147 11.2500 08/02/05
0424982437 0.0000 09/01/05 00
0424982437 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
E22/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 11.5000 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 03 00
O 0.0000
10076583 5.8750 316000.0000 100.0000
5.8750 316,000.00 ZZ
5.6250 1547.08 1
10.8750 1547.08 80
ELK GROVE CA 95624 10.6250 07/28/05
0425027695 0.0000 09/01/05 00
0425027695 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
E22/G01 2.0000 09/01/10 09/01/10
45 2.2500 0.0000 0.0000
A 10.8750 12 12
360 L12 2.0000 2.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 05 00
O 0.0000
10078149 5.3750 303500.0000 100.0000
5.3750 303,500.00 ZZ
5.1250 1359.43 1
10.3750 1359.43 80
ARLINGTON VA 22201 10.1250 08/02/05
0439794629 0.0000 09/01/05 00
10105041 0.0000 08/01/35 0.0000
0 2.2500 08/01/10 08/01/10
696/G01 2.0000 09/01/10 09/01/10
25 2.2500 0.0000 0.0000
A 10.3750 6 6
360 E 1.0000 1.0000
5.0000 S N 0.1250
0.0000 S N 0.1250
0.0000 1 0
0.0000 01 00
O 0.0000
Total Number of Loans: 1,012
Total Original Balance: 358,033,195.69
Total Principal Balance: 357,216,383.59
Total Original P+I: 1,706,751.66
Total Current P+I: 1,706,263.49
Arm Rate Passthru
Loan Number Sub Serv Fee RFC Net Ceiling
Principal Bal Mstr Serv Fee Max Net Mort Rate
Curr Note Rate Alloc Exp Max Post Strip Rate
RFC Net Rate Misc Exp Int Rate Margin
Investor Rate Spread PostStrip Margin
Post Strip Rate Strip
9673809 0.2500 9.6250
200000.00 0.0500 9.5750
4.8750 0.0000 9.5750
4.6250 0.0000 1.9500
4.5750 0.0000 1.9500
4.5750 0.0000
9737274 0.2500 10.5000
339200.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9746064 0.2500 10.5000
254996.65 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9761790 0.2500 10.5000
518950.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9765920 0.2500 10.5000
284000.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9777426 0.2500 10.2500
440000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9777428 0.2500 10.1250
448500.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9777430 0.2500 10.1250
408000.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9777434 0.2500 10.3750
231900.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9779106 0.2500 10.3750
650000.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9780272 0.2500 10.1250
339350.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9782226 0.2500 10.5000
400000.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9782994 0.2500 10.1250
295900.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9785596 0.2500 10.1250
212800.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9787264 0.2500 10.5000
406354.87 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9788932 0.2500 10.0000
320000.00 0.0500 9.9500
5.2500 0.0000 9.9500
5.0000 0.0000 1.9500
4.9500 0.0000 1.9500
4.9500 0.0000
9790496 0.2500 10.2500
323647.14 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9790498 0.2500 10.0000
327166.07 0.0500 9.9500
5.2500 0.0000 9.9500
5.0000 0.0000 1.9500
4.9500 0.0000 1.9500
4.9500 0.0000
9790500 0.2500 9.6250
335772.00 0.0500 9.5750
4.8750 0.0000 9.5750
4.6250 0.0000 1.9500
4.5750 0.0000 1.9500
4.5750 0.0000
9790506 0.2500 10.8750
352000.00 0.0500 10.8250
6.1250 0.0000 10.8250
5.8750 0.0000 1.9500
5.8250 0.0000 1.9500
5.8250 0.0000
9790510 0.2500 10.2500
311520.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9790512 0.2500 10.1250
202500.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9790516 0.2500 10.1250
639000.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9790522 0.2500 10.8750
339900.00 0.0500 10.8250
6.1250 0.0000 10.8250
5.8750 0.0000 1.9500
5.8250 0.0000 1.9500
5.8250 0.0000
9790526 0.2500 11.0000
181999.50 0.0500 10.9500
6.2500 0.0000 10.9500
6.0000 0.0000 1.9500
5.9500 0.0000 1.9500
5.9500 0.0000
9790528 0.2500 10.0000
410000.00 0.0500 9.9500
5.2500 0.0000 9.9500
5.0000 0.0000 1.9500
4.9500 0.0000 1.9500
4.9500 0.0000
9790534 0.2500 10.0000
374137.83 0.0500 9.9500
5.2500 0.0000 9.9500
5.0000 0.0000 1.9500
4.9500 0.0000 1.9500
4.9500 0.0000
9790536 0.2500 10.3750
178600.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9790540 0.2500 10.6250
321952.80 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
9790542 0.2500 10.3750
375900.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9790544 0.2500 10.2500
374400.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9790546 0.2500 10.3750
499993.99 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9790550 0.2500 10.1250
209940.63 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9790552 0.2500 10.3750
575000.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9790554 0.2500 10.3750
125000.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9790556 0.2500 10.1250
480880.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9790562 0.2500 9.7500
115911.86 0.0500 9.7000
5.0000 0.0000 9.7000
4.7500 0.0000 1.9500
4.7000 0.0000 1.9500
4.7000 0.0000
9790564 0.2500 10.0000
434997.59 0.0500 9.9500
5.2500 0.0000 9.9500
5.0000 0.0000 1.9500
4.9500 0.0000 1.9500
4.9500 0.0000
9790566 0.2500 10.3750
100000.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9790568 0.2500 10.1250
264903.66 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9790570 0.2500 10.2500
335746.39 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9790584 0.2500 10.0000
290269.86 0.0500 9.9500
5.2500 0.0000 9.9500
5.0000 0.0000 1.9500
4.9500 0.0000 1.9500
4.9500 0.0000
9790588 0.2500 10.2500
350000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9790590 0.2500 10.5000
348000.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9790592 0.2500 11.0000
198000.00 0.0500 10.9500
6.2500 0.0000 10.9500
6.0000 0.0000 1.9500
5.9500 0.0000 1.9500
5.9500 0.0000
9790594 0.2500 9.7500
150000.00 0.0500 9.7000
5.0000 0.0000 9.7000
4.7500 0.0000 1.9500
4.7000 0.0000 1.9500
4.7000 0.0000
9790596 0.2500 10.3750
156000.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9790600 0.2500 9.7500
226600.00 0.0500 9.7000
5.0000 0.0000 9.7000
4.7500 0.0000 1.9500
4.7000 0.0000 1.9500
4.7000 0.0000
9790602 0.2500 10.6250
185000.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
9790604 0.2500 10.3750
212000.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9790606 0.2500 10.0000
330100.00 0.0500 9.9500
5.2500 0.0000 9.9500
5.0000 0.0000 1.9500
4.9500 0.0000 1.9500
4.9500 0.0000
9790614 0.2500 10.2500
170800.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9790616 0.2500 10.0000
103262.02 0.0500 9.9500
5.2500 0.0000 9.9500
5.0000 0.0000 1.9500
4.9500 0.0000 1.9500
4.9500 0.0000
9790618 0.2500 10.3750
240222.18 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9790620 0.2500 9.8750
373500.00 0.0500 9.8250
5.1250 0.0000 9.8250
4.8750 0.0000 1.9500
4.8250 0.0000 1.9500
4.8250 0.0000
9790622 0.2500 10.1250
299200.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9790624 0.2500 10.6250
219000.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
9790626 0.2500 10.0000
368800.00 0.0500 9.9500
5.2500 0.0000 9.9500
5.0000 0.0000 1.9500
4.9500 0.0000 1.9500
4.9500 0.0000
9790628 0.2500 10.3750
135850.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9790632 0.2500 10.2500
168000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9790634 0.2500 10.2500
299900.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9790636 0.2500 10.1250
370000.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9790638 0.2500 10.0000
487200.00 0.0500 9.9500
5.2500 0.0000 9.9500
5.0000 0.0000 1.9500
4.9500 0.0000 1.9500
4.9500 0.0000
9790640 0.2500 10.7500
344000.00 0.0500 10.7000
6.0000 0.0000 10.7000
5.7500 0.0000 1.9500
5.7000 0.0000 1.9500
5.7000 0.0000
9790644 0.2500 10.1250
385000.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9790648 0.2500 9.8750
148386.27 0.0500 9.8250
5.1250 0.0000 9.8250
4.8750 0.0000 1.9500
4.8250 0.0000 1.9500
4.8250 0.0000
9790652 0.2500 10.3750
395999.80 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9790654 0.2500 10.5000
308000.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9790658 0.2500 9.7500
850000.00 0.0500 9.7000
5.0000 0.0000 9.7000
4.7500 0.0000 1.9500
4.7000 0.0000 1.9500
4.7000 0.0000
9790660 0.2500 10.7500
391900.00 0.0500 10.7000
6.0000 0.0000 10.7000
5.7500 0.0000 1.9500
5.7000 0.0000 1.9500
5.7000 0.0000
9790664 0.2500 10.0000
255800.00 0.0500 9.9500
5.2500 0.0000 9.9500
5.0000 0.0000 1.9500
4.9500 0.0000 1.9500
4.9500 0.0000
9790672 0.2500 10.0000
317000.00 0.0500 9.9500
5.2500 0.0000 9.9500
5.0000 0.0000 1.9500
4.9500 0.0000 1.9500
4.9500 0.0000
9790674 0.2500 10.5000
393600.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9790676 0.2500 10.1250
270000.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9790678 0.2500 10.2500
376000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9790680 0.2500 9.8750
415200.00 0.0500 9.8250
5.1250 0.0000 9.8250
4.8750 0.0000 1.9500
4.8250 0.0000 1.9500
4.8250 0.0000
9790682 0.2500 10.6250
139145.32 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
9790684 0.2500 10.1250
132000.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9790688 0.2500 10.2500
143400.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9790690 0.2500 10.2500
408650.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9790692 0.2500 10.2500
650000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9790696 0.2500 10.1250
385931.20 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9790700 0.2500 10.0000
528000.00 0.0500 9.9500
5.2500 0.0000 9.9500
5.0000 0.0000 1.9500
4.9500 0.0000 1.9500
4.9500 0.0000
9790704 0.2500 10.2500
272000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9790706 0.2500 9.7500
252000.00 0.0500 9.7000
5.0000 0.0000 9.7000
4.7500 0.0000 1.9500
4.7000 0.0000 1.9500
4.7000 0.0000
9790708 0.2500 10.1250
338500.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9790710 0.2500 10.1250
118000.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
9790714 0.2500 10.3750
514000.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9790716 0.2500 10.3750
212017.73 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9790720 0.2500 10.2500
189556.85 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9790722 0.2500 10.6250
223470.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
9790724 0.2500 10.3750
176800.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
9790726 0.2500 10.5000
359953.01 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
9790728 0.2500 10.2500
550000.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
9790730 0.2500 9.8750
104800.00 0.0500 9.8250
5.1250 0.0000 9.8250
4.8750 0.0000 1.9500
4.8250 0.0000 1.9500
4.8250 0.0000
9790738 0.2500 10.0000
328439.38 0.0500 9.9500
5.2500 0.0000 9.9500
5.0000 0.0000 1.9500
4.9500 0.0000 1.9500
4.9500 0.0000
9790740 0.2500 9.7500
399036.75 0.0500 9.7000
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5.0750 0.0000
10071623 0.2500 10.6250
148800.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
10072489 0.2500 10.7500
204000.00 0.0500 10.7000
6.0000 0.0000 10.7000
5.7500 0.0000 1.9500
5.7000 0.0000 1.9500
5.7000 0.0000
10072775 0.2500 10.6250
199500.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
10072797 0.2500 10.5000
184000.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
10072823 0.2500 10.7500
487960.00 0.0500 10.7000
6.0000 0.0000 10.7000
5.7500 0.0000 1.9500
5.7000 0.0000 1.9500
5.7000 0.0000
10074011 0.2500 10.5000
127500.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
10074095 0.2500 10.5000
379000.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
10075041 0.2500 10.5000
550000.00 0.0500 10.4500
5.7500 0.0000 10.4500
5.5000 0.0000 1.9500
5.4500 0.0000 1.9500
5.4500 0.0000
10076093 0.2500 10.2500
96900.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
10076283 0.2500 10.3750
184000.00 0.0500 10.3250
5.6250 0.0000 10.3250
5.3750 0.0000 1.9500
5.3250 0.0000 1.9500
5.3250 0.0000
10076357 0.2500 10.2500
170950.00 0.0500 10.2000
5.5000 0.0000 10.2000
5.2500 0.0000 1.9500
5.2000 0.0000 1.9500
5.2000 0.0000
10076515 0.2500 11.2500
232000.00 0.0500 11.2000
6.5000 0.0000 11.2000
6.2500 0.0000 1.9500
6.2000 0.0000 1.9500
6.2000 0.0000
10076583 0.2500 10.6250
316000.00 0.0500 10.5750
5.8750 0.0000 10.5750
5.6250 0.0000 1.9500
5.5750 0.0000 1.9500
5.5750 0.0000
10078149 0.2500 10.1250
303500.00 0.0500 10.0750
5.3750 0.0000 10.0750
5.1250 0.0000 1.9500
5.0750 0.0000 1.9500
5.0750 0.0000
Total Number of Loans: 1,012
Total Original Balance: 358,033,195.69
Total Principal Balance: 357,216,383.59
Total Original P+I: 1,706,751.66
Total Current P+I: 1,706,263.49
EXHIBIT SIX
INFORMATION TO BE INCLUDED IN
MONTHLY DISTRIBUTION DATE STATEMENT
(i) (a) the amount of such distribution to the Certificateholders of
such Class applied to reduce the Certificate Principal Balance thereof, and (b)
the aggregate amount included therein representing Principal Prepayments;
(ii) the amount of such distribution to Holders of such Class of
Certificates allocable to interest;
(iii) if the distribution to the Holders of such Class of Certificates
is less than the full amount that would be distributable to such Holders if
there were sufficient funds available therefor, the amount of the shortfall;
(iv) the amount of any Advance by the Master Servicer pursuant to
Section 4.04;
(v) the number and aggregate Stated Principal Balance of Loan Group I,
Sub-Loan Group I-1, Sub-Loan Group I-2, Sub-Loan Group I-3, Loan Group II,
Sub-Loan Group II-1 and Sub-Loan Group II-2 Loans determined separately after
giving effect to the distribution of principal on such Distribution Date;
(vi) the aggregate Certificate Principal Balance of each Class of
Certificates, after giving effect to the amounts distributed on such
Distribution Date, separately identifying any reduction thereof due to Realized
Losses other than pursuant to an actual distribution of principal;
(vii) the related Subordinate Principal Distribution Amount and
Prepayment Distribution Percentage, if applicable;
(viii) on the basis of the most recent reports furnished to it by
Sub-Servicers, (a) the number and aggregate principal balances of Mortgage Loans
that are Delinquent (1) 30-59 days, (2) 60-89 days and (3) 90 or more days and
the number and aggregate principal balance of Mortgage Loans that are in
foreclosure, (b) the number and aggregate principal balances of Reportable
Modified Mortgage Loans that are Delinquent (1) 30-59 days, (2) 60-89 days and
(3) 90 or more days and the number and aggregate principal balance of Reportable
Modified Mortgage Loans that are in foreclosure and are REO Property, indicating
in each case capitalized Mortgage Loans, other Servicing Modifications and
totals, and (c) for all Reportable Modified Mortgage Loans, the number and
aggregate Stated Principal Balance of Reportable Modified Mortgage Loans that
have been liquidated, the subject of pay-offs and that have been repurchased by
the Master Servicer or Seller;
(ix) the number, aggregate principal balance and book value of any REO
Properties;
(x) the aggregate Accrued Certificate Interest remaining unpaid, if any,
for each Class of Certificates, after giving effect to the distribution made on
such Distribution Date;
(xi) [RESERVED];
(xii) [RESERVED];
(xiii) the occurrence of the Credit Support Depletion Date;
(xiv) the related Senior Accelerated Distribution Percentage applicable
to such distribution;
(xv) the related Senior Percentage for such Distribution Date;
(xvi) the aggregate amount of Realized Losses for such Distribution
Date;
(xvii) the aggregate amount of any recoveries on previously foreclosed
loans from Sellers due to a breach of representation or warranty assigned to the
Trustee pursuant to Section 2.04;
(xiii) the weighted average remaining term to maturity of the Mortgage
Loans after giving effect to the amounts distributed on such Distribution Date;
and
(xix) the weighted average Mortgage Rates of the Mortgage Loans after
giving effect to the amounts distributed on such Distribution Date.
In the case of information furnished pursuant to clauses (i) and (ii) above, the
amounts shall be expressed as a dollar amount per Certificate with a $1,000
denomination.
The Trustee's internet website will initially be located at
xxxx://xxx.xxxxxx.xxx/xxx. To receive this statement via first class mail,
telephone the Trustee at 0 (000) 000-0000.
EXHIBIT SEVEN
STANDARD TERMS OF POOLING AND SERVICING
AGREEMENT DATED AS OF MAY 1, 2005
EXECUTION COPY
STANDARD TERMS OF
POOLING AND SERVICING AGREEMENT
Dated as of May 1, 2005
Residential Funding Mortgage Securities I, Inc.
Mortgage Pass-Through Certificates
TABLE OF CONTENTS
PAGE
ARTICLE I
DEFINITIONS
Section 1.01 Definitions.............................................................1
Section 1.02 Use of Words and Phrases...............................................33
ARTICLE II
CONVEYANCE OF MORTGAGE LOANS; ORIGINAL ISSUANCE OF CERTIFICATES
Section 2.01 Conveyance of Mortgage Loans...........................................33
Section 2.02 Acceptance by Trustee..................................................39
Section 2.03 Representations, Warranties and Covenants of the Master Servicer and
the Company. .......................................................41
Section 2.04 Representations and Warranties of Sellers..............................42
Section 2.05 Execution and Authentication of Certificates/Issuance of Certificates
Evidencing Interests in REMIC I.....................................45
Section 2.06 Conveyance of Uncertificated REMIC I and REMIC II Regular Interests;
Acceptance by the Trustee. .........................................45
Section 2.07 Issuance of Certificates Evidencing Interests in REMIC II..............45
Section 2.08 Purposes and Powers of the Trust.......................................45
ARTICLE III
ADMINISTRATION AND SERVICING OF MORTGAGE LOANS
Section 3.01 Master Servicer to Act as Servicer.....................................45
Section 3.02 Subservicing Agreements Between Master Servicer and Subservicers;
Enforcement of Subservicers' and Sellers' Obligations...............47
Section 3.03 Successor Subservicers.................................................48
Section 3.04 Liability of the Master Servicer.......................................49
Section 3.05 No Contractual Relationship Between Subservicer and Trustee or
Certificateholders. ................................................49
Section 3.06 Assumption or Termination of Subservicing Agreements by Trustee........49
Section 3.07 Collection of Certain Mortgage Loan Payments; Deposits to Custodial
Account. ...........................................................50
Section 3.08 Subservicing Accounts; Servicing Accounts..............................53
Section 3.09 Access to Certain Documentation and Information Regarding the Mortgage
Loans. .............................................................54
Section 3.10 Permitted Withdrawals from the Custodial Account.......................54
Section 3.11 Maintenance of the Primary Insurance Policies; Collections Thereunder..56
Section 3.12 Maintenance of Fire Insurance and Omissions and Fidelity Coverage......57
Section 3.13 Enforcement of Due-on-Sale Clauses; Assumption and Modification
Agreements; Certain Assignments. ...................................59
Section 3.14 Realization Upon Defaulted Mortgage Loans..............................61
i
Section 3.15 Trustee to Cooperate; Release of Mortgage Files........................64
Section 3.16 Servicing and Other Compensation; Compensating Interest................66
Section 3.17 Reports to the Trustee and the Company.................................67
Section 3.18 Annual Statement as to Compliance......................................67
Section 3.19 Annual Independent Public Accountants' Servicing Report................68
Section 3.20 Rights of the Company in Respect of the Master Servicer................68
Section 3.21 Administration of Buydown Funds........................................68
Section 3.22 Advance Facility.......................................................69
ARTICLE IV
PAYMENTS TO CERTIFICATEHOLDERS
Section 4.01 Certificate Account....................................................73
Section 4.02 Distributions..........................................................74
Section 4.03 Statements to Certificateholders; Statements to Rating Agencies;
Exchange Act Reporting. ............................................74
Section 4.04 Distribution of Reports to the Trustee and the Company; Advances by
the Master Servicer. ...............................................76
Section 4.05 Allocation of Realized Losses..........................................77
Section 4.06 Reports of Foreclosures and Abandonment of Mortgaged Property..........77
Section 4.07 Optional Purchase of Defaulted Mortgage Loans..........................78
Section 4.08 Surety Bond............................................................78
ARTICLE V
THE CERTIFICATES
Section 5.01 The Certificates.......................................................78
Section 5.02 Registration of Transfer and Exchange of Certificates..................81
Section 5.03 Mutilated, Destroyed, Lost or Stolen Certificates......................87
Section 5.04 Persons Deemed Owners..................................................87
Section 5.05 Appointment of Paying Agent............................................88
ARTICLE VI
THE COMPANY AND THE MASTER SERVICER
Section 6.01 Respective Liabilities of the Company and the Master Servicer..........88
Section 6.02 Merger or Consolidation of the Company or the Master Servicer;
Assignment of Rights and Delegation of Duties by Master Servicer....88
Section 6.03 Limitation on Liability of the Company, the Master Servicer and Others.89
Section 6.04 Company and Master Servicer Not to Resign..............................90
ARTICLE VII
DEFAULT
Section 7.01 Events of Default......................................................90
Section 7.02 Trustee or Company to Act; Appointment of Successor....................92
Section 7.03 Notification to Certificateholders.....................................94
Section 7.04 Waiver of Events of Default............................................94
ii
ARTICLE VIII
CONCERNING THE TRUSTEE
Section 8.01 Duties of Trustee......................................................94
Section 8.02 Certain Matters Affecting the Trustee..................................96
Section 8.03 Trustee Not Liable for Certificates or Mortgage Loans..................98
Section 8.04 Trustee May Own Certificates...........................................98
Section 8.05 Master Servicer to Pay Trustee's Fees and Expenses; Indemnification....98
Section 8.06 Eligibility Requirements for Trustee...................................99
Section 8.07 Resignation and Removal of the Trustee.................................99
Section 8.08 Successor Trustee.....................................................100
Section 8.09 Merger or Consolidation of Trustee....................................101
Section 8.10 Appointment of Co-Trustee or Separate Trustee.........................101
Section 8.11 Appointment of Custodians.............................................102
Section 8.12 Appointment of Office or Agency.......................................103
ARTICLE IX
TERMINATION OR OPTIONAL PURCHASE OF ALL CERTIFICATES
Section 9.01 Optional Purchase by the Master Servicer of All Certificates;
Termination Upon Purchase by the Master Servicer or Liquidation
of All Mortgage Loans............................. ................103
Section 9.02 Additional Termination Requirements...................................107
Section 9.03 Termination of Multiple REMICs........................................107
ARTICLE X
REMIC PROVISIONS
Section 10.01 REMIC Administration..................................................108
Section 10.02 Master Servicer, REMIC Administrator and Trustee Indemnification......111
Section 10.03 Designation of REMIC(s)...............................................112
ARTICLE XI
MISCELLANEOUS PROVISIONS
Section 11.01 Amendment.............................................................112
Section 11.02 Recordation of Agreement; Counterparts................................115
Section 11.03 Limitation on Rights of Certificateholders............................115
Section 11.04 Governing Law.........................................................116
Section 11.05 Notices...............................................................116
Section 11.06 Required Notices to Rating Agency and Subservicer.....................116
Section 11.07 Severability of Provisions............................................117
Section 11.08 Supplemental Provisions for Resecuritization..........................117
Section 11.09 Allocation of Voting Rights...........................................118
iii
EXHIBITS
Exhibit A: Form of Class A Certificate
Exhibit B: Form of Class M Certificate
Exhibit C: Form of Class B Certificate
Exhibit D: Form of Class R Certificate
Exhibit E: Form of Seller/Servicer Contract
Exhibit F: Forms of Request for Release
Exhibit G-1: Form of Transfer Affidavit and Agreement
Exhibit G-2: Form of Transferor Certificate
Exhibit H: Form of Investor Representation Letter
Exhibit I: Form of Transferor Representation Letter
Exhibit J: Form of Rule 144A Investment Representation Letter
Exhibit K: Text of Amendment to Pooling and Servicing Agreement Pursuant
to Section 11.01(e) for a Limited Guaranty
Exhibit L: Form of Limited Guaranty
Exhibit M: Form of Lender Certification for Assignment of Mortgage Loan
Exhibit N: Request for Exchange Form
Exhibit O: Form of Form 10-K Certification
Exhibit P: Form of Back-Up Certification to Form 10-K Certificate
Exhibit Q: Information to be Provided by the Master Servicer to the Rating
Agencies Relating to Reportable Modified Mortgage Loans
iv
This is the Standard Terms of Pooling and Servicing Agreement, dated as
of May 1, 2005 (the "Standard Terms", and as incorporated by reference into a
Series Supplement dated as of the Cut-off Date, the "Pooling and Servicing
Agreement" or "Agreement"), among RESIDENTIAL FUNDING MORTGAGE SECURITIES I,
INC., as the company (together with its permitted successors and assigns, the
"Company"), RESIDENTIAL FUNDING CORPORATION, as master servicer (together with
its permitted successors and assigns, the "Master Servicer"), and the trustee
named in the applicable Series Supplement (together with its permitted
successors and assigns, the "Trustee").
PRELIMINARY STATEMENT:
The Company intends to sell certain mortgage pass-through certificates
(collectively, the "Certificates"), to be issued under each Agreement in
multiple classes, which in the aggregate will evidence the entire beneficial
ownership interest in the Mortgage Loans.
In consideration of the mutual agreements herein contained, the Company,
the Master Servicer and the Trustee agree as follows:
ARTICLE I
DEFINITIONS
Section 1.01 Definitions.
Whenever used in this Agreement, the following words and phrases, unless
the context otherwise requires, shall have the meanings specified in this
Article.
Accretion Termination Date: As defined in the Series Supplement.
Accrual Certificates: As defined in the Series Supplement.
Accrued Certificate Interest: With respect to each Distribution Date, as
to any Class or Subclass of Certificates (other than any Principal Only
Certificates), interest accrued during the related Interest Accrual Period at
the related Pass-Through Rate on the Certificate Principal Balance or Notional
Amount thereof immediately prior to such Distribution Date. Accrued Certificate
Interest will be calculated on the basis of a 360-day year, consisting of twelve
30-day months. In each case Accrued Certificate Interest on any Class or
Subclass of Certificates will be reduced by the amount of:
(i) Prepayment Interest Shortfalls on all Mortgage Loans or, if the
Mortgage Pool is comprised of two or more Loan Groups, on the
Mortgage Loans in the related Loan Group (to the extent not
offset by the Master Servicer with a payment of Compensating
Interest as provided in Section 4.01),
1
(ii) the interest portion (adjusted to the Net Mortgage Rate (or the
Modified Net Mortgage Rate in the case of a Modified Mortgage
Loan)) of Realized Losses on all Mortgage Loans or, if the
Mortgage Pool is comprised of two or more Loan Groups, on the
Mortgage Loans in the related Loan Group (including Excess
Special Hazard Losses, Excess Fraud Losses, Excess Bankruptcy
Losses and Extraordinary Losses) not allocated solely to one or
more specific Classes of Certificates pursuant to Section 4.05,
(iii) the interest portion of Advances that were (A) previously made
with respect to a Mortgage Loan or REO Property on all Mortgage
Loans or, if the Mortgage Pool is comprised of two or more Loan
Groups, on the Mortgage Loans in the related Loan Group, which
remained unreimbursed following the Cash Liquidation or REO
Disposition of such Mortgage Loan or REO Property or (B) made
with respect to delinquencies that were ultimately determined to
be Excess Special Hazard Losses, Excess Fraud Losses, Excess
Bankruptcy Losses or Extraordinary Losses, and
(iv) any other interest shortfalls not covered by the subordination
provided by the Class M Certificates and Class B Certificates,
including interest that is not collectible from the Mortgagor
pursuant to the Relief Act,
with all such reductions allocated (A) among all of the Certificates in
proportion to their respective amounts of Accrued Certificate Interest payable
on such Distribution Date absent such reductions or (B) if the Mortgage Pool is
comprised of two or more Loan Groups, the related Senior Percentage of such
reductions among the related Senior Certificates in proportion to the amounts of
Accrued Certificate Interest payable from the related Loan Group on such
Distribution Date absent such reductions, with the remainder of such reductions
allocated among the holders of the Class M Certificates and Class B Certificates
in proportion to their respective amounts of Accrued Certificate Interest
payable on such Distribution Date absent such reductions. In addition to that
portion of the reductions described in the preceding sentence that are allocated
to any Class of Class B Certificates or any Class of Class M Certificates,
Accrued Certificate Interest on such Class of Class B Certificates or such Class
of Class M Certificates will be reduced by the interest portion (adjusted to the
Net Mortgage Rate) of Realized Losses that are allocated solely to such Class of
Class B Certificates or such Class of Class M Certificates pursuant to Section
4.05.
Addendum and Assignment Agreement: The Addendum and Assignment
Agreement, dated as of January 31, 1995, between MLCC and the Master Servicer.
Additional Collateral: Any of the following held, in addition to the
related Mortgaged Property, as security for a Mortgage Loan: (i) all money,
securities, security entitlements, accounts, general intangibles, payment
rights, instruments, documents, deposit accounts, certificates of deposit,
commodities contracts and other investment property and other property of
whatever kind or description now existing or hereafter acquired which is pledged
as security for the repayment of such Mortgage Loan, (ii) third-party
2
guarantees, and (A) all money, securities, security entitlements, accounts,
general intangibles, payment rights, instruments, documents, deposit accounts,
certificates of deposit, commodities contracts and other investment property and
other property of whatever kind or description now existing or hereafter
acquired which is pledged as collateral for such guarantee or (B) any mortgaged
property securing the performance of such guarantee, or (iii) such other
collateral as may be set forth in the Series Supplement.
Additional Collateral Loan: Each Mortgage Loan that is supported by
Additional Collateral.
Adjusted Mortgage Rate: With respect to any Mortgage Loan and any date
of determination, the Mortgage Rate borne by the related Mortgage Note, less the
rate at which the related Subservicing Fee accrues.
Advance: As to any Mortgage Loan, any advance made by the Master
Servicer, pursuant to Section 4.04.
Affiliate: With respect to any Person, any other Person controlling,
controlled by or under common control with such first Person. For the purposes
of this definition, "control" means the power to direct the management and
policies of such Person, directly or indirectly, whether through the ownership
of voting securities, by contract or otherwise; and the terms "controlling" and
"controlled" have meanings correlative to the foregoing.
Ambac: Ambac Assurance Corporation (formerly known as AMBAC Indemnity
Corporation).
Amount Held for Future Distribution: As to any Distribution Date and,
with respect to any Mortgage Pool that is comprised of two or more Loan Groups,
each Loan Group, the total of the amounts held in the Custodial Account at the
close of business on the preceding Determination Date on account of (i)
Liquidation Proceeds, Subsequent Recoveries, Insurance Proceeds, Curtailments,
Mortgage Loan purchases made pursuant to Section 2.02, 2.03, 2.04 or 4.07 and
Mortgage Loan substitutions made pursuant to Section 2.03 or 2.04 received or
made in the month of such Distribution Date (other than such Liquidation
Proceeds, Insurance Proceeds and purchases of Mortgage Loans that the Master
Servicer has deemed to have been received in the preceding month in accordance
with Section 3.07(b)), and Principal Prepayments in Full made after the related
Prepayment Period, and (ii) payments which represent early receipt of scheduled
payments of principal and interest due on a date or dates subsequent to the
related Due Date.
Appraised Value: As to any Mortgaged Property, the lesser of (i) the
appraised value of such Mortgaged Property based upon the appraisal made at the
time of the origination of the related Mortgage Loan, and (ii) the sales price
of the Mortgaged Property at such time of origination, except in the case of a
Mortgaged Property securing a refinanced or modified Mortgage Loan as to which
it is either the appraised value determined above or the appraised value
determined in an appraisal at the time of refinancing or modification, as the
case may be.
3
Assigned Contracts: With respect to any Pledged Asset Loan: the Credit
Support Pledge Agreement; the Funding and Pledge Agreement, among GMAC Mortgage
Corporation, National Financial Services Corporation and the Mortgagor or other
person pledging the related Pledged Assets; the Additional Collateral Agreement,
between GMAC Mortgage Corporation and the Mortgagor or other person pledging the
related Pledged Assets; or such other contracts as may be set forth in the
Series Supplement.
Assignment: An assignment of the Mortgage, notice of transfer or
equivalent instrument, in recordable form, sufficient under the laws of the
jurisdiction wherein the related Mortgaged Property is located to reflect of
record the sale of the Mortgage Loan to the Trustee for the benefit of
Certificateholders, which assignment, notice of transfer or equivalent
instrument may be in the form of one or more blanket assignments covering
Mortgages secured by Mortgaged Properties located in the same county, if
permitted by law and accompanied by an Opinion of Counsel to that effect.
Assignment Agreement: The Assignment and Assumption Agreement, dated the
Closing Date, between Residential Funding and the Company relating to the
transfer and assignment of the Mortgage Loans.
Assignment of Proprietary Lease: With respect to a Cooperative Loan, the
assignment of the related Cooperative Lease from the Mortgagor to the originator
of the Cooperative Loan.
Available Distribution Amount: As to any Distribution Date and, with
respect to any Mortgage Pool comprised of two or more Loan Groups, each Loan
Group, an amount equal to (a) the sum of (i) the amount relating to the Mortgage
Loans on deposit in the Custodial Account as of the close of business on the
immediately preceding Determination Date, including any Subsequent Recoveries,
and amounts deposited in the Custodial Account in connection with the
substitution of Qualified Substitute Mortgage Loans, (ii) the amount of any
Advance made on the immediately preceding Certificate Account Deposit Date,
(iii) any amount deposited in the Certificate Account on the related Certificate
Account Deposit Date pursuant to the second paragraph of Section 3.12(a), (iv)
any amount deposited in the Certificate Account pursuant to Section 4.07 and any
amounts deposited in the Custodial Account pursuant to Section 9.01, (v) any
amount that the Master Servicer is not permitted to withdraw from the Custodial
Account or the Certificate Account pursuant to Section 3.16(e), (vi) any amount
received by the Trustee pursuant to the Surety Bond in respect of such
Distribution Date and (vii) the proceeds of any Pledged Assets received by the
Master Servicer, reduced by (b) the sum as of the close of business on the
immediately preceding Determination Date of (x) the Amount Held for Future
Distribution, and (y) amounts permitted to be withdrawn by the Master Servicer
from the Custodial Account in respect of the Mortgage Loans pursuant to clauses
(ii)-(x), inclusive, of Section 3.10(a). Such amount shall be determined
separately for each Loan Group. Additionally, with respect to any Mortgage Pool
that is comprised of two or more Loan Groups, if on any Distribution Date
Compensating Interest provided pursuant to Section 3.16(e) is less than
Prepayment Interest Shortfalls incurred on the Mortgage Loans in connection with
Principal Prepayments in Full received during the related Prepayment Period and
4
Curtailments made in the prior calendar month, such Compensating Interest shall
be allocated on such Distribution Date to the Available Distribution Amount for
each Loan Group on a pro rata basis in accordance with the respective amounts of
such Prepayment Interest Shortfalls incurred on the Mortgage Loans in such Loan
Group in respect of such Distribution Date.
Bankruptcy Code: The Bankruptcy Code of 1978, as amended.
Bankruptcy Loss: With respect to any Mortgage Loan, a Deficient
Valuation or Debt Service Reduction; provided, however, that neither a Deficient
Valuation nor a Debt Service Reduction shall be deemed a Bankruptcy Loss
hereunder so long as the Master Servicer has notified the Trustee in writing
that the Master Servicer is diligently pursuing any remedies that may exist in
connection with the representations and warranties made regarding the related
Mortgage Loan and either (A) the related Mortgage Loan is not in default with
regard to payments due thereunder or (B) delinquent payments of principal and
interest under the related Mortgage Loan and any premiums on any applicable
primary hazard insurance policy and any related escrow payments in respect of
such Mortgage Loan are being advanced on a current basis by the Master Servicer
or a Subservicer, in either case without giving effect to any Debt Service
Reduction.
Book-Entry Certificate: Any Certificate registered in the name of the
Depository or its nominee, and designated as such in the Preliminary Statement
to the Series Supplement.
Business Day: Any day other than (i) a Saturday or a Sunday or (ii) a
day on which banking institutions in the State of New York, the State of
Michigan, the State of California , the State of Illinois or the City of St.
Xxxx, Minnesota (and such other state or states in which the Custodial Account
or the Certificate Account are at the time located) are required or authorized
by law or executive order to be closed.
Buydown Funds: Any amount contributed by the seller of a Mortgaged
Property, the Company or other source in order to enable the Mortgagor to reduce
the payments required to be made from the Mortgagor's funds in the early years
of a Mortgage Loan. Buydown Funds are not part of the Trust Fund prior to
deposit into the Custodial or Certificate Account.
Buydown Mortgage Loan: Any Mortgage Loan as to which a specified amount
of interest is paid out of related Buydown Funds in accordance with a related
buydown agreement.
Capitalization Reimbursement Amount: As to any Distribution Date, the
amount of Advances or Servicing Advances that were added to the Stated Principal
Balance of the related Mortgage Loans during the prior calendar month and
reimbursed to the Master Servicer or Subservicer on or prior to such
Distribution Date pursuant to Section 3.10(a)(vii), plus the Capitalization
Reimbursement Shortfall Amount remaining unreimbursed from any prior
Distribution Date and reimbursed to the Master Servicer or Subservicer on or
prior to such Distribution Date.
5
Capitalization Reimbursement Shortfall Amount: As to any Distribution
Date, the amount, if any, by which the amount of Advances or Servicing Advances
that were added to the Stated Principal Balance of the Mortgage Loans during the
preceding calendar month exceeds the amount of principal payments on the
Mortgage Loans included in the Available Distribution Amount for that
Distribution Date.
Call Rights: As defined in Section 9.01(f).
Cash Liquidation: As to any defaulted Mortgage Loan other than a
Mortgage Loan as to which an REO Acquisition occurred, a determination by the
Master Servicer that it has received all Insurance Proceeds, Liquidation
Proceeds and other payments or cash recoveries which the Master Servicer
reasonably and in good faith expects to be finally recoverable with respect to
such Mortgage Loan.
Certificate Account Deposit Date: As to any Distribution Date, the
Business Day prior thereto.
Certificateholder or Holder: The Person in whose name a Certificate is
registered in the Certificate Register, and, in respect of any Insured
Certificates, the Certificate Insurer to the extent of Cumulative Insurance
Payments, except that neither a Disqualified Organization nor a Non-United
States Person shall be a holder of a Class R Certificate for purposes hereof
and, solely for the purpose of giving any consent or direction pursuant to this
Agreement, any Certificate, other than a Class R Certificate, registered in the
name of the Company, the Master Servicer or any Subservicer or any Affiliate
thereof shall be deemed not to be outstanding and the Percentage Interest or
Voting Rights evidenced thereby shall not be taken into account in determining
whether the requisite amount of Percentage Interests or Voting Rights necessary
to effect any such consent or direction has been obtained. All references herein
to "Holders" or "Certificateholders" shall reflect the rights of Certificate
Owners as they may indirectly exercise such rights through the Depository and
participating members thereof, except as otherwise specified herein; provided,
however, that the Trustee shall be required to recognize as a "Holder" or
"Certificateholder" only the Person in whose name a Certificate is registered in
the Certificate Register.
Certificate Insurer: As defined in the Series Supplement.
Certificate Owner: With respect to a Book-Entry Certificate, the Person
who is the beneficial owner of such Certificate, as reflected on the books of an
indirect participating brokerage firm for which a Depository Participant acts as
agent, if any, and otherwise on the books of a Depository Participant, if any,
and otherwise on the books of the Depository.
Certificate Principal Balance: With respect to each Certificate (other
than any Interest Only Certificate), on any date of determination, an amount
equal to:
(i) the Initial Certificate Principal Balance of such Certificate as
specified on the face thereof, plus
(ii) any Subsequent Recoveries added to the Certificate Principal
Balance of such Certificate pursuant to Section 4.02, plus
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(iii) in the case of each Accrual Certificate, an amount equal to the
aggregate Accrued Certificate Interest added to the Certificate
Principal Balance thereof prior to such date of determination,
minus
(iv) the sum of (x) the aggregate of all amounts previously
distributed with respect to such Certificate (or any predecessor
Certificate) and applied to reduce the Certificate Principal
Balance thereof pursuant to Section 4.02(a) and (y) the aggregate
of all reductions in Certificate Principal Balance deemed to have
occurred in connection with Realized Losses which were previously
allocated to such Certificate (or any predecessor Certificate)
pursuant to Section 4.05;
provided, that the Certificate Principal Balance of the Class of Subordinate
Certificates with the Lowest Priority at any given time shall be further reduced
by an amount equal to the Percentage Interest evidenced by such Certificate
multiplied by the excess, if any, of (A) the then aggregate Certificate
Principal Balance of all Classes of Certificates then outstanding over (B) the
then aggregate Stated Principal Balance of the Mortgage Loans.
Certificate Register and Certificate Registrar: The register maintained
and the registrar appointed pursuant to Section 5.02.
Class: Collectively, all of the Certificates bearing the same
designation. The initial Class A-V Certificates and any Subclass thereof issued
pursuant to Section 5.01(c) shall be a single Class for purposes of this
Agreement.
Class A-P Certificate: Any one of the Certificates designated as a Class
A-P Certificate.
Class A-P Collection Shortfall: With respect to the Cash Liquidation or
REO Disposition of a Discount Mortgage Loan and any Distribution Date, the
excess of the amount described in Section 4.02(b)(i)(C)(1) over the amount
described in Section 4.02(b)(i)(C)(2).
Class A-P Principal Distribution Amount: As defined in Section 4.02.
Class A-V Certificate: Any one of the Certificates designated as a Class
A-V Certificate, including any Subclass thereof.
Class B Certificate: Any one of the Certificates designated as a Class
B-1 Certificate, Class B-2 Certificate or Class B-3 Certificate.
Class M Certificate: Any one of the Certificates designated as a Class
M-1 Certificate, Class M-2 Certificate or Class M-3 Certificate.
Closing Date: As defined in the Series Supplement.
Code: The Internal Revenue Code of 1986.
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Combined Collateral LLC: Combined Collateral LLC, a Delaware limited
liability company.
Commission: The Securities and Exchange Commission.
Compensating Interest: With respect to any Distribution Date, an amount
equal to Prepayment Interest Shortfalls resulting from Principal Prepayments in
Full during the related Prepayment Period and Curtailments during the prior
calendar month and included in the Available Distribution Amount for such
Distribution Date, but not more than the lesser of (a) one-twelfth of 0.125% of
the Stated Principal Balance of the Mortgage Loans immediately preceding such
Distribution Date and (b) the sum of the Servicing Fee and all income and gain
on amounts held in the Custodial Account and the Certificate Account and payable
to the Certificateholders with respect to such Distribution Date; provided that
for purposes of this definition the amount of the Servicing Fee will not be
reduced pursuant to Section 7.02(a) except as may be required pursuant to the
last sentence of such paragraph.
Cooperative: A private, cooperative housing corporation which owns or
leases land and all or part of a building or buildings, including apartments,
spaces used for commercial purposes and common areas therein and whose board of
directors authorizes, among other things, the sale of Cooperative Stock.
Cooperative Apartment: A dwelling unit in a multi-dwelling building
owned or leased by a Cooperative, which unit the Mortgagor has an exclusive
right to occupy pursuant to the terms of a proprietary lease or occupancy
agreement.
Cooperative Lease: With respect to a Cooperative Loan, the proprietary
lease or occupancy agreement with respect to the Cooperative Apartment occupied
by the Mortgagor and relating to the related Cooperative Stock, which lease or
agreement confers an exclusive right to the holder of such Cooperative Stock to
occupy such apartment.
Cooperative Loans: Any of the Mortgage Loans made in respect of a
Cooperative Apartment, evidenced by a Mortgage Note and secured by (i) a
Security Agreement, (ii) the related Cooperative Stock Certificate, (iii) an
assignment of the Cooperative Lease, (iv) financing statements and (v) a stock
power (or other similar instrument), and ancillary thereto, a recognition
agreement between the Cooperative and the originator of the Cooperative Loan,
each of which was transferred and assigned to the Trustee pursuant to Section
2.01 and are from time to time held as part of the Trust Fund.
Cooperative Stock: With respect to a Cooperative Loan, the single
outstanding class of stock, partnership interest or other ownership instrument
in the related Cooperative.
Cooperative Stock Certificate: With respect to a Cooperative Loan, the
stock certificate or other instrument evidencing the related Cooperative Stock.
Credit Repository: Equifax, Transunion and Experian, or their successors
in interest.
8
Credit Support Depletion Date: The first Distribution Date on which the
Certificate Principal Balances of the Subordinate Certificates have been reduced
to zero.
Credit Support Pledge Agreement: The Credit Support Pledge Agreement,
dated as of November 24, 1998, among the Master Servicer, GMAC Mortgage
Corporation, Combined Collateral LLC and The First National Bank of Chicago (now
known as Bank One, National Association), as custodian.
Cumulative Insurance Payments: As defined in the Series Supplement.
Curtailment: Any Principal Prepayment made by a Mortgagor which is not a
Principal Prepayment in Full.
Custodial Account: The custodial account or accounts created and
maintained pursuant to Section 3.07 in the name of a depository institution, as
custodian for the holders of the Certificates, for the holders of certain other
interests in mortgage loans serviced or sold by the Master Servicer and for the
Master Servicer, into which the amounts set forth in Section 3.07 shall be
deposited directly. Any such account or accounts shall be an Eligible Account.
Custodial Agreement: An agreement that may be entered into among the
Company, the Master Servicer, the Trustee and a Custodian pursuant to which the
Custodian will hold certain documents relating to the Mortgage Loans on behalf
of the Trustee.
Custodian: A custodian appointed pursuant to a Custodial Agreement.
Cut-off Date Principal Balance: As to any Mortgage Loan, the unpaid
principal balance thereof at the Cut-off Date after giving effect to all
installments of principal due on or prior thereto (or due during the month of
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
constituting a Deficient Valuation or any reduction that results in a permanent
forgiveness of principal.
Deficient Valuation: With respect to any Mortgage Loan, a valuation by a
court of competent jurisdiction of the Mortgaged Property in an amount less than
the then outstanding indebtedness under the Mortgage Loan, or any reduction in
the amount of principal to be paid in connection with any scheduled Monthly
Payment that constitutes a permanent forgiveness of principal, which valuation
or reduction results from a proceeding under the Bankruptcy Code.
Definitive Certificate: Any Certificate other than a Book-Entry
Certificate.
Deleted Mortgage Loan: A Mortgage Loan replaced or to be replaced with a
Qualified Substitute Mortgage Loan.
9
Delinquent: As used herein, a Mortgage Loan is considered to be: "30 to
59 days" or "30 or more days" delinquent when a payment due on any scheduled due
date remains unpaid as of the close of business on the last business day
immediately prior to the next following monthly scheduled due date; "60 to 89
days" or "60 or more days" delinquent when a payment due on any scheduled due
date remains unpaid as of the close of business on the last business day
immediately prior to the second following monthly scheduled due date; and so on.
The determination as to whether a Mortgage Loan falls into these categories is
made as of the close of business on the last business day of each month. For
example, a Mortgage Loan with a payment due on July 1 that remained unpaid as of
the close of business on July 31 would then be considered to be 30 to 59 days
delinquent. Delinquency information as of the Cut-off Date is determined and
prepared as of the close of business on the last business day immediately prior
to the Cut-off Date.
Depository: The Depository Trust Company, or any successor Depository
hereafter named. The nominee of the initial Depository for purposes of
registering those Certificates that are to be Book-Entry Certificates is Cede &
Co. The Depository shall at all times be a "clearing corporation" as defined in
Section 8-102(a)(5) of the Uniform Commercial Code of the State of New York and
a "clearing agency" registered pursuant to the provisions of Section 17A of the
Securities Exchange Act of 1934, as amended.
Depository Participant: A broker, dealer, bank or other financial
institution or other Person for whom from time to time a Depository effects
book-entry transfers and pledges of securities deposited with the Depository.
Destroyed Mortgage Note: A Mortgage Note the original of which was
permanently lost or destroyed and has not been replaced.
Determination Date: As defined in the Series Supplement.
Discount Fraction: With respect to each Discount Mortgage Loan, the
fraction expressed as a percentage, the numerator of which is the Discount Net
Mortgage Rate minus the Net Mortgage Rate (or the initial Net Mortgage Rate with
respect to any Discount Mortgage Loans as to which the Mortgage Rate is modified
pursuant to 3.07(a)) for such Mortgage Loan and the denominator of which is the
Discount Net Mortgage Rate. The Discount Fraction with respect to each Discount
Mortgage Loan is set forth as an exhibit attached to the Series Supplement.
Discount Mortgage Loan: Any Mortgage Loan having a Net Mortgage Rate (or
the initial Net Mortgage Rate) of less than the Discount Net Mortgage Rate per
annum and any Mortgage Loan deemed to be a Discount Mortgage Loan pursuant to
the definition of Qualified Substitute Mortgage Loan.
Discount Net Mortgage Rate: As defined in the Series Supplement.
Disqualified Organization: Any organization defined as a "disqualified
organization" under Section 860E(e)(5) of the Code, and if not otherwise
included, any of the following: (i) the United States, any State or political
subdivision thereof, any possession of the United States, or any agency or
instrumentality of any of the foregoing (other than an instrumentality which is
a corporation if all of its activities are subject to tax and, except for
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Freddie Mac, a majority of its board of directors is not selected by such
governmental unit), (ii) a foreign government, any international organization,
or any agency or instrumentality of any of the foregoing, (iii) any organization
(other than certain farmers' cooperatives described in Section 521 of the Code)
which is exempt from the tax imposed by Chapter 1 of the Code (including the tax
imposed by Section 511 of the Code on unrelated business taxable income), (iv)
rural electric and telephone cooperatives described in Section 1381(a)(2)(C) of
the Code, (v) any "electing large partnership," as defined in Section 775(a) of
the Code and (vi) any other Person so designated by the Trustee based upon an
Opinion of Counsel that the holding of an Ownership Interest in a Class R
Certificate by such Person may cause the Trust Fund or any Person having an
Ownership Interest in any Class of Certificates (other than such Person) to
incur a liability for any federal tax imposed under the Code that would not
otherwise be imposed but for the Transfer of an Ownership Interest in a Class R
Certificate to such Person. The terms "United States", "State" and
"international organization" shall have the meanings set forth in Section 7701
of the Code or successor provisions.
Distribution Date: The 25th day of any month beginning in the month
immediately following the month of the initial issuance of the Certificates or,
if such 25th day is not a Business Day, the Business Day immediately following
such 25th day.
Due Date: With respect to any Distribution Date and any Mortgage Loan,
the day during the related Due Period on which the Monthly Payment is due.
Due Period: With respect to any Distribution Date, the one-month period
set forth in the Series Supplement.
Eligible Account: An account that is any of the following: (i)
maintained with a depository institution the debt obligations of which have been
rated by each Rating Agency in its highest rating available, or (ii) an account
or accounts in a depository institution in which such accounts are fully insured
to the limits established by the FDIC, provided that any deposits not so insured
shall, to the extent acceptable to each Rating Agency, as evidenced in writing,
be maintained such that (as evidenced by an Opinion of Counsel delivered to the
Trustee and each Rating Agency) the registered Holders of Certificates have a
claim with respect to the funds in such account or a perfected first security
interest against any collateral (which shall be limited to Permitted
Investments) securing such funds that is superior to claims of any other
depositors or creditors of the depository institution with which such account is
maintained, or (iii) in the case of the Custodial Account, a trust account or
accounts maintained in the corporate trust department of JPMorgan Chase Bank, or
(iv) in the case of the Certificate Account, a trust account or accounts
maintained in the corporate trust division of the Trustee, or (v) an account or
accounts of a depository institution acceptable to each Rating Agency (as
evidenced in writing by each Rating Agency that use of any such account as the
Custodial Account or the Certificate Account will not reduce the rating assigned
to any Class of Certificates by such Rating Agency below the lower of the
then-current rating or the rating assigned to such Certificates as of the
Closing Date by such Rating Agency).
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Event of Default: As defined in Section 7.01.
Excess Bankruptcy Loss: Any Bankruptcy Loss, or portion thereof, which
exceeds the then applicable Bankruptcy Amount.
Excess Fraud Loss: Any Fraud Loss, or portion thereof, which exceeds the
then applicable Fraud Loss Amount.
Excess Special Hazard Loss: Any Special Hazard Loss, or portion thereof,
that exceeds the then applicable Special Hazard Amount.
Excess Subordinate Principal Amount: With respect to any Distribution
Date on which the aggregate Certificate Principal Balance of the Class of
Subordinate Certificates then outstanding with the Lowest Priority is to be
reduced to zero and on which Realized Losses are to be allocated to such class
or classes, the excess, if any, of (i) the amount that would otherwise be
distributable in respect of principal on such class or classes of Certificates
on such Distribution Date over (ii) the excess, if any, of the aggregate
Certificate Principal Balance of such class or classes of Certificates
immediately prior to such Distribution Date over the aggregate amount of
Realized Losses to be allocated to such classes of Certificates on such
Distribution Date as reduced by any amount calculated pursuant to Section
4.02(b)(i)(E). With respect to any Mortgage Pool that is comprised of two or
more Loan Groups, the Excess Subordinate Principal Amount will be allocated
between each Loan Group on a pro rata basis in accordance with the amount of
Realized Losses attributable to each Loan Group and allocated to the
Certificates on such Distribution Date.
Exchange Act: The Securities and Exchange Act of 1934, as amended.
Extraordinary Events: Any of the following conditions with respect to a
Mortgaged Property (or, with respect to a Cooperative Loan, the Cooperative
Apartment) or Mortgage Loan causing or resulting in a loss which causes the
liquidation of such Mortgage Loan:
(a) losses that are of the type that would be covered by the fidelity
bond and the errors and omissions insurance policy required to be maintained
pursuant to Section 3.12(b) but are in excess of the coverage maintained
thereunder;
(b) nuclear reaction or nuclear radiation or radioactive contamination,
all whether controlled or uncontrolled, and whether such loss be direct or
indirect, proximate or remote or be in whole or in part caused by, contributed
to or aggravated by a peril covered by the definition of the term "Special
Hazard Loss";
(c) hostile or warlike action in time of peace or war, including action
in hindering, combating or defending against an actual, impending or expected
attack:
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1. by any government or sovereign power, de jure or de facto,
or by any authority maintaining or using military, naval
or air forces; or
2. by military, naval or air forces; or
3. by an agent of any such government, power, authority or
forces;
(d) any weapon of war employing atomic fission or radioactive force
whether in time of peace or war; or
(e) insurrection, rebellion, revolution, civil war, usurped power or
action taken by governmental authority in hindering, combating or defending
against such an occurrence, seizure or destruction under quarantine or customs
regulations, confiscation by order of any government or public authority; or
risks of contraband or illegal transportation or trade.
Extraordinary Losses: Any loss incurred on a Mortgage Loan caused by or
resulting from an Extraordinary Event.
Xxxxxx Xxx: Federal National Mortgage Association, a federally chartered
and privately owned corporation organized and existing under the Federal
National Mortgage Association Charter Act, or any successor thereto.
FASIT: A "financial asset securitization investment trust" within the
meaning of Section 860L of the Code.
FDIC: Federal Deposit Insurance Corporation or any successor thereto.
Final Distribution Date: The Distribution Date on which the final
distribution in respect of the Certificates will be made pursuant to Section
9.01, which Final Distribution Date shall in no event be later than the end of
the 90-day liquidation period described in Section 9.02.
Fitch: Fitch, Inc. or its successor in interest.
Form 10-K Certification: As defined in Section 4.03(e).
Foreclosure Profits: As to any Distribution Date or related
Determination Date and any Mortgage Loan, the excess, if any, of Liquidation
Proceeds, Insurance Proceeds and REO Proceeds (net of all amounts reimbursable
therefrom pursuant to Section 3.10(a)(ii)) in respect of each Mortgage Loan or
REO Property for which a Cash Liquidation or REO Disposition occurred in the
related Prepayment Period over the sum of the unpaid principal balance of such
Mortgage Loan or REO Property (determined, in the case of an REO Disposition, in
accordance with Section 3.14) plus accrued and unpaid interest at the Mortgage
Rate on such unpaid principal balance from the Due Date to which interest was
last paid by the Mortgagor to the first day of the month following the month in
which such Cash Liquidation or REO Disposition occurred.
13
Fraud Losses: Losses on Mortgage Loans as to which there was fraud in
the origination of such Mortgage Loan.
Freddie Mac: Federal Home Loan Mortgage Corporation, a corporate
instrumentality of the United States created and existing under Title III of the
Emergency Home Finance Act of 1970, as amended, or any successor thereto.
Highest Priority: As of any date of determination, the Class of
Subordinate Certificates then outstanding with a Certificate Principal Balance
greater than zero, with the earliest priority for payments pursuant to Section
4.02(a), in the following order: Class M-1, Class M-2, Class M-3, Class B-1,
Class B-2 and Class B-3 Certificates.
Independent: When used with respect to any specified Person, means such
a Person who (i) is in fact independent of the Company, the Master Servicer and
the Trustee, or any Affiliate thereof, (ii) does not have any direct financial
interest or any material indirect financial interest in the Company, the Master
Servicer or the Trustee or in an Affiliate thereof, and (iii) is not connected
with the Company, the Master Servicer or the Trustee as an officer, employee,
promoter, underwriter, trustee, partner, director or person performing similar
functions.
Initial Certificate Principal Balance: With respect to each Class of
Certificates, the Certificate Principal Balance of such Class of Certificates as
of the Cut-off Date, as set forth in the Series Supplement.
Initial Monthly Payment Fund: An amount representing scheduled principal
amortization and interest at the Net Mortgage Rate for the Due Date in the first
Due Period commencing subsequent to the Cut-off Date for those Mortgage Loans
for which the Trustee will not be entitled to receive such payment, and as more
specifically defined in the Series Supplement.
Initial Notional Amount: With respect to any Class or Subclass of
Interest Only Certificates, the amount initially used as the principal basis for
the calculation of any interest payment amount, as more specifically defined in
the Series Supplement.
Initial Subordinate Class Percentage: As defined in the Series
Supplement.
Insurance Proceeds: Proceeds paid in respect of the Mortgage Loans
pursuant to any Primary Insurance Policy or any other related insurance policy
covering a Mortgage Loan (excluding any Certificate Policy (as defined in the
Series Supplement)), to the extent such proceeds are payable to the mortgagee
under the Mortgage, any Subservicer, the Master Servicer or the Trustee and are
not applied to the restoration of the related Mortgaged Property (or, with
respect to a Cooperative Loan, the related Cooperative Apartment) or released to
the Mortgagor in accordance with the procedures that the Master Servicer would
follow in servicing mortgage loans held for its own account.
Insurer: Any named insurer under any Primary Insurance Policy or any
successor thereto or the named insurer in any replacement policy.
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Interest Accrual Period: As defined in the Series Supplement.
Interest Only Certificates: A Class or Subclass of Certificates not
entitled to payments of principal, and designated as such in the Series
Supplement. The Interest Only Certificates will have no Certificate Principal
Balance.
Interim Certification: As defined in Section 2.02.
Junior Certificateholder: The Holder of not less than 95% of the
Percentage Interests of the Junior Class of Certificates.
Junior Class of Certificates: The Class of Subordinate Certificates
outstanding as of the date of the repurchase of a Mortgage Loan pursuant to
Section 4.07 herein that has the Lowest Priority.
Late Collections: With respect to any Mortgage Loan, all amounts
received during any Due Period, whether as late payments of Monthly Payments or
as Insurance Proceeds, Liquidation Proceeds or otherwise, which represent late
payments or collections of Monthly Payments due but delinquent for a previous
Due Period and not previously recovered.
Liquidation Proceeds: Amounts (other than Insurance Proceeds) received
by the Master Servicer in connection with the taking of an entire Mortgaged
Property by exercise of the power of eminent domain or condemnation or in
connection with the liquidation of a defaulted Mortgage Loan through trustee's
sale, foreclosure sale or otherwise, other than REO Proceeds.
Loan Group: Any group of Mortgage Loans designated as a separate loan
group in the Series Supplement. The Certificates relating to each Loan Group
will be designated in the Series Supplement.
Loan-to-Value Ratio: As of any date, the fraction, expressed as a
percentage, the numerator of which is the current principal balance of the
related Mortgage Loan at the date of determination and the denominator of which
is the Appraised Value of the related Mortgaged Property.
Lower Priority: As of any date of determination and any Class of
Subordinate Certificates, any other Class of Subordinate Certificates then
outstanding with a Certificate Principal Balance greater than zero, with later
priority for payments pursuant to Section 4.02(a).
Lowest Priority: As of any date of determination, the Class of
Subordinate Certificates then outstanding with the latest priority for payments
pursuant to Section 4.02(a), in the following order: Class B-3, Class B-2, Class
B-1, Class M-3, Class M-2 and Class M-1 Certificates.
Maturity Date: The latest possible maturity date, solely for purposes of
Section 1.860G-1(a)(4)(iii) of the Treasury regulations, by which the
Certificate Principal Balance of each Class of Certificates (other than the
Interest Only Certificates which have no Certificate Principal Balance) and each
Uncertificated REMIC Regular Interest would be reduced to zero, as designated in
the Series Supplement.
15
MERS: Mortgage Electronic Registration Systems, Inc., a corporation
organized and existing under the laws of the State of Delaware, or any successor
thereto.
MERS(R) 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(R) System.
MLCC: Xxxxxxx Xxxxx Credit Corporation, or its successor in interest.
Modified Mortgage Loan: Any Mortgage Loan that has been the subject of a
Servicing Modification.
Modified Mortgage Rate: As to any Mortgage Loan that is the subject of a
Servicing Modification, the Mortgage Rate minus the rate per annum by which the
Mortgage Rate on such Mortgage Loan was reduced.
Modified Net Mortgage Rate: As to any Mortgage Loan that is the subject
of a Servicing Modification, the Net Mortgage Rate minus the rate per annum by
which the Mortgage Rate on such Mortgage Loan was reduced.
MOM Loan: With respect to any 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.
Monthly Payment: With respect to any Mortgage Loan (including any REO
Property) and any Due Date, the payment of principal and interest due thereon in
accordance with the amortization schedule at the time applicable thereto (after
adjustment, if any, for Curtailments and for Deficient Valuations occurring
prior to such Due Date but before any adjustment to such amortization schedule
by reason of any bankruptcy, other than a Deficient Valuation, or similar
proceeding or any moratorium or similar waiver or grace period and before any
Servicing Modification that constitutes a reduction of the interest rate on such
Mortgage Loan).
Moody's: Xxxxx'x Investors Service, Inc., or its successor in interest.
Mortgage: With respect to each Mortgage Note related to a Mortgage Loan
which is not a Cooperative Loan, the mortgage, deed of trust or other comparable
instrument creating a first lien on an estate in fee simple or leasehold
interest in real property securing a Mortgage Note.
Mortgage 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.
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Mortgage Loans: Such of the mortgage loans transferred and assigned to
the Trustee pursuant to Section 2.01 as from time to time are held or deemed to
be held as a part of the Trust Fund, the Mortgage Loans originally so held being
identified in the initial Mortgage Loan Schedule, and Qualified Substitute
Mortgage Loans held or deemed held as part of the Trust Fund including, without
limitation, (i) with respect to each Cooperative Loan, the related Mortgage
Note, Security Agreement, Assignment of Proprietary Lease, Cooperative Stock
Certificate, Cooperative Lease and Mortgage File and all rights appertaining
thereto, and (ii) with respect to each Mortgage Loan other than a Cooperative
Loan, each related Mortgage Note, Mortgage and Mortgage File and all rights
appertaining thereto.
Mortgage Loan Schedule: As defined in the Series Supplement.
Mortgage Note: The originally executed note or other evidence of
indebtedness evidencing the indebtedness of a Mortgagor under a Mortgage Loan,
together with any modification thereto.
Mortgage Pool: The pool of mortgage loans, including all Loan Groups, if
any, consisting of the Mortgage Loans.
Mortgage Rate: As to any Mortgage Loan, the interest rate borne by the
related Mortgage Note, or any modification thereto other than a Servicing
Modification.
Mortgaged Property: The underlying real property securing a Mortgage
Loan or, with respect to a Cooperative Loan, the related Cooperative Lease and
Cooperative Stock.
Mortgagor: The obligor on a Mortgage Note.
Net Mortgage Rate: As to each Mortgage Loan, a per annum rate of
interest equal to the Adjusted Mortgage Rate less the per annum rate at which
the Servicing Fee is calculated.
Non-Discount Mortgage Loan: A Mortgage Loan that is not a Discount
Mortgage Loan.
Non-Primary Residence Loans: The Mortgage Loans designated as secured by
second or vacation residences, or by non-owner occupied residences, on the
Mortgage Loan Schedule.
Non-United States Person: Any Person other than a United States Person.
Nonrecoverable Advance: Any Advance previously made or proposed to be
made by the Master Servicer or Subservicer in respect of a Mortgage Loan (other
than a Deleted Mortgage Loan) which, in the good faith judgment of the Master
Servicer, will not, or, in the case of a proposed Advance, would not, be
ultimately recoverable by the Master Servicer from related Late Collections,
Insurance Proceeds, Liquidation Proceeds, REO Proceeds or amounts reimbursable
to the Master Servicer pursuant to Section 4.02(a) hereof. To the extent that
any Mortgagor is not obligated under the related Mortgage documents to pay or
reimburse any portion of any Servicing Advances that are outstanding with
respect to the related Mortgage Loan as a result of a modification of such
17
Mortgage Loan by the Master Servicer, which forgives amounts which the Master
Servicer or Subservicer had previously advanced, and the Master Servicer
determines that no other source of payment or reimbursement for such advances is
available to it, such Servicing Advances shall be deemed to be Nonrecoverable
Advances. The determination by the Master Servicer that it has made a
Nonrecoverable Advance or that any proposed Advance would constitute a
Nonrecoverable Advance, shall be evidenced by an Officers' Certificate delivered
to the Company, the Trustee and any Certificate Insurer.
Nonsubserviced Mortgage Loan: Any Mortgage Loan that, at the time of
reference thereto, is not subject to a Subservicing Agreement.
Notional Amount: With respect to any Class or Subclass of Interest Only
Certificates, an amount used as the principal basis for the calculation of any
interest payment amount, as more specifically defined in the Series Supplement.
Officers' Certificate: A certificate signed by the Chairman of the
Board, the President or a Vice President or Assistant Vice President, or a
Director or Managing Director, and by the Treasurer, the Secretary, or one of
the Assistant Treasurers or Assistant Secretaries of the Company or the Master
Servicer, as the case may be, and delivered to the Trustee, as required by this
Agreement.
Opinion of Counsel: A written opinion of counsel acceptable to the
Trustee and the Master Servicer, who may be counsel for the Company or the
Master Servicer, provided that any opinion of counsel (i) referred to in the
definition of "Disqualified Organization" or (ii) relating to the qualification
of any REMIC formed under the Series Supplement or compliance with the REMIC
Provisions must, unless otherwise specified, be an opinion of Independent
counsel.
Outstanding Mortgage Loan: As to any Due Date, a Mortgage Loan
(including an REO Property) which was not the subject of a Principal Prepayment
in Full, Cash Liquidation or REO Disposition and which was not purchased,
deleted or substituted for prior to such Due Date pursuant to Section 2.02,
2.03, 2.04 or 4.07.
Ownership Interest: As to any Certificate, any ownership or security
interest in such Certificate, including any interest in such Certificate as the
Holder thereof and any other interest therein, whether direct or indirect, legal
or beneficial, as owner or as pledgee.
Pass-Through Rate: As defined in the Series Supplement.
Paying Agent: The Trustee or any successor Paying Agent appointed by the
Trustee.
Percentage Interest: With respect to any Certificate (other than a Class
R Certificate), the undivided percentage ownership interest in the related Class
evidenced by such Certificate, which percentage ownership interest shall be
equal to the Initial Certificate Principal Balance thereof or Initial Notional
Amount (in the case of any Interest Only Certificate) thereof divided by the
aggregate Initial Certificate Principal Balance or the aggregate of the Initial
18
Notional Amounts, as applicable, of all the Certificates of the same Class. With
respect to a Class R Certificate, the interest in distributions to be made with
respect to such Class evidenced thereby, expressed as a percentage, as stated on
the face of each such Certificate.
Permitted Investments: One or more of the following:
(i) obligations of or guaranteed as to principal and interest by the
United States or any agency or instrumentality thereof when such
obligations are backed by the full faith and credit of the United
States;
(ii) repurchase agreements on obligations specified in clause (i)
maturing not more than one month from the date of acquisition
thereof, provided that the unsecured obligations of the party
agreeing to repurchase such obligations are at the time rated by
each Rating Agency in its highest short-term rating available;
(iii) federal funds, certificates of deposit, demand deposits, time
deposits and bankers' acceptances (which shall each have an
original maturity of not more than 90 days and, in the case of
bankers' acceptances, shall in no event have an original maturity
of more than 365 days or a remaining maturity of more than 30
days) denominated in United States dollars of any U.S. depository
institution or trust company incorporated under the laws of the
United States or any state thereof or of any domestic branch of a
foreign depository institution or trust company; provided that
the debt obligations of such depository institution or trust
company (or, if the only Rating Agency is Standard & Poor's, in
the case of the principal depository institution in a depository
institution holding company, debt obligations of the depository
institution holding company) at the date of acquisition thereof
have been rated by each Rating Agency in its highest short-term
rating available; and provided further that, if the only Rating
Agency is Standard & Poor's and if the depository or trust
company is a principal subsidiary of a bank holding company and
the debt obligations of such subsidiary are not separately rated,
the applicable rating shall be that of the bank holding company;
and, provided further that, if the original maturity of such
short-term obligations of a domestic branch of a foreign
depository institution or trust company shall exceed 30 days, the
short-term rating of such institution shall be A-1+ in the case
of Standard & Poor's if Standard & Poor's is the Rating Agency;
(iv) commercial paper and demand notes (having original maturities of
not more than 365 days) of any corporation incorporated under the
laws of the United States or any state thereof which on the date
of acquisition has been rated by each Rating Agency in its
highest short-term rating available; provided that such
commercial paper shall have a remaining maturity of not more than
30 days;
(v) a money market fund or a qualified investment fund rated by each
Rating Agency in its highest long-term rating available; and
19
(vi) other obligations or securities that are acceptable to each
Rating Agency as a Permitted Investment hereunder and will not
reduce the rating assigned to any Class of Certificates by such
Rating Agency below the lower of the then-current rating or the
rating assigned to such Certificates as of the Closing Date by
such Rating Agency, as evidenced in writing;
provided, however, no instrument shall be a Permitted Investment if it
represents, either (1) the right to receive only interest payments with respect
to the underlying debt instrument or (2) the right to receive both principal and
interest payments derived from obligations underlying such instrument and the
principal and interest payments with respect to such instrument provide a yield
to maturity greater than 120% of the yield to maturity at par of such underlying
obligations. References herein to the highest rating available on unsecured
long-term debt shall mean AAA in the case of Standard & Poor's and Fitch and Aaa
in the case of Moody's, and references herein to the highest rating available on
unsecured commercial paper and short-term debt obligations shall mean A-1 in the
case of Standard & Poor's, P-1 in the case of Moody's and either A-1 by Standard
& Poor's, P-1 by Moody's or F-1 by Fitch in the case of Fitch; provided,
however, that any Permitted Investment that is a short-term debt obligation
rated A-1 by Standard & Poor's must satisfy the following additional conditions:
(i) the total amount of debt from A-1 issuers must be limited to the investment
of monthly principal and interest payments (assuming fully amortizing
collateral); (ii) the total amount of A-1 investments must not represent more
than 20% of the aggregate outstanding Certificate Principal Balance of the
Certificates and each investment must not mature beyond 30 days; (iii)
investments in A-1 rated securities are not eligible for the Reserve Fund; (iv)
the terms of the debt must have a predetermined fixed dollar amount of principal
due at maturity that cannot vary; and (v) if the investments may be liquidated
prior to their maturity or are being relied on to meet a certain yield, interest
must be tied to a single interest rate index plus a single fixed spread (if any)
and must move proportionately with that index.
Permitted Transferee: Any Transferee of a Class R Certificate, other
than a Disqualified Organization or Non-United States Person.
Person: Any individual, corporation, limited liability company,
partnership, joint venture, association, joint-stock company, trust,
unincorporated organization or government or any agency or political subdivision
thereof.
Pledged Amount: With respect to any Pledged Asset Loan, the amount of
money remitted to Combined Collateral LLC, at the direction of or for the
benefit of the related Mortgagor.
Pledged Asset Loan: Any Mortgage Loan supported by Pledged Assets or
such other collateral, other than the related Mortgaged Property, set forth in
the Series Supplement.
Pledged Assets: With respect to any Mortgage Loan, all money,
securities, security entitlements, accounts, general intangibles, instruments,
documents, certificates of deposit, commodities contracts and other investment
property and other property of whatever kind or description pledged by Combined
Collateral LLC as security in respect of any Realized Losses in connection with
such Mortgage Loan up to the Pledged Amount for such Mortgage Loan, and any
related collateral, or such other collateral as may be set forth in the Series
Supplement.
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Pledged Asset Mortgage Servicing Agreement: The Pledged Asset Mortgage
Servicing Agreement, dated as of February 28, 1996 between MLCC and the Master
Servicer.
Pooling and Servicing Agreement or Agreement: With respect to any
Series, this Standard Terms together with the related Series Supplement.
Pool Stated Principal Balance: As to any Distribution Date, the
aggregate of the Stated Principal Balances of each Mortgage Loan.
Pool Strip Rate: With respect to each Mortgage Loan, a per annum rate
equal to the excess of (a) the Net Mortgage Rate of such Mortgage Loan over (b)
the Discount Net Mortgage Rate (but not less than 0.00%) per annum.
Prepayment Distribution Trigger: With respect to any Distribution Date
and any Class of Subordinate Certificates (other than the Class M-1
Certificates), a test that shall be satisfied if the fraction (expressed as a
percentage) equal to the sum of the Certificate Principal Balances of such Class
and each Class of Subordinate Certificates with a Lower Priority than such Class
immediately prior to such Distribution Date divided by the aggregate Stated
Principal Balance of all of the Mortgage Loans (or related REO Properties)
immediately prior to such Distribution Date is greater than or equal to the sum
of the related Initial Subordinate Class Percentages of such Classes of
Subordinate Certificates.
Prepayment Interest Shortfall: As to any Distribution Date and any
Mortgage Loan (other than a Mortgage Loan relating to an REO Property) that was
the subject of (a) a Principal Prepayment in Full during the portion of the
related Prepayment Period that falls during the prior calendar month, an amount
equal to the excess of one month's interest at the Net Mortgage Rate (or
Modified Net Mortgage Rate in the case of a Modified Mortgage Loan) on the
Stated Principal Balance of such Mortgage Loan over the amount of interest
(adjusted to the Net Mortgage Rate (or Modified Net Mortgage Rate in the case of
a Modified Mortgage Loan)) paid by the Mortgagor for such month to the date of
such Principal Prepayment in Full or (b) a Curtailment during the prior calendar
month, an amount equal to one month's interest at the Net Mortgage Rate (or
Modified Net Mortgage Rate in the case of a Modified Mortgage Loan) on the
amount of such Curtailment.
Prepayment Period: As to any Distribution Date and Principal Prepayment
in Full, the period commencing on the 16th day of the month prior to the month
prior to the month in which that Distribution Date occurs and ending on the 15th
day of the month in which such Distribution Date occurs.
Primary Insurance Policy: Each primary policy of mortgage guaranty
insurance or any replacement policy therefor referred to in Section 2.03(b)(iv)
and (v).
21
Principal Only Certificates: A Class of Certificates not entitled to
payments of interest, and more specifically designated as such in the Series
Supplement.
Principal Prepayment: Any payment of principal or other recovery on a
Mortgage Loan, including a recovery that takes the form of Liquidation Proceeds
or Insurance Proceeds, which is received in advance of its scheduled Due Date
and is not accompanied by an amount as to interest representing scheduled
interest on such payment due on any date or dates in any month or months
subsequent to the month of prepayment.
Principal Prepayment in Full: Any Principal Prepayment of the entire
principal balance of a Mortgage Loan that is made by the Mortgagor.
Program Guide: Collectively, the Client Guide and the Servicer Guide for
Residential Funding's mortgage loan purchase and conduit servicing program and
all supplements and amendments thereto published by Residential Funding from
time to time.
Purchase Price: With respect to any Mortgage Loan (or REO Property)
required to be or otherwise purchased on any date pursuant to Section 2.02,
2.03, 2.04 or 4.07, an amount equal to the sum of (i) 100% of the Stated
Principal Balance thereof plus the principal portion of any related unreimbursed
Advances and (ii) unpaid accrued interest at the Adjusted Mortgage Rate (or
Modified Net Mortgage Rate plus the rate per annum at which the Servicing Fee is
calculated in the case of a Modified Mortgage Loan) (or at the Net Mortgage Rate
(or Modified Net Mortgage Rate in the case of a Modified Mortgage Loan) in the
case of a purchase made by the Master Servicer) on the Stated Principal Balance
thereof to the Due Date in the Due Period related to the Distribution Date
occurring in the month following the month of purchase from the Due Date to
which interest was last paid by the Mortgagor.
Qualified Substitute Mortgage Loan: A Mortgage Loan substituted by
Residential Funding or the Company for a Deleted Mortgage Loan which must, on
the date of such substitution, as confirmed in an Officers' Certificate
delivered to the Trustee, with a copy to the Custodian,
(i) have an outstanding principal balance, after deduction of the
principal portion of the monthly payment due in the month of
substitution (or in the case of a substitution of more than one
Mortgage Loan for a Deleted Mortgage Loan, an aggregate
outstanding principal balance, after such deduction), not in
excess of the Stated Principal Balance of the Deleted Mortgage
Loan (the amount of any shortfall to be deposited by Residential
Funding in the Custodial Account in the month of substitution);
(ii) have a Mortgage Rate and a Net Mortgage Rate no lower than and
not more than 1% per annum higher than the Mortgage Rate and Net
Mortgage Rate, respectively, of the Deleted Mortgage Loan as of
the date of substitution;
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(iii) have a Loan-to-Value Ratio at the time of substitution no higher
than that of the Deleted Mortgage Loan at the time of
substitution;
(iv) have a remaining term to stated maturity not greater than (and
not more than one year less than) that of the Deleted Mortgage
Loan;
(v) comply with each representation and warranty set forth in
Sections 2.03 and 2.04 hereof and Section 4 of the Assignment
Agreement; and
(vi) have a Pool Strip Rate equal to or greater than that of the
Deleted Mortgage Loan.
Notwithstanding any other provisions herein, (x) with respect to any Qualified
Substitute Mortgage Loan substituted for a Deleted Mortgage Loan which was a
Discount Mortgage Loan, such Qualified Substitute Mortgage Loan shall be deemed
to be a Discount Mortgage Loan and to have a Discount Fraction equal to the
Discount Fraction of the Deleted Mortgage Loan and (y) in the event that the
"Pool Strip Rate" of any Qualified Substitute Mortgage Loan as calculated
pursuant to the definition of "Pool Strip Rate" is greater than the Pool Strip
Rate of the related Deleted Mortgage Loan
(i) the Pool Strip Rate of such Qualified Substitute Mortgage Loan
shall be equal to the Pool Strip Rate of the related Deleted
Mortgage Loan for purposes of calculating the Pass-Through Rate
on the Class A-V Certificates and
(ii) the excess of the Pool Strip Rate on such Qualified Substitute
Mortgage Loan as calculated pursuant to the definition of "Pool
Strip Rate" over the Pool Strip Rate on the related Deleted
Mortgage Loan shall be payable to the Class R Certificates
pursuant to Section 4.02 hereof.
Rating Agency: Each of the statistical credit rating agencies specified
in the Preliminary Statement of the Series Supplement. If any agency or a
successor is no longer in existence, "Rating Agency" shall be such statistical
credit rating agency, or other comparable Person, designated by the Company,
notice of which designation shall be given to the Trustee and the Master
Servicer.
Realized Loss: With respect to each Mortgage Loan (or REO Property):
(a) as to which a Cash Liquidation or REO Disposition has occurred, an
amount (not less than zero) equal to (i) the Stated Principal Balance of the
Mortgage Loan (or REO Property) as of the date of Cash Liquidation or REO
Disposition, plus (ii) interest (and REO Imputed Interest, if any) at the Net
Mortgage Rate from the Due Date as to which interest was last paid or advanced
to Certificateholders up to the Due Date in the Due Period related to the
Distribution Date on which such Realized Loss will be allocated pursuant to
Section 4.05 on the Stated Principal Balance of such Mortgage Loan (or REO
Property) outstanding during each Due Period that such interest was not paid or
advanced, minus (iii) the proceeds, if any, received during the month in which
such Cash Liquidation (or REO Disposition) occurred, to the extent applied as
23
recoveries of interest at the Net Mortgage Rate and to principal of the Mortgage
Loan, net of the portion thereof reimbursable to the Master Servicer or any
Subservicer with respect to related Advances, Servicing Advances or other
expenses as to which the Master Servicer or Subservicer is entitled to
reimbursement thereunder but which have not been previously reimbursed,
(b) which is the subject of a Servicing Modification, (i) (1) the amount
by which the interest portion of a Monthly Payment or the principal balance of
such Mortgage Loan was reduced or (2) the sum of any other amounts owing under
the Mortgage Loan that were forgiven and that constitute Servicing Advances that
are reimbursable to the Master Servicer or a Subservicer, and (ii) any such
amount with respect to a Monthly Payment that was or would have been due in the
month immediately following the month in which a Principal Prepayment or the
Purchase Price of such Mortgage Loan is received or is deemed to have been
received,
(c) which has become the subject of a Deficient Valuation, the
difference between the principal balance of the Mortgage Loan outstanding
immediately prior to such Deficient Valuation and the principal balance of the
Mortgage Loan as reduced by the Deficient Valuation, or
(d) which has become the object of a Debt Service Reduction, the amount
of such Debt Service Reduction.
Notwithstanding the above, neither a Deficient Valuation nor a Debt Service
Reduction shall be deemed a Realized Loss hereunder so long as the Master
Servicer has notified the Trustee in writing that the Master Servicer is
diligently pursuing any remedies that may exist in connection with the
representations and warranties made regarding the related Mortgage Loan and
either (A) the related Mortgage Loan is not in default with regard to payments
due thereunder or (B) delinquent payments of principal and interest under the
related Mortgage Loan and any premiums on any applicable primary hazard
insurance policy and any related escrow payments in respect of such Mortgage
Loan are being advanced on a current basis by the Master Servicer or a
Subservicer, in either case without giving effect to any Debt Service Reduction.
To the extent the Master 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 reduce the
Certificate Principal Balance of any Class of Certificates on any Distribution
Date.
Record Date: With respect to each Distribution Date, the close of
business on the last Business Day of the month next preceding the month in which
the related Distribution Date occurs.
Regular Certificate: Any of the Certificates other than a Class R
Certificate.
Relief Act: The Servicemembers Civil Relief Act or similar legislation
or regulations as in effect from time to time.
24
Relief Act Shortfalls: Shortfalls in interest payable by a Mortgagor
that are not collectible from the Mortgagor pursuant to the Relief Act.
REMIC: A "real estate mortgage investment conduit" within the meaning of
Section 860D of the Code.
REMIC Administrator: Residential Funding Corporation. If Residential
Funding Corporation is found by a court of competent jurisdiction to no longer
be able to fulfill its obligations as REMIC Administrator under this Agreement
the Master Servicer or Trustee acting as Master Servicer shall appoint a
successor REMIC Administrator, subject to assumption of the REMIC Administrator
obligations under this Agreement.
REMIC Provisions: Provisions of the federal income tax law relating to
real estate mortgage investment conduits, which appear at Sections 860A through
860G of Subchapter M of Chapter 1 of the Code, and related provisions, and
temporary and final regulations (or, to the extent not inconsistent with such
temporary or final regulations, proposed regulations) and published rulings,
notices and announcements promulgated thereunder, as the foregoing may be in
effect from time to time.
REO Acquisition: The acquisition by the Master Servicer on behalf of the
Trustee for the benefit of the Certificateholders of any REO Property pursuant
to Section 3.14.
REO Disposition: As to any REO Property, a determination by the Master
Servicer that it has received all Insurance Proceeds, Liquidation Proceeds, REO
Proceeds and other payments and recoveries (including proceeds of a final sale)
which the Master Servicer expects to be finally recoverable from the sale or
other disposition of the REO Property.
REO Imputed Interest: As to any REO Property, for any period, an amount
equivalent to interest (at the Net Mortgage Rate that would have been applicable
to the related Mortgage Loan had it been outstanding) on the unpaid principal
balance of the Mortgage Loan as of the date of acquisition thereof for such
period.
REO Proceeds: Proceeds, net of expenses, received in respect of any REO
Property (including, without limitation, proceeds from the rental of the related
Mortgaged Property or, with respect to a Cooperative Loan, the related
Cooperative Apartment) which proceeds are required to be deposited into the
Custodial Account only upon the related REO Disposition.
REO Property: A Mortgaged Property acquired by the Master Servicer
through foreclosure or deed in lieu of foreclosure in connection with a
defaulted Mortgage Loan.
Reportable Modified Mortgage Loan: Any Mortgage Loan that (i) has been
subject to an interest rate reduction, (ii) has been subject to a term extension
or (iii) has had amounts owing on such Mortgage Loan capitalized by adding such
amount to the Stated Principal Balance of such Mortgage Loan; provided, however,
that a Mortgage Loan modified in accordance with clause (i) above for a
temporary period shall not be a Reportable Modified Mortgage Loan if such
Mortgage Loan has not been delinquent in payments of principal and interest for
six months since the date of such modification if that interest rate reduction
is not made permanent thereafter.
25
Request for Release: A request for release, the forms of which are
attached as Exhibit F hereto, or an electronic request in a form acceptable to
the Custodian.
Required Insurance Policy: With respect to any Mortgage Loan, any
insurance policy which is required to be maintained from time to time under this
Agreement, the Program Guide or the related Subservicing Agreement in respect of
such Mortgage Loan.
Required Surety Payment: With respect to any Additional Collateral Loan
that becomes a Liquidated Mortgage Loan, the lesser of (i) the principal portion
of the Realized Loss with respect to such Mortgage Loan and (ii) the excess, if
any, of (a) the amount of Additional Collateral required at origination with
respect to such Mortgage Loan over (b) the net proceeds realized by the
Subservicer from the related Additional Collateral.
Residential Funding: Residential Funding Corporation, a Delaware
corporation, in its capacity as seller of the Mortgage Loans to the Company and
not in its capacity as Master Servicer, and any successor thereto.
Responsible Officer: When used with respect to the Trustee, any officer
of the Corporate Trust Department of the Trustee, including any Senior Vice
President, any Vice President, any Assistant Vice President, any Assistant
Secretary, any Trust Officer or Assistant Trust Officer with particular
responsibility for this transaction, or any other officer of the Trustee
customarily performing functions similar to those performed by any of the above
designated officers to whom, with respect to a particular matter, such matter is
referred.
Retail Certificates: A Senior Certificate, if any, offered in smaller
minimum denominations than other Senior Certificates, and designated as such in
the Series Supplement.
Schedule of Discount Fractions: The schedule setting forth the Discount
Fractions with respect to the Discount Mortgage Loans, attached as an exhibit to
the Series Supplement.
Security Agreement: With respect to a Cooperative Loan, the agreement
creating a security interest in favor of the originator in the related
Cooperative Stock.
Seller: As to any Mortgage Loan, a Person, including any Subservicer,
that executed a Seller's Agreement applicable to such Mortgage Loan.
Seller's Agreement: An agreement for the origination and sale of
Mortgage Loans generally in the form of the Seller Contract referred to or
contained in the Program Guide, or in such other form as has been approved by
the Master Servicer and the Company, each containing representations and
warranties in respect of one or more Mortgage Loans consistent in all material
respects with those set forth in the Program Guide.
26
Senior Accelerated Distribution Percentage: With respect to any
Distribution Date occurring on or prior to the 60th Distribution Date and, with
respect to any Mortgage Pool comprised of two or more Loan Groups, any Loan
Group, 100%. With respect to any Distribution Date thereafter and any such Loan
Group, if applicable, as follows:
(i) for any Distribution Date after the 60th Distribution Date but on
or prior to the 72nd Distribution Date, the related Senior
Percentage for such Distribution Date plus 70% of the related
Subordinate Percentage for such Distribution Date;
(ii) for any Distribution Date after the 72nd Distribution Date but on
or prior to the 84th Distribution Date, the related Senior
Percentage for such Distribution Date plus 60% of the related
Subordinate Percentage for such Distribution Date;
(iii) for any Distribution Date after the 84th Distribution Date but on
or prior to the 96th Distribution Date, the related Senior
Percentage for such Distribution Date plus 40% of the related
Subordinate Percentage for such Distribution Date;
(iv) for any Distribution Date after the 96th Distribution Date but on
or prior to the 108th Distribution Date, the related Senior
Percentage for such Distribution Date plus 20% of the related
Subordinate Percentage for such Distribution Date; and
(v) for any Distribution Date thereafter, the Senior Percentage for
such Distribution Date;
provided, however,
(i) that any scheduled reduction to the Senior Accelerated
Distribution Percentage described above shall not occur as of any
Distribution Date unless either
(a)(1)(X) the outstanding principal balance of the Mortgage Loans
delinquent 60 days or more averaged over the last six months, as a
percentage of the aggregate outstanding Certificate Principal Balance of
the Subordinate Certificates, is less than 50% or (Y) the outstanding
principal balance of Mortgage Loans delinquent 60 days or more averaged
over the last six months, as a percentage of the aggregate outstanding
principal balance of all Mortgage Loans averaged over the last six
months, does not exceed 2% and (2) Realized Losses on the Mortgage Loans
to date for such Distribution Date if occurring during the sixth,
seventh, eighth, ninth or tenth year (or any year thereafter) after the
Closing Date are less than 30%, 35%, 40%, 45% or 50%, respectively, of
the sum of the Initial Certificate Principal Balances of the Subordinate
Certificates or
(b)(1) the outstanding principal balance of Mortgage Loans
delinquent 60 days or more averaged over the last six months, as a
percentage of the aggregate outstanding principal balance of all
Mortgage Loans averaged over the last six months, does not exceed 4% and
(2) Realized Losses on the Mortgage Loans to date for such Distribution
Date, if occurring during the sixth, seventh, eighth, ninth or tenth
year (or any year thereafter) after the Closing Date are less than 10%,
15%, 20%, 25% or 30%, respectively, of the sum of the Initial
Certificate Principal Balances of the Subordinate Certificates, and
27
(ii) that for any Distribution Date on which the Senior Percentage is
greater than the Percentage as of the Closing Date, the Senior
Accelerated Distribution Percentage for such Distribution Date
shall be 100%, or, if the Mortgage Pool is comprised of two or
more Loan Groups, for any Distribution Date on which the
weighted average of the Senior Percentages for each Loan Group,
weighted on the basis of the Stated Principal Balances of the
Mortgage Loans in the related Loan Group, exceeds the weighted
average of the initial Senior Percentages (calculated on such
basis) for each Loan Group, each of the Senior Accelerated
Distribution Percentages for such Distribution Date will equal
100%.
Notwithstanding the foregoing, upon the reduction of the Certificate Principal
Balances of the related Senior Certificates (other than the Class A-P
Certificates, if any) to zero, the related Senior Accelerated Distribution
Percentage shall thereafter be 0%.
Senior Certificate: As defined in the Series Supplement.
Senior Percentage: As defined in the Series Supplement.
Senior Support Certificate: A Senior Certificate that provides
additional credit enhancement to certain other classes of Senior Certificates
and designated as such in the Preliminary Statement of the Series Supplement.
Series: All of the Certificates issued pursuant to a Pooling and
Servicing Agreement and bearing the same series designation.
Series Supplement: The agreement into which this Standard Terms is
incorporated and pursuant to which, together with this Standard Terms, a Series
of Certificates is issued.
Servicing Accounts: The account or accounts created and maintained
pursuant to Section 3.08.
Servicing Advances: All customary, reasonable and necessary "out of
pocket" costs and expenses incurred in connection with a default, delinquency or
other unanticipated event by the Master Servicer or a Subservicer in the
performance of its servicing obligations, including, but not limited to, the
cost of (i) the preservation, restoration and protection of a Mortgaged Property
or, with respect to a Cooperative Loan, the related Cooperative Apartment, (ii)
any enforcement or judicial proceedings, including foreclosures, including any
expenses incurred in relation to any such proceedings that result from the
Mortgage Loan being registered on the MERS System, (iii) the management and
liquidation of any REO Property, (iv) any mitigation procedures implemented in
accordance with Section 3.07, and (v) compliance with the obligations under
Sections 3.01, 3.08, 3.12(a) and 3.14, including, if the Master Servicer or any
Affiliate of the Master Servicer provides services such as appraisals and
brokerage services that are customarily provided by Persons other than servicers
of mortgage loans, reasonable compensation for such services.
28
Servicing Fee: With respect to any Mortgage Loan and Distribution Date,
the fee payable monthly to the Master Servicer in respect of master servicing
compensation that accrues at an annual rate designated on the Mortgage Loan
Schedule as the "MSTR SERV FEE" for such Mortgage Loan, as may be adjusted with
respect to successor Master Servicers as provided in Section 7.02.
Servicing Modification: Any reduction of the interest rate on or the
outstanding principal balance of a Mortgage Loan, any extension of the final
maturity date of a Mortgage Loan, and any increase to the outstanding principal
balance of a Mortgage Loan by adding to the Stated Principal Balance unpaid
principal and interest and other amounts owing under the Mortgage Loan, in each
case pursuant to a modification of a Mortgage Loan that is in default, or for
which, in the judgment of the Master Servicer, default is reasonably
foreseeable, in accordance with Section 3.07(a).
Servicing Officer: Any officer of the Master Servicer involved in, or
responsible for, the administration and servicing of the Mortgage Loans whose
name and specimen signature appear on a list of servicing officers furnished to
the Trustee by the Master Servicer, as such list may from time to time be
amended.
Special Hazard Loss: Any Realized Loss not in excess of the cost of the
lesser of repair or replacement of a Mortgaged Property (or, with respect to a
Cooperative Loan, the related Cooperative Apartment) suffered by such Mortgaged
Property (or Cooperative Apartment) on account of direct physical loss,
exclusive of (i) any loss of a type covered by a hazard policy or a flood
insurance policy required to be maintained in respect of such Mortgaged Property
pursuant to Section 3.12(a), except to the extent of the portion of such loss
not covered as a result of any coinsurance provision and (ii) any Extraordinary
Loss.
Standard & Poor's: Standard & Poor's, a division of The XxXxxx-Xxxx
Companies, Inc., or its successor in interest.
Stated Principal Balance: With respect to any Mortgage Loan or related
REO Property, at any given time, (i) the sum of (a) the Cut-off Date Principal
Balance of the Mortgage Loan plus (b) any amount by which the Stated Principal
Balance of the Mortgage Loan is increased pursuant to a Servicing Modification,
minus (ii) the sum of (a) the principal portion of the Monthly Payments due with
respect to such Mortgage Loan or REO Property during each Due Period ending
prior to the most recent Distribution Date which were received or with respect
to which an Advance was made, and (b) all Principal Prepayments with respect to
such Mortgage Loan or REO Property, and all Insurance Proceeds, Liquidation
Proceeds and REO Proceeds, to the extent applied by the Master Servicer as
recoveries of principal in accordance with Section 3.14 with respect to such
Mortgage Loan or REO Property, in each case which were distributed pursuant to
Section 4.02 on any previous Distribution Date, and (c) any Realized Loss
allocated to Certificateholders with respect thereto for any previous
Distribution Date.
29
Subclass: With respect to the Class A-V Certificates, any Subclass
thereof issued pursuant to Section 5.01(c). Any such Subclass will represent the
Uncertificated Class A-V REMIC Regular Interest or Interests specified by the
initial Holder of the Class A-V Certificates pursuant to Section 5.01(c).
Subordinate Certificate: Any one of the Class M Certificates or Class B
Certificates, executed by the Trustee and authenticated by the Certificate
Registrar substantially in the form annexed hereto as Exhibit B and Exhibit C,
respectively.
Subordinate Class Percentage: With respect to any Distribution Date and
any Class of Subordinate Certificates, a fraction, expressed as a percentage,
the numerator of which is the aggregate Certificate Principal Balance of such
Class of Subordinate Certificates immediately prior to such date and the
denominator of which is the aggregate Stated Principal Balance of all of the
Mortgage Loans (or related REO Properties) (other than the related Discount
Fraction of each Discount Mortgage Loan) immediately prior to such Distribution
Date.
Subordinate Percentage: As of any Distribution Date and, with respect to
any Mortgage Pool comprised of two or more Loan Groups, any Loan Group, 100%
minus the related Senior Percentage as of such Distribution Date.
Subsequent Recoveries: As of any Distribution Date, amounts received by
the Master Servicer (net of any related expenses permitted to be reimbursed
pursuant to Section 3.10) or surplus amounts held by the Master Servicer to
cover estimated expenses (including, but not limited to, recoveries in respect
of the representations and warranties made by the related Seller pursuant to the
applicable Seller's Agreement and assigned to the Trustee pursuant to Section
2.04) specifically related to a Mortgage Loan that was the subject of a Cash
Liquidation or an REO Disposition prior to the related Prepayment Period that
resulted in a Realized Loss.
Subserviced Mortgage Loan: Any Mortgage Loan that, at the time of
reference thereto, is subject to a Subservicing Agreement.
Subservicer: Any Person with whom the Master Servicer has entered into a
Subservicing Agreement and who generally satisfied the requirements set forth in
the Program Guide in respect of the qualification of a Subservicer as of the
date of its approval as a Subservicer by the Master Servicer.
Subservicer Advance: Any delinquent installment of principal and
interest on a Mortgage Loan which is advanced by the related Subservicer (net of
its Subservicing Fee) pursuant to the Subservicing Agreement.
Subservicing Account: An account established by a Subservicer in
accordance with Section 3.08.
Subservicing Agreement: The written contract between the Master Servicer
and any Subservicer relating to servicing and administration of certain Mortgage
Loans as provided in Section 3.02, generally in the form of the servicer
contract referred to or contained in the Program Guide or in such other form as
has been approved by the Master Servicer and the Company. With respect to
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Additional Collateral Loans subserviced by MLCC, the Subservicing Agreement
shall also include the Addendum and Assignment Agreement and the Pledged Asset
Mortgage Servicing Agreement. With respect to any Pledged Asset Loan subserviced
by GMAC Mortgage Corporation, the Addendum and Assignment Agreement, dated as of
November 24, 1998, between the Master Servicer and GMAC Mortgage Corporation, as
such agreement may be amended from time to time.
Subservicing Fee: As to any Mortgage Loan, the fee payable monthly to
the related Subservicer (or, in the case of a Nonsubserviced Mortgage Loan, to
the Master Servicer) in respect of subservicing and other compensation that
accrues at an annual rate equal to the excess of the Mortgage Rate borne by the
related Mortgage Note over the rate per annum designated on the Mortgage Loan
Schedule as the "CURR NET" for such Mortgage Loan.
Surety: Ambac, or its successors in interest, or such other surety as
may be identified in the Series Supplement.
Surety Bond: The Limited Purpose Surety Bond (Policy No. AB0039BE),
dated February 28, 1996 in respect to Mortgage Loans originated by MLCC, or the
Surety Bond (Policy No. AB0240BE), dated March 17, 1999 in respect to Mortgage
Loans originated by Novus Financial Corporation, in each case issued by Ambac
for the benefit of certain beneficiaries, including the Trustee for the benefit
of the Holders of the Certificates, but only to the extent that such Surety Bond
covers any Additional Collateral Loans, or such other Surety Bond as may be
identified in the Series Supplement.
Tax Returns: The federal income tax return on Internal Revenue Service
Form 1066, U.S. Real Estate Mortgage Investment Conduit Income Tax Return,
including Schedule Q thereto, Quarterly Notice to Residual Interest Holders of
REMIC Taxable Income or Net Loss Allocation, or any successor forms, to be filed
on behalf of any REMIC formed under the Series Supplement and under the REMIC
Provisions, together with any and all other information, reports or returns that
may be required to be furnished to the Certificateholders or filed with the
Internal Revenue Service or any other governmental taxing authority under any
applicable provisions of federal, state or local tax laws.
Transfer: Any direct or indirect transfer, sale, pledge, hypothecation
or other form of assignment of any Ownership Interest in a Certificate.
Transferee: Any Person who is acquiring by Transfer any Ownership
Interest in a Certificate.
Transferor: Any Person who is disposing by Transfer of any Ownership
Interest in a Certificate.
Trust Fund: The segregated pool of assets consisting of:
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(i) the Mortgage Loans and the related Mortgage Files and collateral
securing such Mortgage Loans,
(ii) all payments on and collections in respect of the Mortgage Loans
due after the Cut-off Date (other than Monthly Payments due in
the month of the Cut-Off Date) as shall be on deposit in the
Custodial Account or in the Certificate Account and identified as
belonging to the Trust Fund, including the proceeds from the
liquidation of Additional Collateral for any Additional
Collateral Loan or Pledged Assets for any Pledged Asset Loan, but
not including amounts on deposit in the Initial Monthly Payment
Fund,
(iii) property that secured a Mortgage Loan and that has been acquired
for the benefit of the Certificateholders by foreclosure or deed
in lieu of foreclosure,
(iv) the hazard insurance policies and Primary Insurance Policies, if
any, the Pledged Assets with respect to each Pledged Asset Loan,
and the interest in the Surety Bond transferred to the Trustee
pursuant to Section 2.01,
(v) the Initial Monthly Payment Fund, and
(vi) all proceeds of clauses (i) through (v) above.
Underwriter: As defined in the Series Supplement.
Uniform Single Attestation Program for Mortgage Bankers: The Uniform
Single Attestation Program for Mortgage Bankers, as published by the Mortgage
Bankers Association of America and effective with respect to fiscal periods
ending on or after December 15, 1995.
Uninsured Cause: Any cause of damage to property subject to a Mortgage
such that the complete restoration of such property is not fully reimbursable by
the hazard insurance policies.
United States Person: A citizen or resident of the United States, a
corporation, partnership or other entity created or organized in, or under the
laws of, the United States, provided that, for purposes solely of the
restrictions on the transfer of residual interests, 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 operating agreement to be United States Persons, any state thereof,
or the District of Columbia (except in the case of a partnership, to the extent
provided in Treasury regulations) or any political subdivision thereof, or an
estate that is described in Section 7701(a)(30)(D) of the Code, or a trust that
is described in Section 7701(a)(30)(E) of the Code.
Voting Rights: The portion of the voting rights of all of the
Certificates which is allocated to any Certificate, and more specifically
designated in Article XI of the Series Supplement.
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Section 1.02 Use of Words and Phrases.
"Herein," "hereby," "hereunder," 'hereof," "hereinbefore," "hereinafter"
and other equivalent words refer to the Pooling and Servicing Agreement as a
whole. All references herein to Articles, Sections or Subsections shall mean the
corresponding Articles, Sections and Subsections in the Pooling and Servicing
Agreement. The definition set forth herein include both the singular and the
plural.
ARTICLE II
CONVEYANCE OF MORTGAGE LOANS;
ORIGINAL ISSUANCE OF CERTIFICATES
Section 2.01 Conveyance of Mortgage Loans.
(a) The Company, concurrently with the execution and delivery hereof,
does hereby assign to the Trustee without recourse all the right, title and
interest of the Company in and to the Mortgage Loans, including all interest and
principal received on or with respect to the Mortgage Loans after the Cut-off
Date (other than payments of principal and interest due on the Mortgage Loans in
the month of the Cut-off Date). In connection with such transfer and assignment,
the Company does hereby deliver to the Trustee the Certificate Policy (as
defined in the Series Supplement), if any. The Company, the Master Servicer and
the Trustee agree that it is not intended that any mortgage loan be included in
the Trust that is (i) a "High-Cost Home Loan" as defined in the New Jersey Home
Ownership Act effective November 27, 2003, (ii) a "High-Cost Home Loan" as
defined in the New Mexico Home Loan Protection Act effective January 1, 2004 or
(iii) a "High Cost Home Mortgage Loan" as defined in the Massachusetts Predatory
Home Practices Act effective November 7, 2004.
(b) In connection with such assignment, except as set forth in Section
2.01(c) and subject to Section 2.01(d) below, the Company does hereby deliver
to, and deposit with, the Trustee, or to and with one or more Custodians, as the
duly appointed agent or agents of the Trustee for such purpose, the following
documents or instruments (or copies thereof as permitted by this Section) (I)
with respect to each Mortgage Loan so assigned (other than a Cooperative Loan):
(i) The original Mortgage Note, endorsed without recourse to the order of
the Trustee and showing an unbroken chain of endorsements from the
originator thereof to the Person endorsing it to the Trustee, or with
respect to any Destroyed Mortgage Note, an original lost note affidavit
from the related Seller or Residential Funding stating that the original
Mortgage Note was lost, misplaced or destroyed, together with a copy of
the related Mortgage Note;
(ii) The original Mortgage, 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 indicated
thereon or a copy of the Mortgage with evidence of recording indicated
thereon;
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(iii) Unless the Mortgage Loan is registered on the MERS(R) System, an
original Assignment of the Mortgage to the Trustee with evidence of
recording indicated thereon or a copy of such assignment with evidence
of recording indicated thereon;
(iv) The original recorded assignment or assignments of the Mortgage showing
an unbroken chain of title from the originator thereof to the Person
assigning it to the Trustee (or to MERS, if the Mortgage Loan is
registered on the MERS(R) System and noting the presence of a MIN) with
evidence of recordation noted thereon or attached thereto, or a copy of
such assignment or assignments of the Mortgage with evidence of
recording indicated thereon; and
(v) The original of each modification, assumption agreement or preferred
loan agreement, if any, relating to such Mortgage Loan or a copy of each
modification, assumption agreement or preferred loan agreement.
and (II) with respect to each Cooperative Loan so assigned:
(i) The original Mortgage Note, endorsed without recourse to the
order of the Trustee and showing an unbroken chain of endorsements from
the originator thereof to the Person endorsing it to the Trustee, or
with respect to any Destroyed Mortgage Note, an original lost note
affidavit from the related Seller or Residential Funding stating that
the original Mortgage Note was lost, misplaced or destroyed, together
with a copy of the related Mortgage Note;
(ii) A counterpart of the Cooperative Lease and the Assignment of
Proprietary Lease to the originator of the Cooperative Loan with
intervening assignments showing an unbroken chain of title from such
originator to the Trustee;
(iii) The related Cooperative Stock Certificate, representing the
related Cooperative Stock pledged with respect to such Cooperative Loan,
together with an undated stock power (or other similar instrument)
executed in blank;
(iv) The original recognition agreement by the Cooperative of the
interests of the mortgagee with respect to the related Cooperative Loan;
(v) The Security Agreement;
(vi) Copies of the original UCC-1 financing statement, and any
continuation statements, filed by the originator of such Cooperative
Loan as secured party, each with evidence of recording thereof,
evidencing the interest of the originator under the Security Agreement
and the Assignment of Proprietary Lease;
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(vii) Copies of the filed UCC-3 assignments of the security
interest referenced in clause (vi) above showing an unbroken chain of
title from the originator to the Trustee, each with evidence of
recording thereof, evidencing the interest of the originator under the
Security Agreement and the Assignment of Proprietary Lease;
(viii) An executed assignment of the interest of the originator
in the Security Agreement, Assignment of Proprietary Lease and the
recognition agreement referenced in clause (iv) above, showing an
unbroken chain of title from the originator to the Trustee;
(ix) The original of each modification, assumption agreement or
preferred loan agreement, if any, relating to such Cooperative Loan; and
(x) A duly completed UCC-1 financing statement showing the Master
Servicer as debtor, the Company as secured party and the Trustee as
assignee and a duly completed UCC-1 financing statement showing the
Company as debtor and the Trustee as secured party, each in a form
sufficient for filing, evidencing the interest of such debtors in the
Cooperative Loans.
(c) The Company may, in lieu of delivering the original of the documents
set forth in Section 2.01(b)(I)(ii), (iii), (iv) and (v) and Section
(b)(II)(ii), (iv), (vii), (ix) and (x) (or copies thereof as permitted by
Section 2.01(b)) to the Trustee or the Custodian or Custodians, deliver such
documents to the Master Servicer, and the Master Servicer shall hold such
documents in trust for the use and benefit of all present and future
Certificateholders until such time as is set forth in the next sentence. Within
thirty Business Days following the earlier of (i) the receipt of the original of
all of the documents or instruments set forth in Section 2.01(b)(I)(ii), (iii),
(iv) and (v) and Section (b)(II)(ii), (iv), (vii), (ix) and (x) (or copies
thereof as permitted by such Section) for any Mortgage Loan and (ii) a written
request by the Trustee to deliver those documents with respect to any or all of
the Mortgage Loans then being held by the Master Servicer, the Master Servicer
shall deliver a complete set of such documents to the Trustee or the Custodian
or Custodians that are the duly appointed agent or agents of the Trustee.
(d) Notwithstanding the provisions of Section 2.01(c), in connection
with any Mortgage Loan, if the Company cannot deliver the original of the
Mortgage, any assignment, modification, assumption agreement or preferred loan
agreement (or copy thereof as permitted by Section 2.01(b)) with evidence of
recording thereon concurrently with the execution and delivery of this Agreement
because of (i) a delay caused by the public recording office where such
Mortgage, assignment, modification, assumption agreement or preferred loan
agreement as the case may be, has been delivered for recordation, or (ii) a
delay in the receipt of certain information necessary to prepare the related
assignments, the Company shall deliver or cause to be delivered to the Trustee
or the respective Custodian a copy of such Mortgage, assignment, modification,
assumption agreement or preferred loan agreement.
The Company shall promptly cause to be recorded in the appropriate
public office for real property records the Assignment referred to in clause
(I)(iii) of Section 2.01(b), except (a) in states where, in the opinion of
counsel acceptable to the Master Servicer, such recording is not required to
protect the Trustee's interests in the Mortgage Loan against the claim of any
35
subsequent transferee or any successor to or creditor of the Company or the
originator of such Mortgage Loan or (b) if MERS is identified on the Mortgage or
on a properly recorded assignment of the Mortgage as the mortgagee of record
solely as nominee for the Seller and its successors and assigns, and shall
promptly cause to be filed the Form UCC-3 assignment and UCC-1 financing
statement referred to in clause (II)(vii) and (x), respectively, of Section
2.01(b). If any Assignment, Form UCC-3 or Form UCC-1, as applicable, is lost or
returned unrecorded to the Company because of any defect therein, the Company
shall prepare a substitute Assignment, Form UCC-3 or Form UCC-1, as applicable,
or cure such defect, as the case may be, and cause such Assignment to be
recorded in accordance with this paragraph. The Company shall promptly deliver
or cause to be delivered to the Trustee or the respective Custodian such
Mortgage or Assignment or Form UCC-3 or Form UCC-1, as applicable, (or copy
thereof as permitted by Section 2.01(b)) with evidence of recording indicated
thereon at the time specified in Section 2.01(c). In connection with its
servicing of Cooperative Loans, the Master Servicer will use its best efforts to
file timely continuation statements with regard to each financing statement and
assignment relating to Cooperative Loans as to which the related Cooperative
Apartment is located outside of the State of New York.
If the Company delivers to the Trustee or Custodian any Mortgage Note or
Assignment of Mortgage in blank, the Company shall, or shall cause the Custodian
to, complete the endorsement of the Mortgage Note and the Assignment of Mortgage
in the name of the Trustee in conjunction with the Interim Certification issued
by the Custodian, as contemplated by Section 2.02.
Any of the items set forth in Sections 2.01(b)(I)(ii), (iii), (iv) and
(v) and (II)(vi) and (vii) and that may be delivered as a copy rather than the
original may be delivered to the Trustee or the Custodian.
In connection with the assignment of any Mortgage Loan registered on the
MERS(R) System, the Company further agrees that it will cause, at the Company's
own expense, within 30 Business Days after the Closing Date, the MERS(R) System
to indicate that such Mortgage Loans have been assigned by the Company to the
Trustee in accordance with this Agreement for the benefit of the
Certificateholders by including (or deleting, in the case of Mortgage Loans
which are repurchased in accordance with this Agreement) in such computer files
(a) the code in the field which identifies the specific Trustee and (b) the code
in the field "Pool Field" which identifies the series of the Certificates issued
in connection with such Mortgage Loans. The Company further agrees that it will
not, and will not permit the Master Servicer to, and the Master Xxxxxxxx agrees
that it will not, alter the codes referenced in this paragraph with respect to
any Mortgage Loan during the term of this Agreement unless and until such
Mortgage Loan is repurchased in accordance with the terms of this Agreement.
(e) Residential Funding hereby assigns to the Trustee its security interest in
and to any Additional Collateral or Pledged Assets, its right to receive amounts
due or to become due in respect of any Additional Collateral or Pledged Assets
pursuant to the related Subservicing Agreement and its rights as beneficiary
under the Surety Bond in respect of any Additional Collateral Loans. With
36
respect to any Additional Collateral Loan or Pledged Asset Loan, Residential
Funding shall cause to be filed in the appropriate recording office a UCC-3
statement giving notice of the assignment of the related security interest to
the Trust Fund and shall thereafter cause the timely filing of all necessary
continuation statements with regard to such financing statements.
(f) It is intended that the conveyance by the Company to the Trustee of
the Mortgage Loans as provided for in this Section 2.01 be and the
Uncertificated REMIC Regular Interests, if any (as provided for in Section
2.06), be construed as a sale by the Company to the Trustee of the Mortgage
Loans and any Uncertificated REMIC Regular Interests for the benefit of the
Certificateholders. Further, it is not intended that such conveyance be deemed
to be a pledge of the Mortgage Loans and any Uncertificated REMIC Regular
Interests by the Company to the Trustee to secure a debt or other obligation of
the Company. However, if the Mortgage Loans and any Uncertificated REMIC Regular
Interests are held to be property of the Company or of Residential Funding, or
if for any reason this Agreement is held or deemed to create a security interest
in the Mortgage Loans and any Uncertificated REMIC Regular Interests, then it is
intended that (a) this Agreement shall be a security agreement within the
meaning of Articles 8 and 9 of the New York Uniform Commercial Code and the
Uniform Commercial Code of any other applicable jurisdiction; (b) the conveyance
provided for in Section 2.01 shall be deemed to be, and hereby is, (1) a grant
by the Company to the Trustee of a security interest in all of the Company's
right (including the power to convey title thereto), title and interest, whether
now owned or hereafter acquired, in and to any and all general intangibles,
payment intangibles, accounts, chattel paper, instruments, documents, money,
deposit accounts, certificates of deposit, goods, letters of credit, advices of
credit and investment property and other property of whatever kind or
description now existing or hereafter acquired consisting of, arising from or
relating to any of the following: (A) the Mortgage Loans, including (i) with
respect to each Cooperative Loan, the related Mortgage Note, Security Agreement,
Assignment of Proprietary Lease, Cooperative Stock Certificate and Cooperative
Lease, (ii) with respect to each Mortgage Loan other than a Cooperative Loan,
the related Mortgage Note and Mortgage, and (iii) any insurance policies and all
other documents in the related Mortgage File, (B) all amounts payable pursuant
to the Mortgage Loans in accordance with the terms thereof, (C) any
Uncertificated REMIC Regular Interests and (D) all proceeds of the conversion,
voluntary or involuntary, of the foregoing into cash, instruments, securities or
other property, including without limitation all amounts from time to time held
or invested in the Certificate Account or the Custodial Account, whether in the
form of cash, instruments, securities or other property and (2) an assignment by
the Company to the Trustee of any security interest in any and all of
Residential Funding's right (including the power to convey title thereto), title
and interest, whether now owned or hereafter acquired, in and to the property
described in the foregoing clauses (1)(A), (B), (C) and (D) granted by
Residential Funding to the Company pursuant to the Assignment Agreement; (c) the
possession by the Trustee, the Custodian or any other agent of the Trustee of
Mortgage Notes or such other items of property as constitute instruments, money,
payment intangibles, negotiable documents, goods, deposit accounts, letters of
credit, advices of credit, investment property, certificated securities or
chattel paper shall be deemed to be "possession by the secured party," or
possession by a purchaser or a person designated by such secured party, for
37
purposes of perfecting the security interest pursuant to the Minnesota Uniform
Commercial Code and the Uniform Commercial Code of any other applicable
jurisdiction as in effect (including, without limitation, Sections 8-106, 9-313
and 9-106 thereof); and (d) notifications to persons holding such property, and
acknowledgments, receipts or confirmations from persons holding such property,
shall be deemed notifications to, or acknowledgments, receipts or confirmations
from, securities intermediaries, bailees or agents of, or persons holding for
(as applicable) the Trustee for the purpose of perfecting such security interest
under applicable law.
The Company and, at the Company's direction, Residential Funding and the
Trustee shall, to the extent consistent with this Agreement, take such
reasonable actions as may be necessary to ensure that, if this Agreement were
determined to create a security interest in the Mortgage Loans, any
Uncertificated REMIC Regular Interests and the other property described above,
such security interest would be determined to be a perfected security interest
of first priority under applicable law and will be maintained as such throughout
the term of this Agreement. Without limiting the generality of the foregoing,
the Company shall prepare and deliver to the Trustee not less than 15 days prior
to any filing date and, the Trustee shall forward for filing, or shall cause to
be forwarded for filing, at the expense of the Company, all filings necessary to
maintain the effectiveness of any original filings necessary under the Uniform
Commercial Code as in effect in any jurisdiction to perfect the Trustee's
security interest in or lien on the Mortgage Loans and any Uncertificated REMIC
Regular Interests, as evidenced by an Officers' Certificate of the Company,
including without limitation (x) continuation statements, and (y) such other
statements as may be occasioned by (1) any change of name of Residential
Funding, the Company or the Trustee (such preparation and filing shall be at the
expense of the Trustee, if occasioned by a change in the Trustee's name), (2)
any change of location of the place of business or the chief executive office of
Residential Funding or the Company, (3) any transfer of any interest of
Residential Funding or the Company in any Mortgage Loan or (4) any transfer of
any interest of Residential Funding or the Company in any Uncertificated REMIC
Regular Interest.
(g) The Master Servicer hereby acknowledges the receipt by it of the
Initial Monthly Payment Fund. The Master Servicer shall hold such Initial
Monthly Payment Fund in the Custodial Account and shall include such Initial
Monthly Payment Fund in the Available Distribution Amount for the initial
Distribution Date. Notwithstanding anything herein to the contrary, the Initial
Monthly Payment Fund shall not be an asset of any REMIC. To the extent that the
Initial Monthly Payment Fund constitutes a reserve fund for federal income tax
purposes, (1) it shall be an outside reserve fund and not an asset of any REMIC,
(2) it shall be owned by the Seller and (3) amounts transferred by any REMIC to
the Initial Monthly Payment Fund shall be treated as transferred to the Seller
or any successor, all within the meaning of Section 1.860G-2(h) of the Treasury
Regulations.
(h) The Company agrees that the sale of each Pledged Asset Loan pursuant
to this Agreement will also constitute the assignment, sale, setting-over,
transfer and conveyance to the Trustee, without recourse (but subject to the
Company's covenants, representations and warranties specifically provided
herein), of all of the Company's obligations and all of the Company's right,
title and interest in, to and under, whether now existing or hereafter acquired
as owner of the Mortgage Loan with respect to all money, securities, security
entitlements, accounts, general intangibles, instruments, documents,
certificates of deposit, commodities contracts, and other investment property
and other property of whatever kind or description consisting of, arising from
or related to (i) the Assigned Contracts, (ii) all rights, powers and remedies
of the Company as owner of such Mortgage Loan under or in connection with the
Assigned Contracts, whether arising under the terms of such Assigned Contracts,
by statute, at law or in equity, or otherwise arising out of any default by the
Mortgagor under or in connection with the Assigned Contracts, including all
rights to exercise any election or option or to make any decision or
38
determination or to give or receive any notice, consent, approval or waiver
thereunder, (iii) all security interests in and lien of the Company as owner of
such Mortgage Loan in the Pledged Amounts and all money, securities, security
entitlements, accounts, general intangibles, instruments, documents,
certificates of deposit, commodities contracts, and other investment property
and other property of whatever kind or description and all cash and non-cash
proceeds of the sale, exchange, or redemption of, and all stock or conversion
rights, rights to subscribe, liquidation dividends or preferences, stock
dividends, rights to interest, dividends, earnings, income, rents, issues,
profits, interest payments or other distributions of cash or other property that
is credited to the Custodial Account, (iv) all documents, books and records
concerning the foregoing (including all computer programs, tapes, disks and
related items containing any such information) and (v) all insurance proceeds
(including proceeds from the Federal Deposit Insurance Corporation or the
Securities Investor Protection Corporation or any other insurance company) of
any of the foregoing or replacements thereof or substitutions therefor, proceeds
of proceeds and the conversion, voluntary or involuntary, of any thereof. The
foregoing transfer, sale, assignment and conveyance does not constitute and is
not intended to result in the creation, or an assumption by the Trustee, of any
obligation of the Company, or any other person in connection with the Pledged
Assets or under any agreement or instrument relating thereto, including any
obligation to the Mortgagor, other than as owner of the Mortgage Loan.
Section 2.02 Acceptance by Trustee.
The Trustee acknowledges receipt (or, with respect to Mortgage Loans
subject to a Custodial Agreement, and based solely upon a receipt or
certification executed by the Custodian, receipt by the respective Custodian as
the duly appointed agent of the Trustee) of the documents referred to in Section
2.01(b)(I)(i) and Section 2.01(b)(II)(i), (iii), (v), (vi) and (viii) above
(except that for purposes of such acknowledgment only, a Mortgage Note may be
endorsed in blank) and declares that it, or a Custodian as its agent, holds and
will hold such documents and the other documents constituting a part of the
Mortgage Files delivered to it, or a Custodian as its agent, and the rights of
Residential Funding with respect to any Pledged Assets, Additional Collateral
and the Surety Bond assigned to the Trustee pursuant to Section 2.01, in trust
for the use and benefit of all present and future Certificateholders. The
Trustee or Custodian (such Custodian being so obligated under a Custodial
Agreement) agrees, for the benefit of Certificateholders, to review each
Mortgage File delivered to it pursuant to Section 2.01(b) within 45 days after
the Closing Date to ascertain that all required documents (specifically as set
forth in Section 2.01(b)), have been executed and received, and that such
39
documents relate to the Mortgage Loans identified on the Mortgage Loan Schedule,
as supplemented, that have been conveyed to it, and to deliver to the Trustee a
certificate (the "Interim Certification") to the effect that all documents
required to be delivered pursuant to Section 2.01(b) above have been executed
and received and that such documents relate to the Mortgage Loans identified on
the Mortgage Loan Schedule, except for any exceptions listed on Schedule A
attached to such Interim Certification. Upon delivery of the Mortgage Files by
the Company or the Master Servicer, the Trustee shall acknowledge receipt (or,
with respect to Mortgage Loans subject to a Custodial Agreement, and based
solely upon a receipt or certification executed by the Custodian, receipt by the
respective Custodian as the duly appointed agent of the Trustee) of the
documents referred to in Section 2.01(c) above.
If the Custodian, as the Trustee's agent, finds any document or
documents constituting a part of a Mortgage File to be missing or defective, the
Trustee shall promptly so notify the Master Servicer and the Company. Pursuant
to Section 2.3 of the Custodial Agreement, the Custodian will notify the Master
Servicer, the Company and the Trustee of any such omission or defect found by it
in respect of any Mortgage File held by it in respect of the items reviewed by
it pursuant to the Custodial Agreement. If such omission or defect materially
and adversely affects the interests of the Certificateholders, the Master
Servicer shall promptly notify the related Subservicer or Seller of such
omission or defect and request that such Subservicer or Seller correct or cure
such omission or defect within 60 days from the date the Master Servicer was
notified of such omission or defect and, if such Subservicer or Seller does not
correct or cure such omission or defect within such period, that such
Subservicer or Seller purchase such Mortgage Loan from the Trust Fund at its
Purchase Price, in either case within 90 days from the date the Master Servicer
was notified of such omission or defect; provided that if the omission or defect
would cause the Mortgage Loan to be other than a "qualified mortgage" as defined
in Section 860G(a)(3) of the Code, any such cure or repurchase must occur within
90 days from the date such breach was discovered. The Purchase Price for any
such Mortgage Loan, whether purchased by the Seller or the Subservicer, shall be
deposited or caused to be deposited by the Master Servicer in the Custodial
Account maintained by it pursuant to Section 3.07 and, upon receipt by the
Trustee of written notification of such deposit signed by a Servicing Officer,
the Trustee or any Custodian, as the case may be, shall release to the Master
Servicer the related Mortgage File and the Trustee shall execute and deliver
such instruments of transfer or assignment prepared by the Master Servicer, in
each case without recourse, as shall be necessary to vest in the Seller or its
designee or the Subservicer or its designee, as the case may be, any Mortgage
Loan released pursuant hereto and thereafter such Mortgage Loan shall not be
part of the Trust Fund. In furtherance of the foregoing, if the Subservicer or
Seller that repurchases the Mortgage Loan is not a member of MERS and the
Mortgage is registered on the MERS(R) System, the Master Servicer, 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 such Subservicer or Seller and shall cause such Mortgage
to be removed from registration on the MERS(R) System in accordance with MERS'
rules and regulations. It is understood and agreed that the obligation of the
Seller or the Subservicer, as the case may be, to so cure or purchase any
Mortgage Loan as to which a material and adverse defect in or omission of a
constituent document exists shall constitute the sole remedy respecting such
defect or omission available to Certificateholders or the Trustee on behalf of
the Certificateholders.
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Section 2.03 Representations, Warranties and Covenants of the Master Servicer
and the Company.
(a) The Master Servicer hereby represents and warrants to the Trustee
for the benefit of the Certificateholders that:
(i) The Master Servicer is a corporation duly organized, validly existing
and in good standing under the laws governing its creation and existence
and is or will be in compliance with the laws of each state in which any
Mortgaged Property is located to the extent necessary to ensure the
enforceability of each Mortgage Loan in accordance with the terms of
this Agreement;
(ii) The execution and delivery of this Agreement by the Master Servicer and
its performance and compliance with the terms of this Agreement will not
violate the Master Servicer's Certificate of Incorporation or Bylaws or
constitute a material default (or an event which, with notice or lapse
of time, or both, would constitute a material default) under, or result
in the material breach of, any material contract, agreement or other
instrument to which the Master Servicer is a party or which may be
applicable to the Master Servicer or any of its assets;
(iii) This Agreement, assuming due authorization, execution and delivery by
the Trustee and the Company, constitutes a valid, legal and binding
obligation of the Master Servicer, enforceable against it in accordance
with the terms hereof subject to applicable bankruptcy, insolvency,
reorganization, moratorium and other laws affecting the enforcement of
creditors' rights generally and to general principles of equity,
regardless of whether such enforcement is considered in a proceeding in
equity or at law;
(iv) The Master Servicer is not in default with respect to any order or
decree of any court or any order, regulation or demand of any federal,
state, municipal or governmental agency, which default might have
consequences that would materially and adversely affect the condition
(financial or other) or operations of the Master Servicer or its
properties or might have consequences that would materially adversely
affect its performance hereunder;
(v) No litigation is pending or, to the best of the Master Servicer's
knowledge, threatened against the Master Servicer which would prohibit
its entering into this Agreement or performing its obligations under
this Agreement;
(vi) The Master Servicer will comply in all material respects in the
performance of this Agreement with all reasonable rules and requirements
of each insurer under each Required Insurance Policy;
(vii) No information, certificate of an officer, statement furnished in
writing or report delivered to the Company, any Affiliate of the Company
or the Trustee by the Master Servicer will, to the knowledge of the
Master Servicer, contain any untrue statement of a material fact or omit
a material fact necessary to make the information, certificate,
statement or report not misleading;
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(viii) The Master Servicer has examined each existing, and will examine each
new, Subservicing Agreement and is or will be familiar with the terms
thereof. The terms of each existing Subservicing Agreement and each
designated Subservicer are acceptable to the Master Servicer and any new
Subservicing Agreements will comply with the provisions of Section 3.02;
and
(ix) The Master Servicer is a member of MERS in good standing, and will
comply in all material respects with the rules and procedures of MERS in
connection with the servicing of the Mortgage Loans that are registered
with MERS.
It is understood and agreed that the representations and warranties set
forth in this Section 2.03(a) shall survive delivery of the respective
Mortgage Files to the Trustee or any Custodian.
Upon discovery by either the Company, the Master Servicer, the Trustee
or any Custodian of a breach of any representation or warranty set forth in this
Section 2.03(a) which materially and adversely affects the interests of the
Certificateholders in any Mortgage Loan, the party discovering such breach shall
give prompt written notice to the other parties (any Custodian being so
obligated under a Custodial Agreement). Within 90 days of its discovery or its
receipt of notice of such breach, the Master Servicer shall either (i) cure such
breach in all material respects or (ii) to the extent that such breach is with
respect to a Mortgage Loan or a related document, purchase such Mortgage Loan
from the Trust Fund at the Purchase Price and in the manner set forth in Section
2.02; provided that if the omission or defect would cause the Mortgage Loan to
be other than a "qualified mortgage" as defined in Section 860G(a)(3) of the
Code, any such cure or repurchase must occur within 90 days from the date such
breach was discovered. The obligation of the Master Servicer to cure such breach
or to so purchase such Mortgage Loan shall constitute the sole remedy in respect
of a breach of a representation and warranty set forth in this Section 2.03(a)
available to the Certificateholders or the Trustee on behalf of the
Certificateholders.
(b) Representations and warranties relating to the Mortgage Loans are
set forth in Section 2.03(b) of the Series Supplement.
Section 2.04 Representations and Warranties of Sellers.
The Company, as assignee of Residential Funding under the Assignment
Agreement, hereby assigns to the Trustee for the benefit of Certificateholders
all of its right, title and interest in respect of the Assignment Agreement and
each Seller's Agreement (to the extent assigned to the Company pursuant to the
Assignment Agreement) applicable to a Mortgage Loan. Insofar as the Assignment
Agreement or the Company's rights under such Seller's Agreement relate to the
representations and warranties made by Residential Funding or the related Seller
in respect of such Mortgage Loan and any remedies provided thereunder for any
breach of such representations and warranties, such right, title and interest
may be enforced by the Master Servicer on behalf of the Trustee and the
Certificateholders. Upon the discovery by the Company, the Master Servicer, the
Trustee or any Custodian of a breach of any of the representations and
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warranties made in a Seller's Agreement that have been assigned to the Trustee
pursuant to this Section 2.04 or of a breach of any of the representations and
warranties made in the Assignment Agreement (which, for purposes hereof, will be
deemed to include any other cause giving rise to a repurchase obligation under
the Assignment Agreement) in respect of any Mortgage Loan which materially and
adversely affects the interests of the Certificateholders in such Mortgage Loan,
the party discovering such breach shall give prompt written notice to the other
parties (any Custodian being so obligated under a Custodial Agreement). The
Master Servicer shall promptly notify the related Seller or Residential Funding,
as the case may be, of such breach and request that such Seller or Residential
Funding, as the case may be, either (i) cure such breach in all material
respects within 90 days from the date the Master Servicer was notified of such
breach or (ii) purchase such Mortgage Loan from the Trust Fund at the Purchase
Price and in the manner set forth in Section 2.02; provided that in the case of
a breach under the Assignment Agreement Residential Funding shall have the
option to substitute a Qualified Substitute Mortgage Loan or Loans for such
Mortgage Loan if such substitution occurs within two years following the Closing
Date; provided that if the breach would cause the Mortgage Loan to be other than
a "qualified mortgage" as defined in Section 860G(a)(3) of the Code, any such
cure, repurchase or substitution must occur within 90 days from the date the
breach was discovered. If the breach of representation and warranty that gave
rise to the obligation to repurchase or substitute a Mortgage Loan pursuant to
Section 4 of the Assignment Agreement was the representation and warranty set
forth in clause (xxxi) of Section 4 thereof, then the Master Servicer shall
request that Residential Funding pay to the Trust Fund, concurrently with and in
addition to the remedies provided in the preceding sentence, an amount equal to
any liability, penalty or expense that was actually incurred and paid out of or
on behalf of the Trust Fund, and that directly resulted from such breach, or if
incurred and paid by the Trust Fund thereafter, concurrently with such payment.
In the event that Residential Funding elects to substitute a Qualified
Substitute Mortgage Loan or Loans for a Deleted Mortgage Loan pursuant to this
Section 2.04, Residential Funding shall deliver to the Trustee for the benefit
of the Certificateholders with respect to such Qualified Substitute Mortgage
Loan or Loans, the original Mortgage Note, the Mortgage, an Assignment of the
Mortgage in recordable form if required pursuant to Section 2.01, and such other
documents and agreements as are required by Section 2.01, with the Mortgage Note
endorsed as required by Section 2.01. No substitution will be made in any
calendar month after the Determination Date for such month. Monthly Payments due
with respect to Qualified Substitute Mortgage Loans in the month of substitution
shall not be part of the Trust Fund and will be retained by the Master Servicer
and remitted by the Master Servicer to Residential Funding on the next
succeeding Distribution Date. For the month of substitution, distributions to
the Certificateholders will include the Monthly Payment due on a Deleted
Mortgage Loan for such month and thereafter Residential Funding shall be
entitled to retain all amounts received in respect of such Deleted Mortgage
Loan. The Master Servicer shall amend or cause to be amended the Mortgage Loan
Schedule, and, if the Deleted Mortgage Loan was a Discount Mortgage Loan, the
Schedule of Discount Fractions, for the benefit of the Certificateholders to
reflect the removal of such Deleted Mortgage Loan and the substitution of the
Qualified Substitute Mortgage Loan or Loans and the Master Servicer shall
deliver the amended Mortgage Loan Schedule, and, if the Deleted Mortgage Loan
was a Discount Mortgage Loan, the amended Schedule of Discount Fractions, to the
Trustee. Upon such substitution, the Qualified Substitute Mortgage Loan or Loans
shall be subject to the terms of this Agreement and the related Subservicing
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Agreement in all respects, the related Seller shall be deemed to have made the
representations and warranties with respect to the Qualified Substitute Mortgage
Loan contained in the related Seller's Agreement as of the date of substitution,
insofar as Residential Funding's rights in respect of such representations and
warranties are assigned to the Company pursuant to the Assignment Agreement, and
the Company and the Master Servicer shall be deemed to have made with respect to
any Qualified Substitute Mortgage Loan or Loans, as of the date of substitution,
the covenants, representations and warranties set forth in this Section 2.04, in
Section 2.03 hereof and in Section 4 of the Assignment Agreement, and the Master
Servicer shall be obligated to repurchase or substitute for any Qualified
Substitute Mortgage Loan as to which a Repurchase Event (as defined in the
Assignment Agreement) has occurred pursuant to Section 4 of the Assignment
Agreement.
In connection with the substitution of one or more Qualified Substitute
Mortgage Loans for one or more Deleted Mortgage Loans, the Master Servicer will
determine the amount (if any) by which the aggregate principal balance of all
such Qualified Substitute Mortgage Loans as of the date of substitution is less
than the aggregate Stated Principal Balance of all such Deleted Mortgage Loans
(in each case after application of the principal portion of the Monthly Payments
due in the month of substitution that are to be distributed to the
Certificateholders in the month of substitution). Residential Funding shall
deposit the amount of such shortfall into the Custodial Account on the day of
substitution, without any reimbursement therefor. Residential Funding shall give
notice in writing to the Trustee of such event, which notice shall be
accompanied by an Officers' Certificate as to the calculation of such shortfall
and (subject to Section 10.01(f)) by an Opinion of Counsel to the effect that
such substitution will not cause (a) any federal tax to be imposed on the Trust
Fund, including without limitation, any federal tax imposed on "prohibited
transactions" under Section 860F(a)(1) of the Code or on "contributions after
the startup date" under Section 860G(d)(1) of the Code or (b) any portion of any
REMIC to fail to qualify as such at any time that any Certificate is
outstanding.
It is understood and agreed that the obligation of the Seller or
Residential Funding, as the case may be, to cure such breach or purchase (or in
the case of Residential Funding to substitute for) such Mortgage Loan as to
which such a breach has occurred and is continuing and to make any additional
payments required under the Assignment Agreement in connection with a breach of
the representation and warranty in clause (xxxi) of Section 4 thereof shall
constitute the sole remedy respecting such breach available to the
Certificateholders or the Trustee on behalf of Certificateholders. If the Master
Servicer is Residential Funding, then the Trustee shall also have the right to
give the notification and require the purchase or substitution provided for in
the second preceding paragraph in the event of such a breach of a representation
or warranty made by Residential Funding in the Assignment Agreement. In
connection with the purchase of or substitution for any such Mortgage Loan by
Residential Funding, the Trustee shall assign to Residential Funding all of the
Trustee's right, title and interest in respect of the Seller's Agreement and the
Assignment Agreement applicable to such Mortgage Loan.
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Section 2.05 Execution and Authentication of Certificates/Issuance of
Certificates Evidencing Interests in REMIC I.
As provided in Section 2.05 of the Series Supplement.
Section 2.06 Conveyance of Uncertificated REMIC I and REMIC II Regular
Interests; Acceptance by the Trustee.
As provided in Section 2.06 of the Series Supplement.
Section 2.07 Issuance of Certificates Evidencing Interests in REMIC II.
As provided in Section 2.07 of the Series Supplement.
Section 2.08 Purposes and Powers of the Trust.
The purpose of the trust, as created hereunder, is to engage in the
following activities:
(a) to sell the Certificates to the Company in exchange for the Mortgage Loans;
(b) to enter into and perform its obligations under this Agreement;
(c) to engage in those activities that are necessary, suitable or convenient to
accomplish the foregoing or are incidental thereto or connected therewith; and
(d) subject to compliance with this Agreement, to engage in such other
activities as may be required in connection with conservation of the Trust Fund
and the making of distributions to the Certificateholders.
The trust is hereby authorized to engage in the foregoing activities.
Notwithstanding the provisions of Section 11.01, the trust shall not engage in
any activity other than in connection with the foregoing or other than as
required or authorized by the terms of this Agreement while any Certificate is
outstanding, and this Section 2.08 may not be amended, without the consent of
the Certificateholders evidencing a majority of the aggregate Voting Rights of
the Certificates.
ARTICLE III
ADMINISTRATION AND SERVICING
OF MORTGAGE LOANS
Section 3.01 Master Servicer to Act as Servicer.
(a) The Master Servicer shall service and administer the Mortgage Loans in
accordance with the terms of this Agreement and the respective Mortgage Loans
and shall have full power and authority, acting alone or through Subservicers as
provided in Section 3.02, to do any and all things which it may deem necessary
or desirable in connection with such servicing and administration. Without
limiting the generality of the foregoing, the Master Servicer in its own name or
in the name of a Subservicer is hereby authorized and empowered by the Trustee
when the Master Servicer or the Subservicer, as the case may be, believes it
appropriate in its best judgment, to execute and deliver, on behalf of the
Certificateholders and the Trustee or any of them, any and all instruments of
45
satisfaction or cancellation, or of partial or full release or discharge, or of
consent to assumption or modification in connection with a proposed conveyance,
or of assignment of any Mortgage and Mortgage Note in connection with the
repurchase of a Mortgage Loan and all other comparable instruments, or with
respect to the modification or re-recording of a Mortgage for the purpose of
correcting the Mortgage, the subordination of the lien of the Mortgage in favor
of a public utility company or government agency or unit with powers of eminent
domain, the taking of a deed in lieu of foreclosure, the commencement,
prosecution or completion of judicial or non-judicial foreclosure, the
conveyance of a Mortgaged Property to the related Insurer, the acquisition of
any property acquired by foreclosure or deed in lieu of foreclosure, or the
management, marketing and conveyance of any property acquired by foreclosure or
deed in lieu of foreclosure with respect to the Mortgage Loans and with respect
to the Mortgaged Properties. The Master 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 Subservicer, when the Master Servicer or
the Subservicer, as the case may be, believes it is appropriate in its best
judgment to register any Mortgage Loan on the MERS(R) System, or cause the
removal from the registration of any Mortgage Loan on the MERS(R) 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
expenses incurred in connection with the actions described in the preceding
sentence shall be borne by the Master Servicer in accordance with Section
3.16(c), with no right of reimbursement; provided, that if, as a result of MERS
discontinuing or becoming unable to continue operations in connection with the
MERS System, it becomes necessary to remove any Mortgage Loan from registration
on the MERS System and to arrange for the assignment of the related Mortgages to
the Trustee, then any related expenses shall be reimbursable to the Master
Servicer. Notwithstanding the foregoing, subject to Section 3.07(a), the Master
Servicer shall not permit any modification with respect to any Mortgage Loan
that would both constitute a sale or exchange of such Mortgage Loan within the
meaning of Section 1001 of the Code and any proposed, temporary or final
regulations promulgated thereunder (other than in connection with a proposed
conveyance or assumption of such Mortgage Loan that is treated as a Principal
Prepayment in Full pursuant to Section 3.13(d) hereof) and cause any REMIC
formed under the Series Supplement to fail to qualify as a REMIC under the Code.
The Trustee shall furnish the Master Servicer with any powers of attorney and
other documents necessary or appropriate to enable the Master Servicer to
service and administer the Mortgage Loans. The Trustee shall not be liable for
any action taken by the Master Servicer or any Subservicer pursuant to such
powers of attorney. In servicing and administering any Nonsubserviced Mortgage
46
Loan, the Master Servicer shall, to the extent not inconsistent with this
Agreement, comply with the Program Guide as if it were the originator of such
Mortgage Loan and had retained the servicing rights and obligations in respect
thereof. In connection with servicing and administering the Mortgage Loans, the
Master Servicer and any Affiliate of the Master Servicer (i) may perform
services such as appraisals and brokerage services that are not customarily
provided by servicers of mortgage loans, and shall be entitled to reasonable
compensation therefor in accordance with Section 3.10 and (ii) may, at its own
discretion and on behalf of the Trustee, obtain credit information in the form
of a "credit score" from a credit repository.
(b) All costs incurred by the Master Servicer or by Subservicers in
effecting the timely payment of taxes and assessments on the properties subject
to the Mortgage Loans shall not, for the purpose of calculating monthly
distributions to the Certificateholders, be added to the amount owing under the
related Mortgage Loans, notwithstanding that the terms of such Mortgage Loan so
permit, and such costs shall be recoverable to the extent permitted by Section
3.10(a)(ii).
(c) The Master Servicer may enter into one or more agreements in
connection with the offering of pass-through certificates evidencing interests
in one or more of the Certificates providing for the payment by the Master
Servicer of amounts received by the Master Servicer as servicing compensation
hereunder and required to cover certain Prepayment Interest Shortfalls on the
Mortgage Loans, which payment obligation will thereafter be an obligation of the
Master Servicer hereunder.
Section 3.02 Subservicing Agreements Between Master Servicer and Subservicers;
Enforcement of Subservicers' and Sellers' Obligations.
(a) The Master Servicer may continue in effect Subservicing Agreements
entered into by Residential Funding and Subservicers prior to the execution and
delivery of this Agreement, and may enter into new Subservicing Agreements with
Subservicers, for the servicing and administration of all or some of the
Mortgage Loans. Each Subservicer of a Mortgage Loan shall be entitled to receive
and retain, as provided in the related Subservicing Agreement and in Section
3.07, the related Subservicing Fee from payments of interest received on such
Mortgage Loan after payment of all amounts required to be remitted to the Master
Servicer in respect of such Mortgage Loan. For any Mortgage Loan that is a
Nonsubserviced Mortgage Loan, the Master Servicer shall be entitled to receive
and retain an amount equal to the Subservicing Fee from payments of interest.
Unless the context otherwise requires, references in this Agreement to actions
taken or to be taken by the Master Servicer in servicing the Mortgage Loans
include actions taken or to be taken by a Subservicer on behalf of the Master
Servicer. Each Subservicing Agreement will be upon such terms and conditions as
are generally required or permitted by the Program Guide and are not
inconsistent with this Agreement and as the Master Servicer and the Subservicer
have agreed. A representative form of Subservicing Agreement is attached to this
Agreement as Exhibit E. With the approval of the Master Servicer, a Subservicer
may delegate its servicing obligations to third-party servicers, but such
Subservicer will remain obligated under the related Subservicing Agreement. The
Master Servicer and a Subservicer may enter into amendments thereto or a
different form of Subservicing Agreement, and the form referred to or included
in the Program Guide is merely provided for information and shall not be deemed
to limit in any respect the discretion of the Master Servicer to modify or enter
47
into different Subservicing Agreements; provided, however, that any such
amendments or different forms shall be consistent with and not violate the
provisions of either this Agreement or the Program Guide in a manner which would
materially and adversely affect the interests of the Certificateholders. The
Program Guide and any other Subservicing Agreement entered into between the
Master Servicer and any Subservicer shall require the Subservicer to accurately
and fully report its borrower credit files to each of the Credit Repositories in
a timely manner.
(b) As part of its servicing activities hereunder, the Master Servicer, for the
benefit of the Trustee and the Certificateholders, shall use its best reasonable
efforts to enforce the obligations of each Subservicer under the related
Subservicing Agreement and of each Seller under the related Seller's Agreement
insofar as the Company's rights with respect to such obligation has been
assigned to the Trustee hereunder, to the extent that the non-performance of any
such Seller's obligation would have a material and adverse effect on a Mortgage
Loan, including, without limitation, the obligation to purchase a Mortgage Loan
on account of defective documentation, as described in Section 2.02, or on
account of a breach of a representation or warranty, as described in Section
2.04. Such enforcement, including, without limitation, the legal prosecution of
claims, termination of Subservicing Agreements or Seller's Agreements, as
appropriate, and the pursuit of other appropriate remedies, shall be in such
form and carried out to such an extent and at such time as the Master Servicer
would employ in its good faith business judgment and which are normal and usual
in its general mortgage servicing activities. The Master Servicer shall pay the
costs of such enforcement at its own expense, and shall be reimbursed therefor
only (i) from a general recovery resulting from such enforcement to the extent,
if any, that such recovery exceeds all amounts due in respect of the related
Mortgage Loan or (ii) from a specific recovery of costs, expenses or attorneys
fees against the party against whom such enforcement is directed. For purposes
of clarification only, the parties agree that the foregoing is not intended to,
and does not, limit the ability of the Master Servicer to be reimbursed for
expenses that are incurred in connection with the enforcement of a Seller's
obligations (insofar as the Company's rights with respect to such Seller's
obligations have been assigned to the Trustee hereunder) and are reimbursable
pursuant to Section 3.10(a)(viii).
Section 3.03 Successor Subservicers.
The Master Servicer shall be entitled to terminate any Subservicing
Agreement that may exist in accordance with the terms and conditions of such
Subservicing Agreement and without any limitation by virtue of this Agreement;
provided, however, that in the event of termination of any Subservicing
Agreement by the Master Servicer or the Subservicer, the Master Servicer shall
either act as servicer of the related Mortgage Loan or enter into a Subservicing
Agreement with a successor Subservicer which will be bound by the terms of the
related Subservicing Agreement. If the Master Servicer or any Affiliate of
Residential Funding acts as servicer, it will not assume liability for the
representations and warranties of the Subservicer which it replaces. If the
Master Servicer enters into a Subservicing Agreement with a successor
Subservicer, the Master Servicer shall use reasonable efforts to have the
successor Subservicer assume liability for the representations and warranties
made by the terminated Subservicer in respect of the related Mortgage Loans and,
in the event of any such assumption by the successor Subservicer, the Master
Servicer may, in the exercise of its business judgment, release the terminated
Subservicer from liability for such representations and warranties.
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Section 3.04 Liability of the Master Servicer.
Notwithstanding any Subservicing Agreement, any of the provisions of
this Agreement relating to agreements or arrangements between the Master
Servicer or a Subservicer or reference to actions taken through a Subservicer or
otherwise, the Master Servicer shall remain obligated and liable to the Trustee
and the Certificateholders for the servicing and administering of the Mortgage
Loans in accordance with the provisions of Section 3.01 without diminution of
such obligation or liability by virtue of such Subservicing Agreements or
arrangements or by virtue of indemnification from the Subservicer or the Company
and to the same extent and under the same terms and conditions as if the Master
Servicer alone were servicing and administering the Mortgage Loans. The Master
Servicer shall be entitled to enter into any agreement with a Subservicer or
Seller for indemnification of the Master Servicer and nothing contained in this
Agreement shall be deemed to limit or modify such indemnification.
Section 3.05 No Contractual Relationship Between Subservicer and Trustee or
Certificateholders.
Any Subservicing Agreement that may be entered into and any other
transactions or services relating to the Mortgage Loans involving a Subservicer
in its capacity as such and not as an originator shall be deemed to be between
the Subservicer and the Master Servicer alone and the Trustee and the
Certificateholders shall not be deemed parties thereto and shall have no claims,
rights, obligations, duties or liabilities with respect to the Subservicer in
its capacity as such except as set forth in Section 3.06. The foregoing
provision shall not in any way limit a Subservicer's obligation to cure an
omission or defect or to repurchase a Mortgage Loan as referred to in Section
2.02 hereof.
Section 3.06 Assumption or Termination of Subservicing Agreements by Trustee.
(a) If the Master Servicer shall for any reason no longer be the master
servicer (including by reason of an Event of Default), the Trustee, its designee
or its successor shall thereupon assume all of the rights and obligations of the
Master Servicer under each Subservicing Agreement that may have been entered
into. The Trustee, its designee or the successor servicer for the Trustee shall
be deemed to have assumed all of the Master Servicer's interest therein and to
have replaced the Master Servicer as a party to the Subservicing Agreement to
the same extent as if the Subservicing Agreement had been assigned to the
assuming party except that the Master Servicer shall not thereby be relieved of
any liability or obligations under the Subservicing Agreement.
(b) The Master Servicer shall, upon request of the Trustee but at the
expense of the Master Servicer, deliver to the assuming party all documents and
records relating to each Subservicing Agreement and the Mortgage Loans then
being serviced and an accounting of amounts collected and held by it and
otherwise use its best efforts to effect the orderly and efficient transfer of
each Subservicing Agreement to the assuming party.
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Section 3.07 Collection of Certain Mortgage Loan Payments; Deposits to Custodial
Account.
(a) The Master Servicer shall make reasonable efforts to collect all
payments called for under the terms and provisions of the Mortgage Loans, and
shall, to the extent such procedures shall be consistent with this Agreement and
the terms and provisions of any related Primary Insurance Policy, follow such
collection procedures as it would employ in its good faith business judgment and
which are normal and usual in its general mortgage servicing activities.
Consistent with the foregoing, the Master Servicer may in its discretion (i)
waive any late payment charge or any prepayment charge or penalty interest in
connection with the prepayment of a Mortgage Loan and (ii) extend the Due Date
for payments due on a Mortgage Loan in accordance with the Program Guide;
provided, however, that the Master Servicer shall first determine that any such
waiver or extension will not impair the coverage of any related Primary
Insurance Policy or materially adversely affect the lien of the related
Mortgage. Notwithstanding anything in this Section to the contrary, the Master
Servicer or any Subservicer shall not enforce any prepayment charge to the
extent that such enforcement would violate any applicable law. In the event of
any such arrangement, the Master Servicer shall make timely advances on the
related Mortgage Loan during the scheduled period in accordance with the
amortization schedule of such Mortgage Loan without modification thereof by
reason of such arrangements unless otherwise agreed to by the Holders of the
Classes of Certificates affected thereby; provided, however, that no such
extension shall be made if any such advance would be a Nonrecoverable Advance.
Consistent with the terms of this Agreement, the Master Servicer may also waive,
modify or vary any term of any Mortgage Loan or consent to the postponement of
strict compliance with any such term or in any manner grant indulgence to any
Mortgagor if in the Master Servicer's determination such waiver, modification,
postponement or indulgence is not materially adverse to the interests of the
Certificateholders (taking into account any estimated Realized Loss that might
result absent such action); provided, however, that the Master Servicer may not
modify materially or permit any Subservicer to modify any Mortgage Loan,
including without limitation any modification that would change the Mortgage
Rate, forgive the payment of any principal or interest (unless in connection
with the liquidation of the related Mortgage Loan or except in connection with
prepayments to the extent that such reamortization is not inconsistent with the
terms of the Mortgage Loan), capitalize any amounts owing on the Mortgage Loan
by adding such amount to the outstanding principal balance of the Mortgage Loan,
or extend the final maturity date of such Mortgage Loan, unless such Mortgage
Loan is in default or, in the judgment of the Master Servicer, such default is
reasonably foreseeable; provided, further, that (1) no such modification shall
reduce the interest rate on a Mortgage Loan below one-half of the Mortgage Rate
as in effect on the Cut-Off Date, but not less than the sum of the rates at
which the Servicing Fee and the Subservicing Fee with respect to such Mortgage
Loan accrues plus the rate at which the premium paid to the Certificate Insurer,
if any, accrues, (2) the final maturity date for any Mortgage Loan shall not be
extended beyond the Maturity Date, (3) the Stated Principal Balance of all
Reportable Modified Mortgage Loans subject to Servicing Modifications (measured
at the time of the Servicing Modification and after giving effect to any
Servicing Modification) can be no more than five percent of the aggregate
principal balance of the Mortgage Loans as of the Cut-off Date, unless such
limit is increased from time to time with the consent of the Rating Agencies and
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the Certificate Insurer, if any. In addition, any amounts owing on a Mortgage
Loan added to the outstanding principal balance of such Mortgage Loan must be
fully amortized over the remaining term of such Mortgage Loan, and such amounts
may be added to the outstanding principal balance of a Mortgage Loan only once
during the life of such Mortgage Loan. Also, the addition of such amounts
described in the preceding sentence shall be implemented in accordance with the
Program Guide and may be implemented only by Subservicers that have been
approved by the Master Servicer for such purpose. In connection with any
Curtailment of a Mortgage Loan, the Master Servicer, to the extent not
inconsistent with the terms of the Mortgage Note and local law and practice, may
permit the Mortgage Loan to be reamortized such that the Monthly Payment is
recalculated as an amount that will fully amortize the remaining Stated
Principal Balance thereof by the original Maturity Date based on the original
Mortgage Rate; provided, that such re-amortization shall not be permitted if it
would constitute a reissuance of the Mortgage Loan for federal income tax
purposes, except if such reissuance is described in Treasury Regulation Section
1.860G-2(b)(3).
(b) The Master Servicer shall establish and maintain a Custodial Account
in which the Master Servicer shall deposit or cause to be deposited on a daily
basis, except as otherwise specifically provided herein, the following payments
and collections remitted by Subservicers or received by it in respect of the
Mortgage Loans subsequent to the Cut-off Date (other than in respect of
principal and interest on the Mortgage Loans due on or before the Cut-off Date):
(i) All payments on account of principal, including Principal Prepayments
made by Mortgagors on the Mortgage Loans and the principal component of
any Subservicer Advance or of any REO Proceeds received in connection
with an REO Property for which an REO Disposition has occurred;
(ii) All payments on account of interest at the Adjusted Mortgage Rate on the
Mortgage Loans, including Buydown Funds, if any, and the interest
component of any Subservicer Advance or of any REO Proceeds received in
connection with an REO Property for which an REO Disposition has
occurred;
(iii) Insurance Proceeds, Subsequent Recoveries and Liquidation Proceeds (net
of any related expenses of the Subservicer);
(iv) All proceeds of any Mortgage Loans purchased pursuant to Section 2.02,
2.03, 2.04, 4.07 or 9.01 and all amounts required to be deposited in
connection with the substitution of a Qualified Substitute Mortgage Loan
pursuant to Section 2.03 or 2.04;
(v) Any amounts required to be deposited pursuant to Section 3.07(c) or
3.21;
(vi) All amounts transferred from the Certificate Account to the Custodial
Account in accordance with Section 4.02(a);
(vii) Any amounts realized by the Subservicer and received by the Master
Servicer in respect of any Additional Collateral; and
(viii) Any amounts received by the Master Servicer in respect of Pledged
Assets.
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The foregoing requirements for deposit in the Custodial Account shall be
exclusive, it being understood and agreed that, without limiting the generality
of the foregoing, payments on the Mortgage Loans which are not part of the Trust
Fund (consisting of payments in respect of principal and interest on the
Mortgage Loans due on or before the Cut-off Date) and payments or collections in
the nature of prepayment charges or late payment charges or assumption fees may
but need not be deposited by the Master Servicer in the Custodial Account. In
the event any amount not required to be deposited in the Custodial Account is so
deposited, the Master Servicer may at any time withdraw such amount from the
Custodial Account, any provision herein to the contrary notwithstanding. The
Custodial Account may contain funds that belong to one or more trust funds
created for mortgage pass-through certificates of other series and may contain
other funds respecting payments on mortgage loans belonging to the Master
Servicer or serviced or master serviced by it on behalf of others.
Notwithstanding such commingling of funds, the Master Servicer shall keep
records that accurately reflect the funds on deposit in the Custodial Account
that have been identified by it as being attributable to the Mortgage Loans.
With respect to Insurance Proceeds, Liquidation Proceeds, REO Proceeds
and the proceeds of the purchase of any Mortgage Loan pursuant to Sections 2.02,
2.03, 2.04 and 4.07 received in any calendar month, the Master Servicer may
elect to treat such amounts as included in the Available Distribution Amount for
the Distribution Date in the month of receipt, but is not obligated to do so. If
the Master Servicer so elects, such amounts will be deemed to have been received
(and any related Realized Loss shall be deemed to have occurred) on the last day
of the month prior to the receipt thereof.
(c) The Master Servicer shall use its best efforts to cause the
institution maintaining the Custodial Account to invest the funds in the
Custodial Account attributable to the Mortgage Loans in Permitted Investments
which shall mature not later than the Certificate Account Deposit Date next
following the date of such investment (with the exception of the Amount Held for
Future Distribution) and which shall not be sold or disposed of prior to their
maturities. All income and gain realized from any such investment shall be for
the benefit of the Master Servicer as additional servicing compensation and
shall be subject to its withdrawal or order from time to time. The amount of any
losses incurred in respect of any such investments attributable to the
investment of amounts in respect of the Mortgage Loans shall be deposited in the
Custodial Account by the Master Servicer out of its own funds immediately as
realized without any right of reimbursement.
(d) The Master Servicer shall give notice to the Trustee and the Company
of any change in the location of the Custodial Account and the location of the
Certificate Account prior to the use thereof.
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Section 3.08 Subservicing Accounts; Servicing Accounts.
(a) In those cases where a Subservicer is servicing a Mortgage Loan
pursuant to a Subservicing Agreement, the Master Servicer shall cause the
Subservicer, pursuant to the Subservicing Agreement, to establish and maintain
one or more Subservicing Accounts which shall be an Eligible Account or, if such
account is not an Eligible Account, shall generally satisfy the requirements of
the Program Guide and be otherwise acceptable to the Master Servicer and each
Rating Agency. The Subservicer will be required thereby to deposit into the
Subservicing Account on a daily basis all proceeds of Mortgage Loans received by
the Subservicer, less its Subservicing Fees and unreimbursed advances and
expenses, to the extent permitted by the Subservicing Agreement. If the
Subservicing Account is not an Eligible Account, the Master Servicer shall be
deemed to have received such monies upon receipt thereof by the Subservicer. The
Subservicer shall not be required to deposit in the Subservicing Account
payments or collections in the nature of prepayment charges or late charges or
assumption fees. On or before the date specified in the Program Guide, but in no
event later than the Determination Date, the Master Servicer shall cause the
Subservicer, pursuant to the Subservicing Agreement, to remit to the Master
Servicer for deposit in the Custodial Account all funds held in the Subservicing
Account with respect to each Mortgage Loan serviced by such Subservicer that are
required to be remitted to the Master Servicer. The Subservicer will also be
required, pursuant to the Subservicing Agreement, to advance on such scheduled
date of remittance amounts equal to any scheduled monthly installments of
principal and interest less its Subservicing Fees on any Mortgage Loans for
which payment was not received by the Subservicer. This obligation to advance
with respect to each Mortgage Loan will continue up to and including the first
of the month following the date on which the related Mortgaged Property is sold
at a foreclosure sale or is acquired by the Trust Fund by deed in lieu of
foreclosure or otherwise. All such advances received by the Master Servicer
shall be deposited promptly by it in the Custodial Account.
(b) The Subservicer may also be required, pursuant to the Subservicing
Agreement, to remit to the Master Servicer for deposit in the Custodial Account
interest at the Adjusted Mortgage Rate (or Modified Net Mortgage Rate plus the
rate per annum at which the Servicing Fee accrues in the case of a Modified
Mortgage Loan) on any Curtailment received by such Subservicer in respect of a
Mortgage Loan from the related Mortgagor during any month that is to be applied
by the Subservicer to reduce the unpaid principal balance of the related
Mortgage Loan as of the first day of such month, from the date of application of
such Curtailment to the first day of the following month. Any amounts paid by a
Subservicer pursuant to the preceding sentence shall be for the benefit of the
Master Servicer as additional servicing compensation and shall be subject to its
withdrawal or order from time to time pursuant to Sections 3.10(a)(iv) and (v).
(c) In addition to the Custodial Account and the Certificate Account,
the Master Servicer shall for any Nonsubserviced Mortgage Loan, and shall cause
the Subservicers for Subserviced Mortgage Loans to, establish and maintain one
or more Servicing Accounts and deposit and retain therein all collections from
the Mortgagors (or advances from Subservicers) for the payment of taxes,
assessments, hazard insurance premiums, Primary Insurance Policy premiums, if
applicable, or comparable items for the account of the Mortgagors. Each
Servicing Account shall satisfy the requirements for a Subservicing Account and,
to the extent permitted by the Program Guide or as is otherwise acceptable to
the Master Servicer, may also function as a Subservicing Account. Withdrawals of
amounts related to the Mortgage Loans from the Servicing Accounts may be made
53
only to effect timely payment of taxes, assessments, hazard insurance premiums,
Primary Insurance Policy premiums, if applicable, or comparable items, to
reimburse the Master Servicer or Subservicer out of related collections for any
payments made pursuant to Sections 3.11 (with respect to the Primary Insurance
Policy) and 3.12(a) (with respect to hazard insurance), to refund to any
Mortgagors any sums as may be determined to be overages, to pay interest, if
required, to Mortgagors on balances in the Servicing Account or to clear and
terminate the Servicing Account at the termination of this Agreement in
accordance with Section 9.01 or in accordance with the Program Guide. As part of
its servicing duties, the Master Servicer shall, and the Subservicers will,
pursuant to the Subservicing Agreements, be required to pay to the Mortgagors
interest on funds in this account to the extent required by law.
(d) The Master Servicer shall advance the payments referred to in the
preceding subsection that are not timely paid by the Mortgagors or advanced by
the Subservicers on the date when the tax, premium or other cost for which such
payment is intended is due, but the Master Servicer shall be required so to
advance only to the extent that such advances, in the good faith judgment of the
Master Servicer, will be recoverable by the Master Servicer out of Insurance
Proceeds, Liquidation Proceeds or otherwise.
Section 3.09 Access to Certain Documentation and Information Regarding the
Mortgage Loans.
If compliance with this Section 3.09 shall make any Class of
Certificates legal for investment by federally insured savings and loan
associations, the Master Servicer shall provide, or cause the Subservicers to
provide, to the Trustee, the Office of Thrift Supervision or the FDIC and the
supervisory agents and examiners thereof access to the documentation regarding
the Mortgage Loans required by applicable regulations of the Office of Thrift
Supervision, such access being afforded without charge but only upon reasonable
request and during normal business hours at the offices designated by the Master
Servicer. The Master Servicer shall permit such representatives to photocopy any
such documentation and shall provide equipment for that purpose at a charge
reasonably approximating the cost of such photocopying to the Master Servicer.
Section 3.10 Permitted Withdrawals from the Custodial Account.
(a) The Master Servicer may, from time to time as provided herein, make
withdrawals from the Custodial Account of amounts on deposit therein pursuant to
Section 3.07 that are attributable to the Mortgage Loans for the following
purposes:
(i) to make deposits into the Certificate Account in the amounts and in the
manner provided for in Section 4.01;
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(ii) to reimburse itself or the related Subservicer for previously
unreimbursed Advances, Servicing Advances or other expenses made
pursuant to Sections 3.01, 3.07(a), 3.08, 3.11, 3.12(a), 3.14 and 4.04
or otherwise reimbursable pursuant to the terms of this Agreement, such
withdrawal right being limited to amounts received on the related
Mortgage Loans (including, for this purpose, REO Proceeds, Insurance
Proceeds, Liquidation Proceeds and proceeds from the purchase of a
Mortgage Loan pursuant to Section 2.02, 2.03, 2.04, 4.07 or 9.01) which
represent (A) Late Collections of Monthly Payments for which any such
advance was made in the case of Subservicer Advances or Advances
pursuant to Section 4.04 and (B) recoveries of amounts in respect of
which such advances were made in the case of Servicing Advances;
(iii) to pay to itself or the related Subservicer (if not previously retained
by such Subservicer) out of each payment received by the Master Servicer
on account of interest on a Mortgage Loan as contemplated by Sections
3.14 and 3.16, an amount equal to that remaining portion of any such
payment as to interest (but not in excess of the Servicing Fee and the
Subservicing Fee, if not previously retained) which, when deducted, will
result in the remaining amount of such interest being interest at the
Net Mortgage Rate (or Modified Net Mortgage Rate in the case of a
Modified Mortgage Loan) on the amount specified in the amortization
schedule of the related Mortgage Loan as the principal balance thereof
at the beginning of the period respecting which such interest was paid
after giving effect to any previous Curtailments;
(iv) to pay to itself as additional servicing compensation any interest or
investment income earned on funds and other property deposited in or
credited to the Custodial Account that it is entitled to withdraw
pursuant to Section 3.07(c);
(v) to pay to itself as additional servicing compensation any Foreclosure
Profits, any amounts remitted by Subservicers as interest in respect of
Curtailments pursuant to Section 3.08(b), and any amounts paid by a
Mortgagor in connection with a Principal Prepayment in Full in respect
of interest for any period during the calendar month in which such
Principal Prepayment in Full is to be distributed to the
Certificateholders;
(vi) to pay to itself, a Subservicer, a Seller, Residential Funding, the
Company or any other appropriate Person, as the case may be, with
respect to each Mortgage Loan or property acquired in respect thereof
that has been purchased or otherwise transferred pursuant to Section
2.02, 2.03, 2.04, 4.07 or 9.01, all amounts received thereon and not
required to be distributed to the Certificateholders as of the date on
which the related Stated Principal Balance or Purchase Price is
determined;
(vii) to reimburse itself or the related Subservicer for any Nonrecoverable
Advance or Advances in the manner and to the extent provided in
subsection (c) below, and any Advance or Servicing Advance made in
connection with a modified Mortgage Loan that is in default or, in the
judgment of the Master Servicer, default is reasonably foreseeable
pursuant to Section 3.07(a), to the extent the amount of the Advance or
Servicing Advance was added to the Stated Principal Balance of the
Mortgage Loan in a prior calendar month, or any Advance reimbursable to
the Master Servicer pursuant to Section 4.02(a);
55
(viii) to reimburse itself or the Company for expenses incurred by and
reimbursable to it or the Company pursuant to Sections 3.01(a), 3.11,
3.13, 3.14(c), 6.03, 10.01 or otherwise, or in connection with
enforcing, in accordance with this Agreement, any repurchase,
substitution or indemnification obligation of any Seller (other than an
Affiliate of the Company) pursuant to the related Seller's Agreement;
(ix) to reimburse itself for Servicing Advances expended by it (a) pursuant
to Section 3.14 in good faith in connection with the restoration of
property damaged by an Uninsured Cause, and (b) in connection with the
liquidation of a Mortgage Loan or disposition of an REO Property to the
extent not otherwise reimbursed pursuant to clause (ii) or (viii) above;
and
(x) to withdraw any amount deposited in the Custodial Account that was not
required to be deposited therein pursuant to Section 3.07.
(b) Since, in connection with withdrawals pursuant to clauses (ii),
(iii), (v) and (vi), the Master Servicer's entitlement thereto is limited to
collections or other recoveries on the related Mortgage Loan, the Master
Servicer shall keep and maintain separate accounting, on a Mortgage Loan by
Mortgage Loan basis, for the purpose of justifying any withdrawal from the
Custodial Account pursuant to such clauses.
(c) The Master Servicer shall be entitled to reimburse itself or the
related Subservicer for any advance made in respect of a Mortgage Loan that the
Master Servicer determines to be a Nonrecoverable Advance by withdrawal from the
Custodial Account of amounts on deposit therein attributable to the Mortgage
Loans on any Certificate Account Deposit Date succeeding the date of such
determination. Such right of reimbursement in respect of a Nonrecoverable
Advance relating to an Advance pursuant to Section 4.04 on any such Certificate
Account Deposit Date shall be limited to an amount not exceeding the portion of
such advance previously paid to Certificateholders (and not theretofore
reimbursed to the Master Servicer or the related Subservicer).
Section 3.11 Maintenance of the Primary Insurance Policies; Collections
Thereunder.
(a) The Master Servicer shall not take, or permit any Subservicer to
take, any action which would result in non-coverage under any applicable Primary
Insurance Policy of any loss which, but for the actions of the Master Servicer
or Subservicer, would have been covered thereunder. To the extent coverage is
available, the Master Servicer shall keep or cause to be kept in full force and
effect each such Primary Insurance Policy until the principal balance of the
related Mortgage Loan secured by a Mortgaged Property is reduced to 80% or less
of the Appraised Value in the case of such a Mortgage Loan having a
Loan-to-Value Ratio at origination in excess of 80%, provided that such Primary
Insurance Policy was in place as of the Cut-off Date and the Company had
knowledge of such Primary Insurance Policy. The Master Servicer shall be
entitled to cancel or permit the discontinuation of any Primary Insurance Policy
as to any Mortgage Loan, if the Stated Principal Balance of the Mortgage Loan is
56
reduced below an amount equal to 80% of the appraised value of the related
Mortgaged Property as determined in any appraisal thereof after the Closing
Date, or if the Loan-to-Value Ratio is reduced below 80% as a result of
principal payments on the Mortgage Loan after the Closing Date. In the event
that the Company gains knowledge that as of the Closing Date, a Mortgage Loan
had a Loan-to-Value Ratio at origination in excess of 80% and is not the subject
of a Primary Insurance Policy (and was not included in any exception to the
representation in Section 2.03(b)(iv)) and that such Mortgage Loan has a current
Loan-to-Value Ratio in excess of 80% then the Master Servicer shall use its
reasonable efforts to obtain and maintain a Primary Insurance Policy to the
extent that such a policy is obtainable at a reasonable price. The Master
Servicer shall not cancel or refuse to renew any such Primary Insurance Policy
applicable to a Nonsubserviced Mortgage Loan, or consent to any Subservicer
canceling or refusing to renew any such Primary Insurance Policy applicable to a
Mortgage Loan subserviced by it, that is in effect at the date of the initial
issuance of the Certificates and is required to be kept in force hereunder
unless the replacement Primary Insurance Policy for such canceled or non-renewed
policy is maintained with an insurer whose claims-paying ability is acceptable
to each Rating Agency for mortgage pass-through certificates having a rating
equal to or better than the lower of the then-current rating or the rating
assigned to the Certificates as of the Closing Date by such Rating Agency.
(b) In connection with its activities as administrator and servicer of
the Mortgage Loans, the Master Servicer agrees to present or to cause the
related Subservicer to present, on behalf of the Master Servicer, the
Subservicer, if any, the Trustee and Certificateholders, claims to the related
Insurer under any Primary Insurance Policies, in a timely manner in accordance
with such policies, and, in this regard, to take or cause to be taken such
reasonable action as shall be necessary to permit recovery under any Primary
Insurance Policies respecting defaulted Mortgage Loans. Pursuant to Section
3.07, any Insurance Proceeds collected by or remitted to the Master Servicer
under any Primary Insurance Policies shall be deposited in the Custodial
Account, subject to withdrawal pursuant to Section 3.10.
Section 3.12 Maintenance of Fire Insurance and Omissions and Fidelity Coverage.
(a) The Master Servicer shall cause to be maintained for each Mortgage
Loan (other than a Cooperative Loan) fire insurance with extended coverage in an
amount which is equal to the lesser of the principal balance owing on such
Mortgage Loan or 100 percent of the insurable value of the improvements;
provided, however, that such coverage may not be less than the minimum amount
required to fully compensate for any loss or damage on a replacement cost basis.
To the extent it may do so without breaching the related Subservicing Agreement,
the Master Servicer shall replace any Subservicer that does not cause such
insurance, to the extent it is available, to be maintained. The Master Servicer
shall also cause to be maintained on property acquired upon foreclosure, or deed
in lieu of foreclosure, of any Mortgage Loan (other than a Cooperative Loan),
fire insurance with extended coverage in an amount which is at least equal to
the amount necessary to avoid the application of any co-insurance clause
contained in the related hazard insurance policy. Pursuant to Section 3.07, any
amounts collected by the Master Servicer under any such policies (other than
amounts to be applied to the restoration or repair of the related Mortgaged
Property or property thus acquired or amounts released to the Mortgagor in
accordance with the Master Servicer's normal servicing procedures) shall be
deposited in the Custodial Account, subject to withdrawal pursuant to Section
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3.10. Any cost incurred by the Master Servicer in maintaining any such insurance
shall not, for the purpose of calculating monthly distributions to the
Certificateholders, be added to the amount owing under the Mortgage Loan,
notwithstanding that the terms of the Mortgage Loan so permit. Such costs shall
be recoverable by the Master Servicer out of related late payments by the
Mortgagor or out of Insurance Proceeds and Liquidation Proceeds to the extent
permitted by Section 3.10. It is understood and agreed that no earthquake or
other additional insurance is to be required of any Mortgagor or maintained on
property acquired in respect of a Mortgage Loan other than pursuant to such
applicable laws and regulations as shall at any time be in force and as shall
require such additional insurance. Whenever the improvements securing a Mortgage
Loan (other than a Cooperative Loan) are located at the time of origination of
such Mortgage Loan in a federally designated special flood hazard area, the
Master Servicer shall cause flood insurance (to the extent available) to be
maintained in respect thereof. Such flood insurance shall be in an amount equal
to the lesser of (i) the amount required to compensate for any loss or damage to
the Mortgaged Property on a replacement cost basis and (ii) the maximum amount
of such insurance available for the related Mortgaged Property under the
national flood insurance program (assuming that the area in which such Mortgaged
Property is located is participating in such program).
If the Master Servicer shall obtain and maintain a blanket fire
insurance policy with extended coverage insuring against hazard losses on all of
the Mortgage Loans, it shall conclusively be deemed to have satisfied its
obligations as set forth in the first sentence of this Section 3.12(a), it being
understood and agreed that such policy may contain a deductible clause, in which
case the Master Servicer shall, in the event that there shall not have been
maintained on the related Mortgaged Property a policy complying with the first
sentence of this Section 3.12(a) and there shall have been a loss which would
have been covered by such policy, deposit in the Certificate Account the amount
not otherwise payable under the blanket policy because of such deductible
clause. Any such deposit by the Master Servicer shall be made on the Certificate
Account Deposit Date next preceding the Distribution Date which occurs in the
month following the month in which payments under any such policy would have
been deposited in the Custodial Account. In connection with its activities as
administrator and servicer of the Mortgage Loans, the Master Servicer agrees to
present, on behalf of itself, the Trustee and the Certificateholders, claims
under any such blanket policy.
(b) The Master Servicer shall obtain and maintain at its own expense and keep in
full force and effect throughout the term of this Agreement a blanket fidelity
bond and an errors and omissions insurance policy covering the Master Servicer's
officers and employees and other persons acting on behalf of the Master Servicer
in connection with its activities under this Agreement. The amount of coverage
shall be at least equal to the coverage that would be required by Xxxxxx Xxx or
Freddie Mac, whichever is greater, with respect to the Master Servicer if the
Master Servicer were servicing and administering the Mortgage Loans for Xxxxxx
Xxx or Freddie Mac. In the event that any such bond or policy ceases to be in
58
effect, the Master Servicer shall obtain a comparable replacement bond or policy
from an issuer or insurer, as the case may be, meeting the requirements, if any,
of the Program Guide and acceptable to the Company. Coverage of the Master
Servicer under a policy or bond obtained by an Affiliate of the Master Servicer
and providing the coverage required by this Section 3.12(b) shall satisfy the
requirements of this Section 3.12(b).
Section 3.13 Enforcement of Due-on-Sale Clauses; Assumption and Modification
Agreements; Certain Assignments.
(a) When any Mortgaged Property is conveyed by the Mortgagor, the Master
Servicer or Subservicer, to the extent it has knowledge of such conveyance,
shall enforce any due-on-sale clause contained in any Mortgage Note or Mortgage,
to the extent permitted under applicable law and governmental regulations, but
only to the extent that such enforcement will not adversely affect or jeopardize
coverage under any Required Insurance Policy. Notwithstanding the foregoing:
(i) the Master Servicer shall not be deemed to be in default under this
Section 3.13(a) by reason of any transfer or assumption which the Master
Servicer is restricted by law from preventing; and
(ii) if the Master Servicer determines that it is reasonably likely that any
Mortgagor will bring, or if any Mortgagor does bring, legal action to
declare invalid or otherwise avoid enforcement of a due-on-sale clause
contained in any Mortgage Note or Mortgage, the Master Servicer shall
not be required to enforce the due-on-sale clause or to contest such
action.
(b) Subject to the Master Servicer's duty to enforce any due-on-sale
clause to the extent set forth in Section 3.13(a), in any case in which a
Mortgaged Property is to be conveyed to a Person by a Mortgagor, and such Person
is to enter into an assumption or modification agreement or supplement to the
Mortgage Note or Mortgage which requires the signature of the Trustee, or if an
instrument of release signed by the Trustee is required releasing the Mortgagor
from liability on the Mortgage Loan, the Master Servicer is authorized, subject
to the requirements of the sentence next following, to execute and deliver, on
behalf of the Trustee, the assumption agreement with the Person to whom the
Mortgaged Property is to be conveyed and such modification agreement or
supplement to the Mortgage Note or Mortgage or other instruments as are
reasonable or necessary to carry out the terms of the Mortgage Note or Mortgage
or otherwise to comply with any applicable laws regarding assumptions or the
transfer of the Mortgaged Property to such Person; provided, however, none of
such terms and requirements shall either (i) both (A) constitute a "significant
modification" effecting an exchange or reissuance of such Mortgage Loan under
the REMIC Provisions and (B) cause any portion of any REMIC formed under the
Series Supplement to fail to qualify as a REMIC under the Code or (subject to
Section 10.01(f)), result in the imposition of any tax on "prohibited
transactions" or (ii) constitute "contributions" after the start-up date under
the REMIC Provisions. The Master Servicer shall execute and deliver such
documents only if it reasonably determines that (i) its execution and delivery
thereof will not conflict with or violate any terms of this Agreement or cause
the unpaid balance and interest on the Mortgage Loan to be uncollectible in
whole or in part, (ii) any required consents of insurers under any Required
Insurance Policies have been obtained and (iii) subsequent to the closing of the
59
transaction involving the assumption or transfer (A) the Mortgage Loan will
continue to be secured by a first mortgage lien pursuant to the terms of the
Mortgage, (B) such transaction will not adversely affect the coverage under any
Required Insurance Policies, (C) the Mortgage Loan will fully amortize over the
remaining term thereof, (D) no material term of the Mortgage Loan (including the
interest rate on the Mortgage Loan) will be altered nor will the term of the
Mortgage Loan be changed and (E) if the seller/transferor of the Mortgaged
Property is to be released from liability on the Mortgage Loan, such release
will not (based on the Master Servicer's or Subservicer's good faith
determination) adversely affect the collectability of the Mortgage Loan. Upon
receipt of appropriate instructions from the Master Servicer in accordance with
the foregoing, the Trustee shall execute any necessary instruments for such
assumption or substitution of liability as directed in writing by the Master
Servicer. Upon the closing of the transactions contemplated by such documents,
the Master Servicer shall cause the originals or true and correct copies of the
assumption agreement, the release (if any), or the modification or supplement to
the Mortgage Note or Mortgage to be delivered to the Trustee or the Custodian
and deposited with the Mortgage File for such Mortgage Loan. Any fee collected
by the Master Servicer or such related Subservicer for entering into an
assumption or substitution of liability agreement will be retained by the Master
Servicer or such Subservicer as additional servicing compensation.
(c) The Master Servicer or the related Subservicer, as the case may be,
shall be entitled to approve a request from a Mortgagor for a partial release of
the related Mortgaged Property, the granting of an easement thereon in favor of
another Person, any alteration or demolition of the related Mortgaged Property
(or, with respect to a Cooperative Loan, the related Cooperative Apartment)
without any right of reimbursement or other similar matters if it has
determined, exercising its good faith business judgment in the same manner as it
would if it were the owner of the related Mortgage Loan, that the security for,
and the timely and full collectability of, such Mortgage Loan would not be
adversely affected thereby and that any portion of any REMIC formed under the
Series Supplement would not fail to continue to qualify as a REMIC under the
Code as a result thereof and (subject to Section 10.01(f)) that no tax on
"prohibited transactions" or "contributions" after the startup day would be
imposed on any such REMIC as a result thereof. Any fee collected by the Master
Servicer or the related Subservicer for processing such a request will be
retained by the Master Servicer or such Subservicer as additional servicing
compensation.
(d) Subject to any other applicable terms and conditions of this
Agreement, the Trustee and Master Servicer shall be entitled to approve an
assignment in lieu of satisfaction with respect to any Mortgage Loan, provided
the obligee with respect to such Mortgage Loan following such proposed
assignment provides the Trustee and Master Servicer with a "Lender Certification
for Assignment of Mortgage Loan" in the form attached hereto as Exhibit M, in
form and substance satisfactory to the Trustee and Master Servicer, providing
the following: (i) that the substance of the assignment is, and is intended to
be, a refinancing of such Mortgage; (ii) that the Mortgage Loan following the
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proposed assignment will have a rate of interest at least 0.25 percent below or
above the rate of interest on such Mortgage Loan prior to such proposed
assignment; and (iii) that such assignment is at the request of the borrower
under the related Mortgage Loan. Upon approval of an assignment in lieu of
satisfaction with respect to any Mortgage Loan, the Master Servicer shall
receive cash in an amount equal to the unpaid principal balance of and accrued
interest on such Mortgage Loan and the Master Servicer shall treat such amount
as a Principal Prepayment in Full with respect to such Mortgage Loan for all
purposes hereof.
Section 3.14 Realization Upon Defaulted Mortgage Loans.
(a) The Master Servicer shall foreclose upon or otherwise comparably
convert (which may include an REO Acquisition) the ownership of properties
securing such of the Mortgage Loans as come into and continue in default and as
to which no satisfactory arrangements can be made for collection of delinquent
payments pursuant to Section 3.07. Alternatively, the Master Servicer may take
other actions in respect of a defaulted Mortgage Loan, which may include (i)
accepting a short sale (a payoff of the Mortgage Loan for an amount less than
the total amount contractually owed in order to facilitate a sale of the
Mortgaged Property by the Mortgagor) or permitting a short refinancing (a payoff
of the Mortgage Loan for an amount less than the total amount contractually owed
in order to facilitate refinancing transactions by the Mortgagor not involving a
sale of the Mortgaged Property), (ii) arranging for a repayment plan or (iii)
agreeing to a modification in accordance with Section 3.07. In connection with
such foreclosure or other conversion, the Master Servicer shall, consistent with
Section 3.11, follow such practices and procedures as it shall deem necessary or
advisable, as shall be normal and usual in its general mortgage servicing
activities and as shall be required or permitted by the Program Guide; provided
that the Master Servicer shall not be liable in any respect hereunder if the
Master Servicer is acting in connection with any such foreclosure or other
conversion in a manner that is consistent with the provisions of this Agreement.
The Master Servicer, however, shall not be required to expend its own funds or
incur other reimbursable charges in connection with any foreclosure, or
attempted foreclosure which is not completed, or towards the restoration of any
property unless it shall determine (i) that such restoration and/or foreclosure
will increase the proceeds of liquidation of the Mortgage Loan to Holders of
Certificates of one or more Classes after reimbursement to itself for such
expenses or charges and (ii) that such expenses or charges will be recoverable
to it through Liquidation Proceeds, Insurance Proceeds, or REO Proceeds
(respecting which it shall have priority for purposes of withdrawals from the
Custodial Account pursuant to Section 3.10, whether or not such expenses and
charges are actually recoverable from related Liquidation Proceeds, Insurance
Proceeds or REO Proceeds). In the event of such a determination by the Master
Servicer pursuant to this Section 3.14(a), the Master Servicer shall be entitled
to reimbursement of such amounts pursuant to Section 3.10.
In addition to the foregoing, the Master Servicer shall use its best
reasonable efforts to realize upon any Additional Collateral for such of the
Additional Collateral Loans as come into and continue in default and as to which
no satisfactory arrangements can be made for collection of delinquent payments
pursuant to Section 3.07; provided that the Master Servicer shall not, on behalf
of the Trustee, obtain title to any such Additional Collateral as a result of or
in lieu of the disposition thereof or otherwise; and provided further that (i)
the Master Servicer shall not proceed with respect to such Additional Collateral
in any manner that would impair the ability to recover against the related
Mortgaged Property, and (ii) the Master Servicer shall proceed with any REO
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Acquisition in a manner that preserves the ability to apply the proceeds of such
Additional Collateral against amounts owed under the defaulted Mortgage Loan.
Any proceeds realized from such Additional Collateral (other than amounts to be
released to the Mortgagor or the related guarantor in accordance with procedures
that the Master Servicer would follow in servicing loans held for its own
account, subject to the terms and conditions of the related Mortgage and
Mortgage Note and to the terms and conditions of any security agreement,
guarantee agreement, mortgage or other agreement governing the disposition of
the proceeds of such Additional Collateral) shall be deposited in the Custodial
Account, subject to withdrawal pursuant to Section 3.10. Any other payment
received by the Master Servicer in respect of such Additional Collateral shall
be deposited in the Custodial Account subject to withdrawal pursuant to Section
3.10.
For so long as the Master Servicer is the Master Servicer under the
Credit Support Pledge Agreement, the Master Servicer shall perform its
obligations under the Credit Support Pledge Agreement in accordance with such
Agreement and in a manner that is in the best interests of the
Certificateholders. Further, the Master Servicer shall use its best reasonable
efforts to realize upon any Pledged Assets for such of the Pledged Asset Loans
as come into and continue in default and as to which no satisfactory
arrangements can be made for collection of delinquent payments pursuant to
Section 3.07; provided that the Master Servicer shall not, on behalf of the
Trustee, obtain title to any such Pledged Assets as a result of or in lieu of
the disposition thereof or otherwise; and provided further that (i) the Master
Servicer shall not proceed with respect to such Pledged Assets in any manner
that would impair the ability to recover against the related Mortgaged Property,
and (ii) the Master Servicer shall proceed with any REO Acquisition in a manner
that preserves the ability to apply the proceeds of such Pledged Assets against
amounts owed under the defaulted Mortgage Loan. Any proceeds realized from such
Pledged Assets (other than amounts to be released to the Mortgagor or the
related guarantor in accordance with procedures that the Master Servicer would
follow in servicing loans held for its own account, subject to the terms and
conditions of the related Mortgage and Mortgage Note and to the terms and
conditions of any security agreement, guarantee agreement, mortgage or other
agreement governing the disposition of the proceeds of such Pledged Assets)
shall be deposited in the Custodial Account, subject to withdrawal pursuant to
Section 3.10. Any other payment received by the Master Servicer in respect of
such Pledged Assets shall be deposited in the Custodial Account subject to
withdrawal pursuant to Section 3.10.
Concurrently with the foregoing, the Master Servicer may pursue any
remedies that may be available in connection with a breach of a representation
and warranty with respect to any such Mortgage Loan in accordance with Sections
2.03 and 2.04. However, the Master Servicer is not required to continue to
pursue both foreclosure (or similar remedies) with respect to the Mortgage Loans
and remedies in connection with a breach of a representation and warranty if the
Master Servicer determines in its reasonable discretion that one such remedy is
more likely to result in a greater recovery as to the Mortgage Loan. Upon the
occurrence of a Cash Liquidation or REO Disposition, following the deposit in
the Custodial Account of all Insurance Proceeds, Liquidation Proceeds and other
payments and recoveries referred to in the definition of "Cash Liquidation" or
"REO Disposition," as applicable, upon receipt by the Trustee of written
notification of such deposit signed by a Servicing Officer, the Trustee or any
Custodian, as the case may be, shall release to the Master Servicer the related
Mortgage File and the Trustee shall execute and deliver such instruments of
transfer or assignment prepared by the Master Servicer, in each case without
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recourse, as shall be necessary to vest in the Master Servicer or its designee,
as the case may be, the related Mortgage Loan, and thereafter such Mortgage Loan
shall not be part of the Trust Fund. Notwithstanding the foregoing or any other
provision of this Agreement, in the Master Servicer's sole discretion with
respect to any defaulted Mortgage Loan or REO Property as to either of the
following provisions, (i) a Cash Liquidation or REO Disposition may be deemed to
have occurred if substantially all amounts expected by the Master Servicer to be
received in connection with the related defaulted Mortgage Loan or REO Property
have been received, and (ii) for purposes of determining the amount of any
Liquidation Proceeds, Insurance Proceeds, REO Proceeds or any other unscheduled
collections or the amount of any Realized Loss, the Master Servicer may take
into account minimal amounts of additional receipts expected to be received or
any estimated additional liquidation expenses expected to be incurred in
connection with the related defaulted Mortgage Loan or REO Property.
(b) If title to any Mortgaged Property is acquired by the Trust Fund as
an REO Property by foreclosure or by deed in lieu of foreclosure, the deed or
certificate of sale shall be issued to the Trustee or to its nominee on behalf
of Certificateholders. Notwithstanding any such acquisition of title and
cancellation of the related Mortgage Loan, such REO Property shall (except as
otherwise expressly provided herein) be considered to be an Outstanding Mortgage
Loan held in the Trust Fund until such time as the REO Property shall be sold.
Consistent with the foregoing for purposes of all calculations hereunder so long
as such REO Property shall be considered to be an Outstanding Mortgage Loan it
shall be assumed that, notwithstanding that the indebtedness evidenced by the
related Mortgage Note shall have been discharged, such Mortgage Note and the
related amortization schedule in effect at the time of any such acquisition of
title (after giving effect to any previous Curtailments and before any
adjustment thereto by reason of any bankruptcy or similar proceeding or any
moratorium or similar waiver or grace period) remain in effect.
(c) If the Trust Fund acquires any REO Property as aforesaid or
otherwise in connection with a default or imminent default on a Mortgage Loan,
the Master Servicer on behalf of the Trust Fund shall dispose of such REO
Property as soon as practicable, giving due consideration to the interests of
the Certificateholders, but in all cases within three full years after the
taxable year of its acquisition by the Trust Fund for purposes of Section
860G(a)(8) of the Code (or such shorter period as may be necessary under
applicable state (including any state in which such property is located) law to
maintain the status of any portion of any REMIC formed under the Series
Supplement as a REMIC under applicable state law and avoid taxes resulting from
such property failing to be foreclosure property under applicable state law) or,
at the expense of the Trust Fund, request, more than 60 days before the day on
which such grace period would otherwise expire, an extension of such grace
period unless the Master Servicer (subject to Section 10.01(f)) obtains for the
Trustee an Opinion of Counsel, addressed to the Trustee and the Master Servicer,
to the effect that the holding by the Trust Fund of such REO Property subsequent
to such period will not result in the imposition of taxes on "prohibited
transactions" as defined in Section 860F of the Code or cause any REMIC formed
under the Series Supplement to fail to qualify as a REMIC (for federal (or any
applicable State or local) income tax purposes) at any time that any
Certificates are outstanding, in which case the Trust Fund may continue to hold
such REO Property (subject to any conditions contained in such Opinion of
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Counsel). The Master Servicer shall be entitled to be reimbursed from the
Custodial Account for any costs incurred in obtaining such Opinion of Counsel,
as provided in Section 3.10. Notwithstanding any other provision of this
Agreement, no REO Property acquired by the Trust Fund shall be rented (or
allowed to continue to be rented) or otherwise used by or on behalf of the Trust
Fund in such a manner or pursuant to any terms that would (i) cause such REO
Property to fail to qualify as "foreclosure property" within the meaning of
Section 860G(a)(8) of the Code or (ii) subject the Trust Fund to the imposition
of any federal income taxes on the income earned from such REO Property,
including any taxes imposed by reason of Section 860G(c) of the Code, unless the
Master Servicer has agreed to indemnify and hold harmless the Trust Fund with
respect to the imposition of any such taxes.
(d) The proceeds of any Cash Liquidation, REO Disposition or purchase or
repurchase of any Mortgage Loan pursuant to the terms of this Agreement, as well
as any recovery resulting from a collection of Liquidation Proceeds, Insurance
Proceeds or REO Proceeds, will be applied in the following order of priority:
first, to reimburse the Master Servicer or the related Subservicer in accordance
with Section 3.10(a)(ii); second, to the Certificateholders to the extent of
accrued and unpaid interest on the Mortgage Loan, and any related REO Imputed
Interest, at the Net Mortgage Rate (or the Modified Net Mortgage Rate in the
case of a Modified Mortgage Loan) to the Due Date prior to the Distribution Date
on which such amounts are to be distributed; third, to the Certificateholders as
a recovery of principal on the Mortgage Loan (or REO Property); fourth, to all
Servicing Fees and Subservicing Fees payable therefrom (and the Master Servicer
and the Subservicer shall have no claims for any deficiencies with respect to
such fees which result from the foregoing allocation); and fifth, to Foreclosure
Profits.
(e) In the event of a default on a Mortgage Loan one or more of whose
obligors is not a United States Person, in connection with any foreclosure or
acquisition of a deed in lieu of foreclosure (together, "foreclosure") in
respect of such Mortgage Loan, the Master Servicer will cause compliance with
the provisions of Treasury Regulation Section 1.1445-2(d)(3) (or any successor
thereto) necessary to assure that no withholding tax obligation arises with
respect to the proceeds of such foreclosure except to the extent, if any, that
proceeds of such foreclosure are required to be remitted to the obligors on such
Mortgage Loan.
Section 3.15 Trustee to Cooperate; Release of Mortgage Files.
(a) Upon becoming aware of the payment in full of any Mortgage Loan, or
upon the receipt by the Master Servicer of a notification that payment in full
will be escrowed in a manner customary for such purposes, the Master Servicer
will immediately notify the Trustee (if it holds the related Mortgage File) or
the Custodian by a certification of a Servicing Officer (which certification
shall include a statement to the effect that all amounts received or to be
received in connection with such payment which are required to be deposited in
the Custodial Account pursuant to Section 3.07 have been or will be so
deposited), substantially in one of the forms attached hereto as Exhibit F, or,
in the case of the Custodian, an electronic request in a form acceptable to the
Custodian, requesting delivery to it of the Mortgage File. Within two Business
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Days of receipt of such certification and request, the Trustee shall release, or
cause the Custodian to release, the related Mortgage File to the Master
Servicer. The Master Servicer is authorized to execute and deliver to the
Mortgagor the request for reconveyance, deed of reconveyance or release or
satisfaction of mortgage or such instrument releasing the lien of the Mortgage,
together with the Mortgage Note with, as appropriate, written evidence of
cancellation thereon and to cause the removal from the registration on the
MERS(R) System of such Mortgage and to execute and deliver, on behalf of the
Trustee and the Certificateholders or any of them, any and all instruments of
satisfaction or cancellation or of partial or full release. No expenses incurred
in connection with any instrument of satisfaction or deed of reconveyance shall
be chargeable to the Custodial Account or the Certificate Account.
(b) From time to time as is appropriate for the servicing or foreclosure
of any Mortgage Loan, the Master Servicer shall deliver to the Custodian, with a
copy to the Trustee, a certificate of a Servicing Officer substantially in one
of the forms attached as Exhibit F hereto, or, in the case of the Custodian, an
electronic request in a form acceptable to the Custodian, requesting that
possession of all, or any document constituting part of, the Mortgage File be
released to the Master Servicer and certifying as to the reason for such release
and that such release will not invalidate any insurance coverage provided in
respect of the Mortgage Loan under any Required Insurance Policy. Upon receipt
of the foregoing, the Trustee shall deliver, or cause the Custodian to deliver,
the Mortgage File or any document therein to the Master Servicer. The Master
Servicer shall cause each Mortgage File or any document therein so released to
be returned to the Trustee, or the Custodian as agent for the Trustee when the
need therefor by the Master Servicer no longer exists, unless (i) the Mortgage
Loan has been liquidated and the Liquidation Proceeds relating to the Mortgage
Loan have been deposited in the Custodial Account or (ii) the Mortgage File or
such document has been delivered directly or through a Subservicer to an
attorney, or to a public trustee or other public official as required by law,
for purposes of initiating or pursuing legal action or other proceedings for the
foreclosure of the Mortgaged Property either judicially or non-judicially, and
the Master Servicer has delivered directly or through a Subservicer to the
Trustee a certificate of a Servicing Officer certifying as to the name and
address of the Person to which such Mortgage File or such document was delivered
and the purpose or purposes of such delivery. In the event of the liquidation of
a Mortgage Loan, the Trustee shall deliver the Request for Release with respect
thereto to the Master Servicer upon deposit of the related Liquidation Proceeds
in the Custodial Account.
(c) The Trustee or the Master Servicer on the Trustee's behalf shall
execute and deliver to the Master Servicer, if necessary, any court pleadings,
requests for trustee's sale or other documents necessary to the foreclosure or
trustee's sale in respect of a Mortgaged Property or to any legal action brought
to obtain judgment against any Mortgagor on the Mortgage Note or Mortgage or to
obtain a deficiency judgment, or to enforce any other remedies or rights
provided by the Mortgage Note or Mortgage or otherwise available at law or in
equity. Together with such documents or pleadings (if signed by the Trustee),
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the Master Servicer shall deliver to the Trustee a certificate of a Servicing
Officer requesting that such pleadings or documents be executed by the Trustee
and certifying as to the reason such documents or pleadings are required and
that the execution and delivery thereof by the Trustee will not invalidate any
insurance coverage under any Required Insurance Policy or invalidate or
otherwise affect the lien of the Mortgage, except for the termination of such a
lien upon completion of the foreclosure or trustee's sale.
Section 3.16 Servicing and Other Compensation; Compensating Interest.
(a) The Master Servicer, as compensation for its activities hereunder,
shall be entitled to receive on each Distribution Date the amounts provided for
by clauses (iii), (iv), (v) and (vi) of Section 3.10(a), subject to clause (e)
below. The amount of servicing compensation provided for in such clauses shall
be accounted for on a Mortgage Loan-by-Mortgage Loan basis. In the event that
Liquidation Proceeds, Insurance Proceeds and REO Proceeds (net of amounts
reimbursable therefrom pursuant to Section 3.10(a)(ii)) in respect of a Cash
Liquidation or REO Disposition exceed the unpaid principal balance of such
Mortgage Loan plus unpaid interest accrued thereon (including REO Imputed
Interest) at a per annum rate equal to the related Net Mortgage Rate (or the
Modified Net Mortgage Rate in the case of a Modified Mortgage Loan), the Master
Servicer shall be entitled to retain therefrom and to pay to itself and/or the
related Subservicer, any Foreclosure Profits and any Servicing Fee or
Subservicing Fee considered to be accrued but unpaid.
(b) Additional servicing compensation in the form of prepayment charges,
assumption fees, late payment charges, investment income on amounts in the
Custodial Account or the Certificate Account or otherwise shall be retained by
the Master Servicer or the Subservicer to the extent provided herein, subject to
clause (e) below.
(c) The Master Servicer shall be required to pay, or cause to be paid,
all expenses incurred by it in connection with its servicing activities
hereunder (including payment of premiums for the Primary Insurance Policies, if
any, to the extent such premiums are not required to be paid by the related
Mortgagors, and the fees and expenses of the Trustee and any Custodian) and
shall not be entitled to reimbursement therefor except as specifically provided
in Sections 3.10 and 3.14.
(d) The Master Servicer's right to receive servicing compensation may
not be transferred in whole or in part except in connection with the transfer of
all of its responsibilities and obligations of the Master Servicer under this
Agreement.
(e) Notwithstanding any other provision herein, the amount of servicing
compensation that the Master Servicer shall be entitled to receive for its
activities hereunder for the period ending on each Distribution Date shall be
reduced (but not below zero) by an amount equal to Compensating Interest (if
any) for such Distribution Date. Such reduction shall be applied during such
period as follows: first, to any Servicing Fee or Subservicing Fee to which the
Master Servicer is entitled pursuant to Section 3.10(a)(iii) and second, to any
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income or gain realized from any investment of funds held in the Custodial
Account or the Certificate Account to which the Master Servicer is entitled
pursuant to Sections 3.07(c) or 4.01(b), respectively. In making such reduction,
the Master Servicer (i) will not withdraw from the Custodial Account any such
amount representing all or a portion of the Servicing Fee to which it is
entitled pursuant to Section 3.10(a)(iii) and (ii) will not withdraw from the
Custodial Account or Certificate Account any such amount to which it is entitled
pursuant to Section 3.07(c) or 4.01(b).
Section 3.17 Reports to the Trustee and the Company.
Not later than fifteen days after each Distribution Date, the Master
Servicer shall forward to the Trustee and the Company a statement, certified by
a Servicing Officer, setting forth the status of the Custodial Account as of the
close of business on such Distribution Date as it relates to the Mortgage Loans
and showing, for the period covered by such statement, the aggregate of deposits
in or withdrawals from the Custodial Account in respect of the Mortgage Loans
for each category of deposit specified in Section 3.07 and each category of
withdrawal specified in Section 3.10.
Section 3.18 Annual Statement as to Compliance.
The Master Servicer will deliver to the Company, the Trustee and any
Certificate Insurer on or before the earlier of (a) March 31 of each year,
beginning with the first March 31 that occurs at least six months after the
Cut-off Date or (b) with respect to any calendar year during which the Company's
annual report on Form 10-K is required to be filed in accordance with the
Exchange Act and the rules and regulations of the Commission, the date on which
the annual report on Form 10-K is required to be filed in accordance with the
Exchange Act and the rules and regulations of the Commission, an Officers'
Certificate stating, as to each signer thereof, that (i) a review of the
activities of the Master Servicer during the preceding calendar year related to
its servicing of mortgage loans and its performance under pooling and servicing
agreements, including this Agreement, has been made under such officers'
supervision, (ii) to the best of such officers' knowledge, based on such review,
the Master Servicer has complied in all material respects with the minimum
servicing standards set forth in the Uniform Single Attestation Program for
Mortgage Bankers and has fulfilled all of its material obligations relating to
this Agreement in all material respects throughout such year, or, if there has
been material noncompliance with such servicing standards or a default in the
fulfillment in all material respects of any such obligation relating to this
Agreement, such statement shall include a description of such noncompliance or
specify each such default, as the case may be, known to such officer and the
nature and status thereof and (iii) to the best of such officers' knowledge,
each Subservicer has complied in all material respects with the minimum
servicing standards set forth in the Uniform Single Attestation Program for
Mortgage Bankers and has fulfilled all of its material obligations under its
Subservicing Agreement in all material respects throughout such year, or, if
there has been material noncompliance with such servicing standards or a
material default in the fulfillment of such obligations relating to this
Agreement, such statement shall include a description of such noncompliance or
specify each such default, as the case may be, known to such officer and the
nature and status thereof.
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Section 3.19 Annual Independent Public Accountants' Servicing Report.
On or before the earlier of (a) March 31 of each year, beginning with
the first March 31 that occurs at least six months after the Cut-off Date or (b)
with respect to any calendar year during which the Company's annual report on
Form 10-K is required to be filed in accordance with the Exchange Act and the
rules and regulations of the Commission, the date on which the annual report on
Form 10-K is required to be filed in accordance with the Exchange Act and the
rules and regulations of the Commission, the Master Servicer at its expense
shall cause a firm of independent public accountants, which shall be members of
the American Institute of Certified Public Accountants, to furnish a report to
the Company and the Trustee stating its opinion that, on the basis of an
examination conducted by such firm substantially in accordance with standards
established by the American Institute of Certified Public Accountants, the
assertions made pursuant to Section 3.18 regarding compliance with the minimum
servicing standards set forth in the Uniform Single Attestation Program for
Mortgage Bankers during the preceding calendar year are fairly stated in all
material respects, subject to such exceptions and other qualifications that, in
the opinion of such firm, such accounting standards require it to report. In
rendering such statement, such firm may rely, as to matters relating to the
direct servicing of mortgage loans by Subservicers, upon comparable statements
for examinations conducted by independent public accountants substantially in
accordance with standards established by the American Institute of Certified
Public Accountants (rendered within one year of such statement) with respect to
such Subservicers.
Section 3.20 Rights of the Company in Respect of the Master Servicer.
The Master Servicer shall afford the Company, upon reasonable notice,
during normal business hours access to all records maintained by the Master
Servicer in respect of its rights and obligations hereunder and access to
officers of the Master Servicer responsible for such obligations. Upon request,
the Master Servicer shall furnish the Company with its most recent financial
statements and such other information as the Master Servicer possesses regarding
its business, affairs, property and condition, financial or otherwise. The
Master Servicer shall also cooperate with all reasonable requests for
information including, but not limited to, notices, tapes and copies of files,
regarding itself, the Mortgage Loans or the Certificates from any Person or
Persons identified by the Company or Residential Funding. The Company may, but
is not obligated to, enforce the obligations of the Master Servicer hereunder
and may, but is not obligated to, perform, or cause a designee to perform, any
defaulted obligation of the Master Servicer hereunder or exercise the rights of
the Master Servicer hereunder; provided that the Master Servicer shall not be
relieved of any of its obligations hereunder by virtue of such performance by
the Company or its designee. The Company shall not have any responsibility or
liability for any action or failure to act by the Master Servicer and is not
obligated to supervise the performance of the Master Servicer under this
Agreement or otherwise.
Section 3.21 Administration of Buydown Funds.
(a) With respect to any Buydown Mortgage Loan, the Subservicer has deposited
Buydown Funds in an account that satisfies the requirements for a Subservicing
Account (the "Buydown Account"). The Master Servicer shall cause the
Subservicing Agreement to require that upon receipt from the Mortgagor of the
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amount due on a Due Date for each Buydown Mortgage Loan, the Subservicer will
withdraw from the Buydown Account the predetermined amount that, when added to
the amount due on such date from the Mortgagor, equals the full Monthly Payment
and transmit that amount in accordance with the terms of the Subservicing
Agreement to the Master Servicer together with the related payment made by the
Mortgagor or advanced by the Subservicer.
(b) If the Mortgagor on a Buydown Mortgage Loan prepays such loan in its
entirety during the period (the "Buydown Period") when Buydown Funds are
required to be applied to such Buydown Mortgage Loan, the Subservicer shall be
required to withdraw from the Buydown Account and remit any Buydown Funds
remaining in the Buydown Account in accordance with the related buydown
agreement. The amount of Buydown Funds which may be remitted in accordance with
the related buydown agreement may reduce the amount required to be paid by the
Mortgagor to fully prepay the related Mortgage Loan. If the Mortgagor on a
Buydown Mortgage Loan defaults on such Mortgage Loan during the Buydown Period
and the property securing such Buydown Mortgage Loan is sold in the liquidation
thereof (either by the Master Servicer or the insurer under any related Primary
Insurance Policy), the Subservicer shall be required to withdraw from the
Buydown Account the Buydown Funds for such Buydown Mortgage Loan still held in
the Buydown Account and remit the same to the Master Servicer in accordance with
the terms of the Subservicing Agreement for deposit in the Custodial Account or,
if instructed by the Master Servicer, pay to the insurer under any related
Primary Insurance Policy if the Mortgaged Property is transferred to such
insurer and such insurer pays all of the loss incurred in respect of such
default. Any amount so remitted pursuant to the preceding sentence will be
deemed to reduce the amount owed on the Mortgage Loan.
Section 3.22 Advance Facility.
(a) The Master Servicer is hereby authorized to enter into a financing
or other facility (any such arrangement, an "Advance Facility") under which (1)
the Master Servicer sells, assigns or pledges to another Person (an "Advancing
Person") the Master 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 Master
Servicer pursuant to this Agreement. No consent of the Depositor, the Trustee,
the Certificateholders or any other party shall be required before the Master
Servicer may enter into an Advance Facility. Notwithstanding the existence of
any Advance Facility under which an Advancing Person agrees to fund Advances
and/or Servicing Advances on the Master Servicer's behalf, the Master Servicer
shall remain obligated pursuant to this Agreement to make Advances and Servicing
Advances pursuant to and as required by this Agreement. If the Master 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 Master Servicer
shall identify such Reimbursement Amounts consistent with the reimbursement
rights set forth in Section 3.10(a)(ii) and (vii) and remit such Reimbursement
Amounts in accordance with this Section 3.22 or otherwise in accordance with the
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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 in an Advance Facility Notice described below in Section
3.22(b). Notwithstanding the foregoing, if so required pursuant to the terms of
the Advance Facility, the Master Servicer may direct, and if so directed in
writing the Trustee is hereby authorized to and shall pay to the Advance
Facility Trustee the Reimbursement Amounts identified pursuant to the preceding
sentence. An Advancing Person whose obligations hereunder are limited to the
funding of Advances and/or Servicing Advances shall not be required to meet the
qualifications of a Master Servicer or a Subservicer pursuant to Section 3.02(a)
or 6.02(c) hereof and shall not be deemed to be a Subservicer under this
Agreement. Notwithstanding anything to the contrary herein, in no event shall
Advance Reimbursement Amounts or Servicing Advance Reimbursement Amounts be
included in the Available Distribution Amount or distributed to
Certificateholders.
(b) If the Master Servicer enters into an Advance Facility and makes the
election set forth in Section 3.22(a), the Master Servicer and the related
Advancing Person shall deliver to the Trustee a written notice and payment
instruction (an "Advance Facility Notice"), providing the Trustee with written
payment instructions as to where to remit Advance Reimbursement Amounts and/or
Servicing Advance Reimbursement Amounts (each to the extent such type of
Reimbursement Amount is included within the Advance Facility) on subsequent
Distribution Dates. The payment instruction shall require the applicable
Reimbursement Amounts to be distributed to the Advancing Person or to an Advance
Facility Trustee designated in the Advance Facility Notice. An Advance Facility
Notice may only be terminated by the joint written direction of the Master
Servicer and the related Advancing Person (and any related Advance Facility
Trustee).
(c) 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 Master Servicer would be permitted to reimburse itself in accordance
with Section 3.10(a)(ii) and (vii) hereof, assuming the Master 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 Section 3.10(c) of 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. Neither the Depositor nor 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 and the Depositor shall not have any
responsibility to track, monitor or verify the payment of Reimbursement Amounts
to the related Advancing Person or Advance Facility Trustee. The Master Servicer
shall maintain and provide to any Successor Master Servicer 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 Master
Servicer shall be entitled to rely on any such information provided by the
Master Servicer and the Successor Master Servicer shall not be liable for any
errors in such information.
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(d) Upon the direction of and at the expense of the Master Servicer, the
Trustee agrees to execute such acknowledgments, certificates, and other
documents provided by the Master Servicer and reasonably satisfactory to the
Trustee recognizing the interests of any Advancing Person or Advance Facility
Trustee in such Reimbursement Amounts as the Master Servicer may cause to be
made subject to Advance Facilities pursuant to this Section 3.22, and such other
documents in connection with such Advance Facility as may be reasonably
requested from time to time by any Advancing Person or Advance Facility Trustee
and reasonably satisfactory to the Trustee.
(e) Reimbursement Amounts collected with respect to each Mortgage Loan
shall be allocated to outstanding unreimbursed Advances or Servicing Advances
(as the case may be) made with respect to that Mortgage Loan on a "first-in,
first out" ("FIFO") basis, subject to the qualifications set forth below:
(i) Any successor Master Servicer to Residential Funding (a "Successor
Master Servicer") and the Advancing Person or Advance Facility Trustee
shall be required to apply all amounts available in accordance with this
Section 3.22(e) to the reimbursement of Advances and Servicing Advances
in the manner provided for herein; provided, however, that after the
succession of a Successor Master Servicer, (A) to the extent that any
Advances or Servicing Advances with respect to any particular Mortgage
Loan are reimbursed from payments or recoveries, if any, from the
related Mortgagor, and Liquidation Proceeds or Insurance Proceeds, if
any, with respect to that Mortgage Loan, reimbursement shall be made,
first, to the Advancing Person or Advance Facility Trustee in respect of
Advances and/or Servicing Advances related to that Mortgage Loan to the
extent of the interest of the Advancing Person or Advance Facility
Trustee in such Advances and/or Servicing Advances, second to the Master
Servicer in respect of Advances and/or Servicing Advances related to
that Mortgage Loan in excess of those in which the Advancing Person or
Advance Facility Trustee Person has an interest, and third, to the
Successor Master Servicer in respect of any other Advances and/or
Servicing Advances related to that Mortgage Loan, from such sources as
and when collected, and (B) reimbursements of Advances and Servicing
Advances that are Nonrecoverable Advances shall be made pro rata to the
Advancing Person or Advance Facility Trustee, on the one hand, and any
such Successor Master Servicer, on the other hand, on the basis of the
respective aggregate outstanding unreimbursed Advances and Servicing
Advances that are Nonrecoverable Advances owed to the Advancing Person,
Advance Facility Trustee or Master Servicer pursuant to this Agreement,
on the one hand, and any such Successor Master Servicer, on the other
hand, and without regard to the date on which any such Advances or
Servicing Advances shall have been made. In the event that, as a result
of the FIFO allocation made pursuant to this Section 3.22(e), some or
all of a Reimbursement Amount paid to the Advancing Person or Advance
Facility Trustee relates to Advances or Servicing Advances that were
made by a Person other than Residential Funding or the Advancing Person
or Advance Facility Trustee, then the Advancing Person or Advance
Facility Trustee shall be required to remit any portion of such
Reimbursement Amount to the Person entitled to such portion of such
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Reimbursement Amount. Without limiting the generality of the foregoing,
Residential Funding shall remain entitled to be reimbursed by the
Advancing Person or Advance Facility Trustee for all Advances and
Servicing Advances funded by Residential Funding to the extent the
related Reimbursement Amount(s) have not been assigned or pledged to an
Advancing Person or Advance Facility Trustee. The documentation
establishing any Advance Facility shall require Residential Funding to
provide to the related Advancing Person or Advance Facility Trustee loan
by loan information with respect to each Reimbursement Amount
distributed to such Advancing Person or Advance Facility Trustee on each
date of remittance thereof to such Advancing Person or Advance Facility
Trustee, to enable the Advancing Person or Advance Facility Trustee to
make the FIFO allocation of each Reimbursement Amount with respect to
each Mortgage Loan.
(ii) By way of illustration, and not by way of limiting the generality of the
foregoing, if the Master Servicer resigns or is terminated at a time
when the Master Servicer is a party to an Advance Facility, and is
replaced by a Successor Master Servicer, and the Successor Master
Servicer directly funds Advances or Servicing Advances with respect to a
Mortgage Loan and does not assign or pledge the related Reimbursement
Amounts to the related Advancing Person or Advance Facility Trustee,
then all payments and recoveries received from the related Mortgagor or
received in the form of Liquidation Proceeds with respect to such
Mortgage Loan (including Insurance Proceeds collected in connection with
a liquidation of such Mortgage Loan) will be allocated first to the
Advancing Person or Advance Facility Trustee until the related
Reimbursement Amounts attributable to such Mortgage Loan that are owed
to the Master Servicer and the Advancing Person, which were made prior
to any Advances or Servicing Advances made by the Successor Master
Servicer, have been reimbursed in full, at which point the Successor
Master Servicer shall be entitled to retain all related Reimbursement
Amounts subsequently collected with respect to that Mortgage Loan
pursuant to Section 3.10 of this Agreement. To the extent that the
Advances or Servicing Advances are Nonrecoverable Advances to be
reimbursed on an aggregate basis pursuant to Section 3.10 of this
Agreement, the reimbursement paid in this manner will be made pro rata
to the Advancing Person or Advance Facility Trustee, on the one hand,
and the Successor Master Servicer, on the other hand, as described in
clause (i)(B) above.
(f) The Master Servicer shall remain entitled to be reimbursed for all
Advances and Xxxxxxxxx Advances funded by the Master Servicer to the extent the
related rights to be reimbursed therefor have not been sold, assigned or pledged
to an Advancing Person.
(g) Any amendment to this Section 3.22 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 3.22, including amendments to
add provisions relating to a successor master servicer, may be entered into by
the Trustee, the Depositor and the Master Servicer without the consent of any
Certificateholder, with written confirmation from each Rating Agency that the
amendment will not result in the reduction of the ratings on any class of the
Certificates below the lesser of the then current or original ratings on such
Certificates, and an opinion of counsel as required by Section 11.01(c)
notwithstanding anything to the contrary in Section 11.01 of or elsewhere in
this Agreement.
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(h) Any rights of set-off that the Trust Fund, the Trustee, the
Depositor, any Successor Master Servicer or any other Person might otherwise
have against the Master Servicer under this Agreement shall not attach to any
rights to be reimbursed for Advances or Servicing Advances that have been sold,
transferred, pledged, conveyed or assigned to any Advancing Person.
(i) At any time when an Advancing Person shall have ceased funding
Advances and/or Servicing Advances (as the case may be) and the Advancing Person
or related Advance Facility Trustee shall have received Reimbursement Amounts
sufficient in the aggregate to reimburse all Advances and/or Servicing Advances
(as the case may be) the right to reimbursement for which were assigned to the
Advancing Person, then upon the delivery of a written notice signed by the
Advancing Person and the Master Servicer or its successor or assign) to the
Trustee terminating the Advance Facility Notice (the "Notice of Facility
Termination"), the Master Servicer or its Successor Master Servicer shall again
be entitled to withdraw and retain the related Reimbursement Amounts from the
Custodial Account pursuant to Section 3.10.
(j) After delivery of any Advance Facility Notice, and until any such
Advance Facility Notice has been terminated by a Notice of Facility Termination,
this Section 3.22 may not be amended or otherwise modified without the prior
written consent of the related Advancing Person.
ARTICLE IV
PAYMENTS TO CERTIFICATEHOLDERS
Section 4.01 Certificate Account.
(a) The Master Servicer on behalf of the Trustee shall establish and
maintain a Certificate Account in which the Master Servicer shall cause to be
deposited on behalf of the Trustee on or before 2:00 P.M. New York time on each
Certificate Account Deposit Date by wire transfer of immediately available funds
an amount equal to the sum of (i) any Advance for the immediately succeeding
Distribution Date, (ii) any amount required to be deposited in the Certificate
Account pursuant to Section 3.12(a), (iii) any amount required to be deposited
in the Certificate Account pursuant to Section 3.16(e) or Section 4.07 and (iv)
all other amounts constituting the Available Distribution Amount for the
immediately succeeding Distribution Date.
(b) The Trustee shall, upon written request from the Master Servicer,
invest or cause the institution maintaining the Certificate Account to invest
the funds in the Certificate Account in Permitted Investments designated in the
name of the Trustee for the benefit of the Certificateholders, which shall
mature or be payable on demand not later than the Business Day next preceding
the Distribution Date next following the date of such investment (except that
(i) any investment in the institution with which the Certificate Account is
maintained may mature or be payable on demand on such Distribution Date and (ii)
any other investment may mature or be payable on demand on such Distribution
Date if the Trustee shall advance funds on such Distribution Date to the
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Certificate Account in the amount payable on such investment on such
Distribution Date, pending receipt thereof to the extent necessary to make
distributions on the Certificates) and shall not be sold or disposed of prior to
maturity. Subject to Section 3.16(e), all income and gain realized from any such
investment shall be for the benefit of the Master Servicer and shall be subject
to its withdrawal or order from time to time. The amount of any losses incurred
in respect of any such investments shall be deposited in the Certificate Account
by the Master Servicer out of its own funds immediately as realized without any
right of reimbursement.
Section 4.02 Distributions.
As provided in Section 4.02 of the Series Supplement.
Section 4.03 Statements to Certificateholders; Statements to Rating Agencies;
Exchange Act Reporting.
(a) Concurrently with each distribution charged to the Certificate
Account and with respect to each Distribution Date the Master Servicer shall
forward to the Trustee and the Trustee shall either forward by mail or make
available to each Holder and the Company, via the Trustee's internet website, a
statement (and at its option, any additional files containing the same
information in an alternative format) setting forth information as to each Class
of Certificates, the Mortgage Pool and, if the Mortgage Pool is comprised of two
or more Loan Groups, each Loan Group, to the extent applicable. This statement
will include the information set forth in an exhibit to the Series Supplement.
Such exhibit shall set forth the Trustee's internet website address together
with a phone number. The Trustee shall mail to each Holder that requests a paper
copy by telephone a paper copy via first class mail. The Trustee may modify the
distribution procedures set forth in this Section provided that such procedures
are no less convenient for the Certificateholders. The Trustee shall provide
prior notification to the Company, the Master Servicer and the
Certificateholders regarding any such modification. In addition, the Master
Servicer shall provide to any manager of a trust fund consisting of some or all
of the Certificates, upon reasonable request, such additional information as is
reasonably obtainable by the Master Servicer at no additional expense to the
Master Servicer. Also, at the request of a Rating Agency, the Master Servicer
shall provide the information relating to the Reportable Modified Mortgage Loans
substantially in the form attached hereto as Exhibit Q to such Rating Agency
within a reasonable period of time; provided, however, that the Master Servicer
shall not be required to provide such information more than four times in a
calendar year to any Rating Agency.
(b) Within a reasonable period of time after the end of each calendar
year, the Master Servicer shall prepare, or cause to be prepared, and shall
forward, or cause to be forwarded, to each Person who at any time during the
calendar year was the Holder of a Certificate, other than a Class R Certificate,
a statement containing the information set forth in clauses (i) and (ii) of the
exhibit to the Series Supplement referred to in subsection (a) above aggregated
for such calendar year or applicable portion thereof during which such Person
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was a Certificateholder. Such obligation of the Master Servicer shall be deemed
to have been satisfied to the extent that substantially comparable information
shall be provided by the Master Servicer pursuant to any requirements of the
Code.
(c) Within a reasonable period of time after the end of each calendar
year, the Master Servicer shall prepare, or cause to be prepared, and shall
forward, or cause to be forwarded, to each Person who at any time during the
calendar year was the Holder of a Class R Certificate, a statement containing
the applicable distribution information provided pursuant to this Section 4.03
aggregated for such calendar year or applicable portion thereof during which
such Person was the Holder of a Class R Certificate. Such obligation of the
Master Servicer shall be deemed to have been satisfied to the extent that
substantially comparable information shall be provided by the Master Servicer
pursuant to any requirements of the Code.
(d) Upon the written request of any Certificateholder, the Master
Servicer, as soon as reasonably practicable, shall provide the requesting
Certificateholder with such information as is necessary and appropriate, in the
Master Servicer's sole discretion, for purposes of satisfying applicable
reporting requirements under Rule 144A.
(e) The Trustee will make the reports referred to in Section 4.03(a)
(and, at its option, any additional files containing the same information in an
alternative format) available each month to Certificateholders, any Certificate
Insurer and other parties to the Agreement via the Trustee's website, which can
be obtained by calling (000) 000-0000. Persons that are unable to use the above
website are entitled to have a paper copy mailed to them via first class mail by
calling the Trustee at (000) 000-0000. The Trustee shall have the right to
change the way the reports referred to in Section 4.03(a) are distributed in
order to make such distribution more convenient and/or more accessible to the
above parties, to the Certificateholders and to any Certificate Insurer. The
Trustee shall provide timely and adequate notification to all the parties
mentioned above and to the Certificateholders regarding any such change.
(f) The Master Servicer shall, on behalf of the Company and in respect
of the Trust Fund, sign and cause to be filed with the Commission any periodic
reports required to be filed under the provisions of the Exchange Act, and the
rules and regulations of the Commission thereunder. In connection with the
preparation and filing of such periodic reports, the Trustee shall timely
provide to the Master Servicer (I) a list of Certificateholders as shown on the
Certificate Register as of the end of each calendar year, (II) copies of all
pleadings, other legal process and any other documents relating to any claims,
charges or complaints involving the Trustee, as trustee hereunder, or the Trust
Fund that are received by the Trustee, (III) notice of all matters that, to the
actual knowledge of a Responsible Officer of the Trustee, have been submitted to
a vote of the Certificateholders, other than those matters that have been
submitted to a vote of the Certificateholders at the request of the Company or
the Master Servicer, and (IV) notice of any failure of the Trustee to make any
distribution to the Certificateholders as required pursuant to this Agreement.
Neither the Master Servicer nor the Trustee shall have any liability with
respect to the Master Servicer's failure to properly prepare or file such
periodic reports resulting from or relating to the Master Servicer's inability
or failure to obtain any information not resulting from the Master Servicer's
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own negligence or willful misconduct. Any Form 10-K filed with the Commission in
connection with this clause (f) shall include a certification, signed by the
senior officer in charge of the servicing functions of the Master Servicer, in
the form attached as Exhibit O hereto or such other form as may be required or
permitted by the Commission (the "Form 10-K Certification"), in compliance with
Rule 13a-14 and 15d-14 under the Exchange Act and any additional directives of
the Commission. In connection with the Form 10-K Certification, the Trustee
shall provide the Master Servicer with a back-up certification substantially in
the form attached hereto as Exhibit P.
Section 4.04 Distribution of Reports to the Trustee and the Company; Advances by
the Master Servicer.
(a) Prior to the close of business on the Determination Date, the Master
Servicer shall furnish a written statement to the Trustee, any Certificate
Insurer, any Paying Agent and the Company (the information in such statement to
be made available to Certificateholders by the Master Servicer on request)
setting forth (i) the Available Distribution Amount and (ii) the amounts
required to be withdrawn from the Custodial Account and deposited into the
Certificate Account on the immediately succeeding Certificate Account Deposit
Date pursuant to clause (iii) of Section 4.01(a). The determination by the
Master Servicer of such amounts shall, in the absence of obvious error, be
presumptively deemed to be correct for all purposes hereunder and the Trustee
shall be protected in relying upon the same without any independent check or
verification.
(b) On or before 2:00 P.M. New York time on each Certificate Account
Deposit Date, the Master Servicer shall either (i) deposit in the Certificate
Account from its own funds, or funds received therefor from the Subservicers, an
amount equal to the Advances to be made by the Master Servicer in respect of the
related Distribution Date, which shall be in an aggregate amount equal to the
aggregate amount of Monthly Payments (with each interest portion thereof
adjusted to the Net Mortgage Rate), less the amount of any related Servicing
Modifications, Debt Service Reductions or reductions in the amount of interest
collectable from the Mortgagor pursuant to the Relief Act, on the Outstanding
Mortgage Loans as of the related Due Date, which Monthly Payments were not
received as of the close of business as of the related Determination Date;
provided that no Advance shall be made if it would be a Nonrecoverable Advance,
(ii) withdraw from amounts on deposit in the Custodial Account and deposit in
the Certificate Account all or a portion of the Amount Held for Future
Distribution in discharge of any such Advance, or (iii) make advances in the
form of any combination of (i) and (ii) aggregating the amount of such Advance.
Any portion of the Amount Held for Future Distribution so used shall be replaced
by the Master Servicer by deposit in the Certificate Account on or before 11:00
A.M. New York time on any future Certificate Account Deposit Date to the extent
that funds attributable to the Mortgage Loans that are available in the
Custodial Account for deposit in the Certificate Account on such Certificate
Account Deposit Date shall be less than payments to Certificateholders required
to be made on the following Distribution Date. The Master Servicer shall be
entitled to use any Advance made by a Subservicer as described in Section
3.07(b) that has been deposited in the Custodial Account on or before such
Distribution Date as part of the Advance made by the Master Servicer pursuant to
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this Section 4.04. The amount of any reimbursement pursuant to Section 4.02(a)
in respect of outstanding Advances on any Distribution Date shall be allocated
to specific Monthly Payments due but delinquent for previous Due Periods, which
allocation shall be made, to the extent practicable, to Monthly Payments which
have been delinquent for the longest period of time. Such allocations shall be
conclusive for purposes of reimbursement to the Master Servicer from recoveries
on related Mortgage Loans pursuant to Section 3.10.
The determination by the Master Servicer that it has made a
Nonrecoverable Advance or that any proposed Advance, if made, would constitute a
Nonrecoverable Advance, shall be evidenced by an Officers' Certificate of the
Master Servicer delivered to the Company and the Trustee.
If the Master Servicer determines as of the Business Day preceding any
Certificate Account Deposit Date that it will be unable to deposit in the
Certificate Account an amount equal to the Advance required to be made for the
immediately succeeding Distribution Date, it shall give notice to the Trustee of
its inability to advance (such notice may be given by telecopy), not later than
3:00 P.M., New York time, on such Business Day, specifying the portion of such
amount that it will be unable to deposit. Not later than 3:00 P.M., New York
time, on the Certificate Account Deposit Date the Trustee shall, unless by 12:00
Noon, New York time, on such day the Trustee shall have been notified in writing
(by telecopy) that the Master Servicer shall have directly or indirectly
deposited in the Certificate Account such portion of the amount of the Advance
as to which the Master Servicer shall have given notice pursuant to the
preceding sentence, pursuant to Section 7.01, (a) terminate all of the rights
and obligations of the Master Servicer under this Agreement in accordance with
Section 7.01 and (b) assume the rights and obligations of the Master Servicer
hereunder, including the obligation to deposit in the Certificate Account an
amount equal to the Advance for the immediately succeeding Distribution Date.
The Trustee shall deposit all funds it receives pursuant to this Section
4.04 into the Certificate Account.
Section 4.05 Allocation of Realized Losses.
As provided in Section 4.05 of the Series Supplement.
Section 4.06 Reports of Foreclosures and Abandonment of Mortgaged Property.
The Master Servicer or the Subservicers shall file information returns
with respect to the receipt of mortgage interests received in a trade or
business, the reports of foreclosures and abandonments of any Mortgaged Property
and the information returns relating to cancellation of indebtedness income with
respect to any Mortgaged Property required by Sections 6050H, 6050J and 6050P,
respectively, of the Code, and deliver to the Trustee an Officers' Certificate
on or before March 31 of each year stating that such reports have been filed.
Such reports shall be in form and substance sufficient to meet the reporting
requirements imposed by Sections 6050H, 6050J and 6050P of the Code.
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Section 4.07 Optional Purchase of Defaulted Mortgage Loans.
As to any Mortgage Loan which is delinquent in payment by 90 days or
more, the Master Servicer may, at its option, purchase such Mortgage Loan from
the Trustee at the Purchase Price therefor. If at any time the Master Servicer
makes a payment to the Certificate Account covering the amount of the Purchase
Price for such a Mortgage Loan, and the Master Servicer provides to the Trustee
a certification signed by a Servicing Officer stating that the amount of such
payment has been deposited in the Certificate Account, then the Trustee shall
execute the assignment of such Mortgage Loan at the request of the Master
Servicer without recourse to the Master Servicer, which shall succeed to all the
Trustee's right, title and interest in and to such Mortgage Loan, and all
security and documents relative thereto. Such assignment shall be an assignment
outright and not for security. The Master Servicer will thereupon own such
Mortgage, and all such security and documents, free of any further obligation to
the Trustee or the Certificateholders with respect thereto.
If, however the Master Servicer shall have exercised its right to
repurchase a Mortgage Loan pursuant to this Section 4.07 upon the written
request of and with funds provided by the Junior Certificateholder and thereupon
transferred such Mortgage Loan to the Junior Certificateholder, the Master
Servicer shall so notify the Trustee in writing.
Section 4.08 Surety Bond.
(a) If a Required Surety Payment is payable pursuant to the Surety Bond
with respect to any Additional Collateral Loan, the Master Servicer shall so
notify the Trustee as soon as reasonably practicable and the Trustee shall
promptly complete the notice in the form of Attachment 1 to the Surety Bond and
shall promptly submit such notice to the Surety as a claim for a Required
Surety. The Master Servicer shall upon request assist the Trustee in completing
such notice and shall provide any information requested by the Trustee in
connection therewith.
(b) Upon receipt of a Required Surety Payment from the Surety on behalf
of the Holders of Certificates, the Trustee shall deposit such Required Surety
Payment in the Certificate Account and shall distribute such Required Surety
Payment, or the proceeds thereof, in accordance with the provisions of Section
4.02.
(c) The Trustee shall (i) receive as attorney-in-fact of each Holder of
a Certificate any Required Surety Payment from the Surety and (ii) disburse the
same to the Holders of such Certificates as set forth in Section 4.02.
ARTICLE V
THE CERTIFICATES
Section 5.01 The Certificates.
(a) The Senior, Class M, Class B and Class R Certificates shall be substantially
in the forms set forth in Exhibits A, B, C and D, respectively, and shall, on
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original issue, be executed and delivered by the Trustee to the Certificate
Registrar for authentication and delivery to or upon the order of the Company
upon receipt by the Trustee or one or more Custodians of the documents specified
in Section 2.01. The Certificates shall be issuable in the minimum denominations
designated in the Preliminary Statement to the Series Supplement.
The Certificates shall be executed by manual or facsimile signature on
behalf of an authorized officer of the Trustee. Certificates bearing the manual
or facsimile signatures of individuals who were at any time the proper officers
of the Trustee shall bind the Trustee, notwithstanding that such individuals or
any of them have ceased to hold such offices prior to the authentication and
delivery of such Certificate or did not hold such offices at the date of such
Certificates. No Certificate shall be entitled to any benefit under this
Agreement, or be valid for any purpose, unless there appears on such Certificate
a certificate of authentication substantially in the form provided for herein
executed by the Certificate Registrar by manual signature, and such certificate
upon any Certificate shall be conclusive evidence, and the only evidence, that
such Certificate has been duly authenticated and delivered hereunder. All
Certificates shall be dated the date of their authentication.
(b) Except as provided below, registration of Book-Entry Certificates
may not be transferred by the Trustee except to another Depository that agrees
to hold such Certificates for the respective Certificate Owners with Ownership
Interests therein. The Holders of the Book-Entry Certificates shall hold their
respective Ownership Interests in and to each of such Certificates through the
book-entry facilities of the Depository and, except as provided below, shall not
be entitled to Definitive Certificates in respect of such Ownership Interests.
All transfers by Certificate Owners of their respective Ownership Interests in
the Book-Entry Certificates shall be made in accordance with the procedures
established by the Depository Participant or brokerage firm representing such
Certificate Owner. Each Depository Participant shall transfer the Ownership
Interests only in the Book-Entry Certificates of Certificate Owners it
represents or of brokerage firms for which it acts as agent in accordance with
the Depository's normal procedures.
The Trustee, the Master Servicer and the Company may for all purposes
(including the making of payments due on the respective Classes of Book-Entry
Certificates) deal with the Depository as the authorized representative of the
Certificate Owners with respect to the respective Classes of Book-Entry
Certificates for the purposes of exercising the rights of Certificateholders
hereunder. The rights of Certificate Owners with respect to the respective
Classes of Book-Entry Certificates shall be limited to those established by law
and agreements between such Certificate Owners and the Depository Participants
and brokerage firms representing such Certificate Owners. Multiple requests and
directions from, and votes of, the Depository as Holder of any Class of
Book-Entry Certificates with respect to any particular matter shall not be
deemed inconsistent if they are made with respect to different Certificate
Owners. The Trustee may establish a reasonable record date in connection with
solicitations of consents from or voting by Certificateholders and shall give
notice to the Depository of such record date.
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If (i)(A) the Company advises the Trustee in writing that the Depository
is no longer willing or able to properly discharge its responsibilities as
Depository and (B) the Company is unable to locate a qualified successor or (ii)
the Company, with the consent of a majority of the Certificateholders, advises
the Trustee in writing that it elects to terminate the book-entry system through
the Depository, the Trustee shall notify all Certificate Owners, through the
Depository, of the occurrence of any such event and of the availability of
Definitive Certificates to Certificate Owners requesting the same. Upon
surrender to the Trustee of the Book-Entry Certificates by the Depository,
accompanied by registration instructions from the Depository for registration of
transfer, the Trustee shall issue the Definitive Certificates.
In addition, if an Event of Default has occurred and is continuing, each
Certificate Owner materially adversely affected thereby may at its option
request a Definitive Certificate evidencing such Certificate Owner's Percentage
Interest in the related Class of Certificates. In order to make such request,
such Certificate Owner shall, subject to the rules and procedures of the
Depository, provide the Depository or the related Depository Participant with
directions for the Trustee to exchange or cause the exchange of the Certificate
Owner's interest in such Class of Certificates for an equivalent Percentage
Interest in fully registered definitive form. Upon receipt by the Trustee of
instruction from the Depository directing the Trustee to effect such exchange
(such instructions to contain information regarding the Class of Certificates
and the Certificate Balance being exchanged, the Depository Participant account
to be debited with the decrease, the registered holder of and delivery
instructions for the Definitive Certificates and any other information
reasonably required by the Trustee), (i) the Trustee shall instruct the
Depository to reduce the related Depository Participant's account by the
aggregate Certificate Principal Balance of the Definitive Certificates, (ii) the
Trustee shall execute, authenticate and deliver, in accordance with the
registration and delivery instructions provided by the Depository, a Definitive
Certificate evidencing such Certificate Owner's Percentage Interest in such
Class of Certificates and (iii) the Trustee shall execute and authenticate a new
Book-Entry Certificate reflecting the reduction in the aggregate Certificate
Principal Balance of such Class of Certificates by the amount of the Definitive
Certificates.
None of the Company, the Master Servicer or the Trustee shall be liable
for any actions taken by the Depository or its nominee, including, without
limitation, any delay in delivery of any instruction required under this section
and may conclusively rely on, and shall be protected in relying on, such
instructions. Upon the issuance of Definitive Certificates all references herein
to obligations imposed upon or to be performed by the Depository in connection
with the issuance of the Definitive Certificates pursuant to this Section 5.01
shall be deemed to be imposed upon and performed by the Trustee, and the Trustee
and the Master Servicer shall recognize the Holders of the Definitive
Certificates as Certificateholders hereunder.
(c) From time to time Residential Funding, as the initial Holder of the
Class A-V Certificates, may exchange such Holder's Class A-V Certificates for
Subclasses of Class A-V Certificates to be issued under this Agreement by
delivering a "Request for Exchange" substantially in the form attached hereto as
Exhibit N executed by an authorized officer, which Subclasses, in the aggregate,
will represent the Uncertificated Class A-V REMIC Regular Interests
corresponding to the Class A-V Certificates so surrendered for exchange. Any
Subclass so issued shall bear a numerical designation commencing with Class
A-V-1 and continuing sequentially thereafter, and will evidence ownership of the
Uncertificated Class A-V REMIC Regular Interest or Interests specified in
writing by such initial Holder to the Trustee. The Trustee may conclusively,
without any independent verification, rely on, and shall be protected in relying
on, Residential Funding's determinations of the Uncertificated Class A-V REMIC
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Regular Interests corresponding to any Subclass, the Initial Notional Amount and
the initial Pass-Through Rate on a Subclass as set forth in such Request for
Exchange and the Trustee shall have no duty to determine if any Uncertificated
Class A-V REMIC Regular Interest designated on a Request for Exchange
corresponds to a Subclass which has previously been issued. Each Subclass so
issued shall be substantially in the form set forth in Exhibit A and shall, on
original issue, be executed and delivered by the Trustee to the Certificate
Registrar for authentication and delivery in accordance with Section 5.01(a).
Every Certificate presented or surrendered for exchange by the initial Holder
shall (if so required by the Trustee or the Certificate Registrar) be duly
endorsed by, or be accompanied by a written instrument of transfer attached to
such Certificate and shall be completed to the satisfaction of the Trustee and
the Certificate Registrar duly executed by, the initial Holder thereof or his
attorney duly authorized in writing. The Certificates of any Subclass of Class
A-V Certificates may be transferred in whole, but not in part, in accordance
with the provisions of Section 5.02.
Section 5.02 Registration of Transfer and Exchange of Certificates.
(a) The Trustee shall cause to be kept at one of the offices or agencies
to be appointed by the Trustee in accordance with the provisions of Section 8.12
a Certificate Register in which, subject to such reasonable regulations as it
may prescribe, the Trustee shall provide for the registration of Certificates
and of transfers and exchanges of Certificates as herein provided. The Trustee
is initially appointed Certificate Registrar for the purpose of registering
Certificates and transfers and exchanges of Certificates as herein provided. The
Certificate Registrar, or the Trustee, shall provide the Master Servicer with a
certified list of Certificateholders as of each Record Date prior to the related
Determination Date.
(b) Upon surrender for registration of transfer of any Certificate at
any office or agency of the Trustee maintained for such purpose pursuant to
Section 8.12 and, in the case of any Class M, Class B or Class R Certificate,
upon satisfaction of the conditions set forth below, the Trustee shall execute
and the Certificate Registrar shall authenticate and deliver, in the name of the
designated transferee or transferees, one or more new Certificates of a like
Class (or Subclass) and aggregate Percentage Interest.
(c) At the option of the Certificateholders, Certificates may be
exchanged for other Certificates of authorized denominations of a like Class (or
Subclass) and aggregate Percentage Interest, upon surrender of the Certificates
to be exchanged at any such office or agency. Whenever any Certificates are so
surrendered for exchange the Trustee shall execute and the Certificate Registrar
shall authenticate and deliver the Certificates of such Class which the
Certificateholder making the exchange is entitled to receive. Every Certificate
presented or surrendered for transfer or exchange shall (if so required by the
Trustee or the Certificate Registrar) be duly endorsed by, or be accompanied by
a written instrument of transfer in form satisfactory to the Trustee and the
Certificate Registrar duly executed by, the Holder thereof or his attorney duly
authorized in writing.
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(d) No transfer, sale, pledge or other disposition of a Class B
Certificate shall be made unless such transfer, sale, pledge or other
disposition is exempt from the registration requirements of the Securities Act
of 1933, as amended, and any applicable state securities laws or is made in
accordance with said Act and laws. In the event that a transfer of a Class B
Certificate is to be made either (i)(A) the Trustee shall require a written
Opinion of Counsel acceptable to and in form and substance satisfactory to the
Trustee and the Company that such transfer may be made pursuant to an exemption,
describing the applicable exemption and the basis therefor, from said Act and
laws or is being made pursuant to said Act and laws, which Opinion of Counsel
shall not be an expense of the Trustee, the Company or the Master Servicer
(except that, if such transfer is made by the Company or the Master Servicer or
any Affiliate thereof, the Company or the Master Servicer shall provide such
Opinion of Counsel at their own expense); provided that such Opinion of Counsel
will not be required in connection with the initial transfer of any such
Certificate by the Company or any Affiliate thereof to the Company or an
Affiliate of the Company and (B) the Trustee shall require the transferee to
execute a representation letter, substantially in the form of Exhibit H hereto,
and the Trustee shall require the transferor to execute a representation letter,
substantially in the form of Exhibit I hereto, each acceptable to and in form
and substance satisfactory to the Company and the Trustee certifying to the
Company and the Trustee the facts surrounding such transfer, which
representation letters shall not be an expense of the Trustee, the Company or
the Master Servicer; provided, however, that such representation letters will
not be required in connection with any transfer of any such Certificate by the
Company or any Affiliate thereof to the Company or an Affiliate of the Company,
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 Company, of the status of such transferee as an Affiliate of the Company or
(ii) the prospective transferee of such a Certificate shall be required to
provide the Trustee, the Company and the Master Servicer with an investment
letter substantially in the form of Exhibit J attached hereto (or such other
form as the Company in its sole discretion deems acceptable), which investment
letter shall not be an expense of the Trustee, the Company or the Master
Servicer, and which investment letter states that, among other things, such
transferee (A) is a "qualified institutional buyer" as defined under Rule 144A,
acting for its own account or the accounts of other "qualified institutional
buyers" as defined under Rule 144A, and (B) is aware that the proposed
transferor intends to rely on the exemption from registration requirements under
the Securities Act provided by Rule 144A. The Holder of any such Certificate
desiring to effect any such transfer, sale, pledge or other disposition shall,
and does hereby agree to, indemnify the Trustee, the Company, the Master
Servicer and the Certificate Registrar against any liability that may result if
the transfer, sale, pledge or other disposition is not so exempt or is not made
in accordance with such federal and state laws.
(e) (i) In the case of any Class B or Class R Certificate presented for
registration in the name of any Person, either (A) the Trustee shall require an
Opinion of Counsel acceptable to and in form and substance satisfactory to the
Trustee, the Company and the Master Servicer to the effect that the purchase and
holding of such Class B or Class R Certificate are permissible under applicable
law, will not constitute or result in any non-exempt prohibited transaction
under Section 406 of the Employee Retirement Income Security Act of 1974, as
amended ("ERISA"), or Section 4975 of the Code (or comparable provisions of any
subsequent enactments), and will not subject the Trustee, the Company or the
Master Servicer to any obligation or liability (including obligations or
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liabilities under ERISA or Section 4975 of the Code) in addition to those
undertaken in this Agreement, which Opinion of Counsel shall not be an expense
of the Trustee, the Company or the Master Servicer or (B) the prospective
Transferee shall be required to provide the Trustee, the Company and the Master
Servicer with a certification to the effect set forth in paragraph six of
Exhibit H (with respect to any Class B Certificate) or paragraph fifteen of
Exhibit G-1 (with respect to any Class R Certificate), which the Trustee may
rely upon without further inquiry or investigation, or such other certifications
as the Trustee may deem desirable or necessary in order to establish that such
Transferee or the Person in whose name such registration is requested either (a)
is not an employee benefit plan or other plan subject to the prohibited
transaction provisions of ERISA or Section 4975 of the Code, or any Person
(including an investment manager, a named fiduciary or a trustee of any such
plan) who is using "plan assets" of any such plan to effect such acquisition
(each, a "Plan Investor") or (b) in the case of any Class B Certificate, 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 (each entity that satisfies this clause (b), a "Complying Insurance
Company").
(ii) Any Transferee of a Class M 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
Investor, (b) it has acquired and is holding such Certificate in
reliance on Prohibited Transaction Exemption ("PTE") 94-29, 59 Fed. Reg.
14674 (March 29, 1994), 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 "RFC
Exemption"), and that it understands that there are certain conditions
to the availability of the RFC Exemption including that such Certificate
must be rated, at the time of purchase, not lower than "BBB-" (or its
equivalent) by Standard & Poor's, Fitch or Xxxxx'x or (c) such
Transferee is a Complying Insurance Company.
(iii) (A) If any Class M Certificate (or any interest therein) is acquired or
held by any Person that does not satisfy the conditions described in
paragraph (ii) above, then the last preceding Transferee that either (i)
is not a Plan Investor, (ii) acquired such Certificate in compliance
with the RFC Exemption, or (iii) is a Complying Insurance Company shall
be restored, to the extent permitted by law, to all rights and
obligations as Certificate Owner thereof retroactive to the date of such
Transfer of such Class M Certificate. The Trustee shall be under no
liability to any Person for making any payments due on such Certificate
to such preceding Transferee.
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(B) Any purported Certificate Owner whose acquisition or
holding of any Class M Certificate (or interest therein) was
effected in violation of the restrictions in this Section 5.02(e)
shall indemnify and hold harmless the Company, the Trustee, the
Master Servicer, any Subservicer, each Underwriter and the Trust
Fund from and against any and all liabilities, claims, costs or
expenses incurred by such parties as a result of such acquisition
or holding.
(f) (i) Each Person who has or who acquires any Ownership Interest in a Class R
Certificate shall be deemed by the acceptance or acquisition of such Ownership
Interest to have agreed to be bound by the following provisions and to have
irrevocably authorized the Trustee or its designee under clause (iii)(A) below
to deliver payments to a Person other than such Person and to negotiate the
terms of any mandatory sale under clause (iii)(B) below and to execute all
instruments of transfer and to do all other things necessary in connection with
any such sale. The rights of each Person acquiring any Ownership Interest in a
Class R Certificate are expressly subject to the following provisions:
(A) Each Person holding or acquiring any Ownership
Interest in a Class R Certificate shall be a Permitted Transferee
and shall promptly notify the Trustee of any change or impending
change in its status as a Permitted Transferee.
(B) In connection with any proposed Transfer of any
Ownership Interest in a Class R Certificate, the Trustee shall
require delivery to it, and shall not register the Transfer of
any Class R Certificate until its receipt of, (I) an affidavit
and agreement (a "Transfer Affidavit and Agreement," in the form
attached hereto as Exhibit G-1) from the proposed Transferee, in
form and substance satisfactory to the Master Servicer,
representing and warranting, among other things, that it is a
Permitted Transferee, that it is not acquiring its Ownership
Interest in the Class R Certificate that is the subject of the
proposed Transfer as a nominee, trustee or agent for any Person
who is not a Permitted Transferee, that for so long as it retains
its Ownership Interest in a Class R Certificate, it will endeavor
to remain a Permitted Transferee, and that it has reviewed the
provisions of this Section 5.02(f) and agrees to be bound by
them, and (II) a certificate, in the form attached hereto as
Exhibit G-2, from the Holder wishing to transfer the Class R
Certificate, in form and substance satisfactory to the Master
Servicer, representing and warranting, among other things, that
no purpose of the proposed Transfer is to impede the assessment
or collection of tax.
(C) Notwithstanding the delivery of a Transfer Affidavit
and Agreement by a proposed Transferee under clause (B) above, if
a Responsible Officer of the Trustee who is assigned to this
Agreement has actual knowledge that the proposed Transferee is
not a Permitted Transferee, no Transfer of an Ownership Interest
in a Class R Certificate to such proposed Transferee shall be
effected.
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(D) Each Person holding or acquiring any Ownership
Interest in a Class R Certificate shall agree (x) to require a
Transfer Affidavit and Agreement from any other Person to whom
such Person attempts to transfer its Ownership Interest in a
Class R Certificate and (y) not to transfer its Ownership
Interest unless it provides a certificate to the Trustee in the
form attached hereto as Exhibit G-2.
(E) Each Person holding or acquiring an Ownership Interest
in a Class R Certificate, by purchasing an Ownership Interest in
such Certificate, agrees to give the Trustee written notice that
it is a "pass-through interest holder" within the meaning of
Temporary Treasury Regulations Section 1.67-3T(a)(2)(i)(A)
immediately upon acquiring an Ownership Interest in a Class R
Certificate, if it is, or is holding an Ownership Interest in a
Class R Certificate on behalf of, a "pass-through interest
holder."
(ii) The Trustee will register the Transfer of any Class R Certificate only
if it shall have received the Transfer Affidavit and Agreement, a
certificate of the Holder requesting such transfer in the form attached
hereto as Exhibit G-2 and all of such other documents as shall have been
reasonably required by the Trustee as a condition to such registration.
Transfers of the Class R Certificates to Non-United States Persons and
Disqualified Organizations (as defined in Section 860E(e)(5) of the
Code) are prohibited.
(iii) (A) If any Disqualified Organization shall become a holder of a Class R
Certificate, then the last preceding Permitted Transferee shall be
restored, to the extent permitted by law, to all rights and obligations
as Holder thereof retroactive to the date of registration of such
Transfer of such Class R Certificate. If a Non-United States Person
shall become a holder of a Class R Certificate, then the last preceding
United States Person shall be restored, to the extent permitted by law,
to all rights and obligations as Holder thereof retroactive to the date
of registration of such Transfer of such Class R Certificate. If a
transfer of a Class R Certificate is disregarded pursuant to the
provisions of Treasury Regulations Section 1.860E-1 or Section 1.860G-3,
then the last preceding Permitted Transferee shall be restored, to the
extent permitted by law, to all rights and obligations as Holder thereof
retroactive to the date of registration of such Transfer of such Class R
Certificate. The Trustee shall be under no liability to any Person for
any registration of Transfer of a Class R Certificate that is in fact
not permitted by this Section 5.02(f) or for making any payments due on
such Certificate to the holder thereof or for taking any other action
with respect to such holder under the provisions of this Agreement.
(B) If any purported Transferee shall become a Holder of a
Class R Certificate in violation of the restrictions in this
Section 5.02(f) and to the extent that the retroactive
restoration of the rights of the Holder of such Class R
Certificate as described in clause (iii)(A) above shall be
invalid, illegal or unenforceable, then the Master Servicer shall
have the right, without notice to the holder or any prior holder
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of such Class R Certificate, to sell such Class R Certificate to
a purchaser selected by the Master Servicer on such terms as the
Master Servicer may choose. Such purported Transferee shall
promptly endorse and deliver each Class R Certificate in
accordance with the instructions of the Master Servicer. Such
purchaser may be the Master Servicer itself or any Affiliate of
the Master Servicer. The proceeds of such sale, net of the
commissions (which may include commissions payable to the Master
Servicer or its Affiliates), expenses and taxes due, if any, will
be remitted by the Master Servicer to such purported Transferee.
The terms and conditions of any sale under this clause (iii)(B)
shall be determined in the sole discretion of the Master
Servicer, and the Master Servicer shall not be liable to any
Person having an Ownership Interest in a Class R Certificate as a
result of its exercise of such discretion.
(iv) The Master Servicer, on behalf of the Trustee, shall make available,
upon written request from the Trustee, all information necessary to
compute any tax imposed (A) as a result of the Transfer of an Ownership
Interest in a Class R Certificate to any Person who is a Disqualified
Organization, including the information regarding "excess inclusions" of
such Class R Certificates required to be provided to the Internal
Revenue Service and certain Persons as described in Treasury Regulations
Sections 1.860D-1(b)(5) and 1.860E-2(a)(5), and (B) as a result of any
regulated investment company, real estate investment trust, common trust
fund, partnership, trust, estate or organization described in Section
1381 of the Code that holds an Ownership Interest in a Class R
Certificate having as among its record holders at any time any Person
who is a Disqualified Organization. Reasonable compensation for
providing such information may be required by the Master Servicer from
such Person.
(v) The provisions of this Section 5.02(f) set forth prior to this clause
(v) may be modified, added to or eliminated, provided that there shall
have been delivered to the Trustee the following:
(A) written notification from each Rating Agency to the
effect that the modification, addition to or elimination of such
provisions will not cause such Rating Agency to downgrade its
then-current ratings, if any, of any Class of the Senior, Class M
or Class B Certificates below the lower of the then-current
rating or the rating assigned to such Certificates as of the
Closing Date by such Rating Agency; and
(B) subject to Section 10.01(f), an Officers' Certificate
of the Master Servicer stating that the Master Servicer has
received an Opinion of Counsel, in form and substance
satisfactory to the Master Servicer, to the effect that such
modification, addition to or absence of such provisions will not
cause any portion of any REMIC formed under the Series Supplement
to cease to qualify as a REMIC and will not cause (x) any portion
of any REMIC formed under the Series Supplement to be subject to
an entity-level tax caused by the Transfer of any Class R
Certificate to a Person that is a Disqualified Organization or
(y) a Certificateholder or another Person to be subject to a
REMIC-related tax caused by the Transfer of a Class R Certificate
to a Person that is not a Permitted Transferee.
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(g) No service charge shall be made for any transfer or exchange of
Certificates of any Class, but the Trustee may require payment of a sum
sufficient to cover any tax or governmental charge that may be imposed in
connection with any transfer or exchange of Certificates.
(h) All Certificates surrendered for transfer and exchange shall be
destroyed by the Certificate Registrar.
Section 5.03 Mutilated, Destroyed, Lost or Stolen Certificates.
If (i) any mutilated Certificate is surrendered to the Certificate
Registrar, or the Trustee and the Certificate Registrar receive evidence to
their satisfaction of the destruction, loss or theft of any Certificate, and
(ii) there is delivered to the Trustee and the Certificate Registrar such
security or indemnity as may be required by them to save each of them harmless,
then, in the absence of notice to the Trustee or the Certificate Registrar that
such Certificate has been acquired by a bona fide purchaser, the Trustee shall
execute and the Certificate Registrar shall authenticate and deliver, in
exchange for or in lieu of any such mutilated, destroyed, lost or stolen
Certificate, a new Certificate of like tenor, Class and Percentage Interest but
bearing a number not contemporaneously outstanding. Upon the issuance of any new
Certificate under this Section, the Trustee may require the payment of a sum
sufficient to cover any tax or other governmental charge that may be imposed in
relation thereto and any other expenses (including the fees and expenses of the
Trustee and the Certificate Registrar) connected therewith. Any duplicate
Certificate issued pursuant to this Section shall constitute complete and
indefeasible evidence of ownership in the Trust Fund, as if originally issued,
whether or not the lost, stolen or destroyed Certificate shall be found at any
time.
Section 5.04 Persons Deemed Owners.
Prior to due presentation of a Certificate for registration of transfer,
the Company, the Master Servicer, the Trustee, any Certificate Insurer, the
Certificate Registrar and any agent of the Company, the Master Servicer, the
Trustee, any Certificate Insurer or the Certificate Registrar may treat the
Person in whose name any Certificate is registered as the owner of such
Certificate for the purpose of receiving distributions pursuant to Section 4.02
and for all other purposes whatsoever, except as and to the extent provided in
the definition of "Certificateholder," and neither the Company, the Master
Servicer, the Trustee, any Certificate Insurer, the Certificate Registrar nor
any agent of the Company, the Master Servicer, the Trustee, any Certificate
Insurer or the Certificate Registrar shall be affected by notice to the contrary
except as provided in Section 5.02(f).
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Section 5.05 Appointment of Paying Agent.
The Trustee may appoint a Paying Agent for the purpose of making
distributions to the Certificateholders pursuant to Section 4.02. In the event
of any such appointment, on or prior to each Distribution Date the Master
Servicer on behalf of the Trustee shall deposit or cause to be deposited with
the Paying Agent a sum sufficient to make the payments to the Certificateholders
in the amounts and in the manner provided for in Section 4.02, such sum to be
held in trust for the benefit of the Certificateholders.
The Trustee shall cause each Paying Agent to execute and deliver to the
Trustee an instrument in which such Paying Agent shall agree with the Trustee
that such Paying Agent will hold all sums held by it for the payment to the
Certificateholders in trust for the benefit of the Certificateholders entitled
thereto until such sums shall be paid to such Certificateholders. Any sums so
held by such Paying Agent shall be held only in Eligible Accounts to the extent
such sums are not distributed to the Certificateholders on the date of receipt
by such Paying Agent.
ARTICLE VI
THE COMPANY AND THE MASTER SERVICER
Section 6.01 Respective Liabilities of the Company and the Master Servicer.
The Company and the Master Servicer shall each be liable in accordance
herewith only to the extent of the obligations specifically and respectively
imposed upon and undertaken by the Company and the Master Servicer herein. By
way of illustration and not limitation, the Company is not liable for the
servicing and administration of the Mortgage Loans, nor is it obligated by
Section 7.01 or Section 10.01 to assume any obligations of the Master Servicer
or to appoint a designee to assume such obligations, nor is it liable for any
other obligation hereunder that it may, but is not obligated to, assume unless
it elects to assume such obligation in accordance herewith.
Section 6.02 Merger or Consolidation of the Company or the Master Servicer;
Assignment of Rights and Delegation of Duties by Master Servicer.
(a) The Company and the Master Servicer will each keep in full effect its
existence, rights and franchises as a corporation under the laws of the state of
its incorporation, and will each obtain and preserve its qualification to do
business as a foreign corporation in each jurisdiction in which such
qualification is or shall be necessary to protect the validity and
enforceability of this Agreement, the Certificates or any of the Mortgage Loans
and to perform its respective duties under this Agreement.
(b) Any Person into which the Company or the Master Servicer may be merged or
consolidated, or any corporation resulting from any merger or consolidation to
which the Company or the Master Servicer shall be a party, or any Person
succeeding to the business of the Company or the Master Servicer, shall be the
successor of the Company or the Master Servicer, as the case may be, hereunder,
without the execution or filing of any paper or any further act on the part of
88
any of the parties hereto, anything herein to the contrary notwithstanding;
provided, however, that the successor or surviving Person to the Master Servicer
shall be qualified to service mortgage loans on behalf of Xxxxxx Xxx or Freddie
Mac; and provided further that each Rating Agency's ratings, if any, of the
Senior, Class M or Class B Certificates in effect immediately prior to such
merger or consolidation will not be qualified, reduced or withdrawn as a result
thereof (as evidenced by a letter to such effect from each Rating Agency).
(c) Notwithstanding anything else in this Section 6.02 and Section 6.04
to the contrary, the Master Servicer may assign its rights and delegate its
duties and obligations under this Agreement; provided that the Person accepting
such assignment or delegation shall be a Person which is qualified to service
mortgage loans on behalf of Xxxxxx Xxx or Freddie Mac, is reasonably
satisfactory to the Trustee and the Company, is willing to service the Mortgage
Loans and executes and delivers to the Company and the Trustee an agreement, in
form and substance reasonably satisfactory to the Company and the Trustee, which
contains an assumption by such Person of the due and punctual performance and
observance of each covenant and condition to be performed or observed by the
Master Servicer under this Agreement; provided further that each Rating Agency's
rating of the Classes of Certificates that have been rated in effect immediately
prior to such assignment and delegation will not be qualified, reduced or
withdrawn as a result of such assignment and delegation (as evidenced by a
letter to such effect from each Rating Agency). In the case of any such
assignment and delegation, the Master Servicer shall be released from its
obligations under this Agreement, except that the Master Servicer shall remain
liable for all liabilities and obligations incurred by it as Master Servicer
hereunder prior to the satisfaction of the conditions to such assignment and
delegation set forth in the next preceding sentence. This Section 6.02 shall not
apply to any sale, transfer, pledge or assignment by Residential Funding of the
Call Rights.
Section 6.03 Limitation on Liability of the Company, the Master Servicer and
Others.
Neither the Company, the Master Servicer nor any of the directors,
officers, employees or agents of the Company or the Master Servicer shall be
under any liability to the Trust Fund or the Certificateholders for any action
taken or for refraining from the taking of any action in good faith pursuant to
this Agreement, or for errors in judgment; provided, however, that this
provision shall not protect the Company, the Master Servicer or any such Person
against any breach of warranties or representations or covenants made herein or
any liability which would otherwise be imposed by reason of willful misfeasance,
bad faith or gross negligence in the performance of duties or by reason of
reckless disregard of obligations and duties hereunder. The Company, the Master
Servicer and any director, officer, employee or agent of the Company or the
Master Servicer may rely in good faith on any document of any kind prima facie
properly executed and submitted by any Person respecting any matters arising
hereunder. The Company, the Master Servicer and any director, officer, employee
or agent of the Company or the Master Servicer shall be indemnified by the Trust
Fund and held harmless against any loss, liability or expense incurred in
connection with any legal action relating to this Agreement or the Certificates,
other than any loss, liability or expense related to any specific Mortgage Loan
89
or Mortgage Loans (except as any such loss, liability or expense shall be
otherwise reimbursable pursuant to this Agreement) and any loss, liability or
expense incurred by reason of willful misfeasance, bad faith or gross negligence
in the performance of duties hereunder or by reason of reckless disregard of
obligations and duties hereunder.
Neither the Company nor the Master Servicer shall be under any
obligation to appear in, prosecute or defend any legal or administrative action,
proceeding, hearing or examination that is not incidental to its respective
duties under this Agreement and which in its opinion may involve it in any
expense or liability; provided, however, that the Company or the Master Servicer
may in its discretion undertake any such action, proceeding, hearing or
examination that it may deem necessary or desirable in respect to this Agreement
and the rights and duties of the parties hereto and the interests of the
Certificateholders hereunder. In such event, the legal expenses and costs of
such action, proceeding, hearing or examination and any liability resulting
therefrom shall be expenses, costs and liabilities of the Trust Fund, and the
Company and the Master Servicer shall be entitled to be reimbursed therefor out
of amounts attributable to the Mortgage Loans on deposit in the Custodial
Account as provided by Section 3.10 and, on the Distribution Date(s) following
such reimbursement, the aggregate of such expenses and costs shall be allocated
in reduction of the Accrued Certificate Interest on each Class entitled thereto
in the same manner as if such expenses and costs constituted a Prepayment
Interest Shortfall.
Section 6.04 Company and Master Servicer Not to Resign.
Subject to the provisions of Section 6.02, neither the Company nor the
Master Servicer shall resign from its respective obligations and duties hereby
imposed on it except upon determination that its duties hereunder are no longer
permissible under applicable law. Any such determination permitting the
resignation of the Company or the Master Servicer shall be evidenced by an
Opinion of Counsel to such effect delivered to the Trustee. No such resignation
by the Master Servicer shall become effective until the Trustee or a successor
servicer shall have assumed the Master Servicer's responsibilities and
obligations in accordance with Section 7.02.
ARTICLE VII
DEFAULT
Section 7.01 Events of Default.
Event of Default, wherever used herein, means any one of the following
events (whatever reason for such Event of Default and whether it shall be
voluntary or involuntary or be effected by operation of law or pursuant to any
judgment, decree or order of any court or any order, rule or regulation of any
administrative or governmental body):
(i) the Master Servicer shall fail to distribute or cause to be distributed
to the Holders of Certificates of any Class any distribution required to
be made under the terms of the Certificates of such Class and this
Agreement and, in either case, such failure shall continue unremedied
for a period of 5 days after the date upon which written notice of such
failure, requiring such failure to be remedied, shall have been given to
the Master Servicer by the Trustee or the Company or to the Master
Servicer, the Company and the Trustee by the Holders of Certificates of
such Class evidencing Percentage Interests aggregating not less than
25%; or
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(ii) the Master Servicer shall fail to observe or perform in any material
respect any other of the covenants or agreements on the part of the
Master Servicer contained in the Certificates of any Class or in this
Agreement and such failure shall continue unremedied for a period of 30
days (except that such number of days shall be 15 in the case of a
failure to pay the premium for any Required Insurance Policy) after the
date on which written notice of such failure, requiring the same to be
remedied, shall have been given to the Master Servicer by the Trustee or
the Company, or to the Master Servicer, the Company and the Trustee by
the Holders of Certificates of any Class evidencing, in the case of any
such Class, Percentage Interests aggregating not less than 25%; or
(iii) a decree or order of a court or agency or supervisory authority having
jurisdiction in the premises in an involuntary case under any present or
future federal or state bankruptcy, insolvency or similar law or
appointing a conservator or receiver or liquidator in any insolvency,
readjustment of debt, marshalling of assets and liabilities or similar
proceedings, or for the winding-up or liquidation of its affairs, shall
have been entered against the Master Servicer and such decree or order
shall have remained in force undischarged or unstayed for a period of 60
days; or
(iv) the Master Servicer shall consent to the appointment of a conservator or
receiver or liquidator in any insolvency, readjustment of debt,
marshalling of assets and liabilities, or similar proceedings of, or
relating to, the Master Servicer or of, or relating to, all or
substantially all of the property of the Master Servicer; or
(v) the Master Servicer shall admit in writing its inability to pay its
debts generally as they become due, file a petition to take advantage
of, or commence a voluntary case under, any applicable insolvency or
reorganization statute, make an assignment for the benefit of its
creditors, or voluntarily suspend payment of its obligations; or
(vi) the Master Servicer shall notify the Trustee pursuant to Section 4.04(b)
that it is unable to deposit in the Certificate Account an amount equal
to the Advance.
If an Event of Default described in clauses (i)-(v) of this Section
shall occur, then, and in each and every such case, so long as such Event of
Default shall not have been remedied, either the Company or the Trustee may, and
at the direction of Holders of Certificates entitled to at least 51% of the
Voting Rights, the Trustee shall, by notice in writing to the Master Servicer
(and to the Company if given by the Trustee or to the Trustee if given by the
Company), terminate all of the rights and obligations of the Master Servicer
under this Agreement and in and to the Mortgage Loans and the proceeds thereof,
other than its rights as a Certificateholder hereunder. If an Event of Default
described in clause (vi) hereof shall occur, the Trustee shall, by notice to the
Master Servicer and the Company, immediately terminate all of the rights and
obligations of the Master Servicer under this Agreement and in and to the
Mortgage Loans and the proceeds thereof, other than its rights as a
Certificateholder hereunder as provided in Section 4.04(b). On or after the
receipt by the Master Servicer of such written notice, all authority and power
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of the Master Servicer under this Agreement, whether with respect to the
Certificates (other than as a Holder thereof) or the Mortgage Loans or
otherwise, shall subject to Section 7.02 pass to and be vested in the Trustee or
the Trustee's designee appointed pursuant to Section 7.02; and, without
limitation, the Trustee is hereby authorized and empowered to execute and
deliver, on behalf of the Master Servicer, as attorney-in-fact or otherwise, any
and all documents and other instruments, and to do or accomplish all other acts
or things necessary or appropriate to effect the purposes of such notice of
termination, whether to complete the transfer and endorsement or assignment of
the Mortgage Loans and related documents, or otherwise. The Master Servicer
agrees to cooperate with the Trustee in effecting the termination of the Master
Servicer's responsibilities and rights hereunder, including, without limitation,
the transfer to the Trustee or its designee for administration by it of all cash
amounts which shall at the time be credited to the Custodial Account or the
Certificate Account or thereafter be received with respect to the Mortgage
Loans. No such termination shall release the Master Servicer for any liability
that it would otherwise have hereunder for any act or omission prior to the
effective time of such termination.
Notwithstanding any termination of the activities of Residential Funding
in its capacity as Master Servicer hereunder, Residential Funding shall be
entitled to receive, out of any late collection of a Monthly Payment on a
Mortgage Loan which was due prior to the notice terminating Residential
Funding's rights and obligations as Master Servicer hereunder and received after
such notice, that portion to which Residential Funding would have been entitled
pursuant to Sections 3.10(a)(ii), (vi) and (vii) as well as its Servicing Fee in
respect thereof, and any other amounts payable to Residential Funding hereunder
the entitlement to which arose prior to the termination of its activities
hereunder. Upon the termination of Residential Funding as Master Servicer
hereunder the Company shall deliver to the Trustee a copy of the Program Guide.
Section 7.02 Trustee or Company to Act; Appointment of Successor.
(a) On and after the time the Master Servicer receives a notice of termination
pursuant to Section 7.01 or resigns in accordance with Section 6.04, the Trustee
or, upon notice to the Company and with the Company's consent (which shall not
be unreasonably withheld) a designee (which meets the standards set forth below)
of the Trustee, shall be the successor in all respects to the Master Servicer in
its capacity as servicer under this Agreement and the transactions set forth or
provided for herein and shall be subject to all the responsibilities, duties and
liabilities relating thereto placed on the Master Servicer (except for the
responsibilities, duties and liabilities contained in Sections 2.02 and 2.03(a),
excluding the duty to notify related Subservicers or Sellers as set forth in
such Sections, and its obligations to deposit amounts in respect of losses
incurred prior to such notice or termination on the investment of funds in the
Custodial Account or the Certificate Account pursuant to Sections 3.07(c) and
4.01(b) by the terms and provisions hereof); provided, however, that any failure
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to perform such duties or responsibilities caused by the preceding Master
Servicer's failure to provide information required by Section 4.04 shall not be
considered a default by the Trustee hereunder. As compensation therefor, the
Trustee shall be entitled to all funds relating to the Mortgage Loans which the
Master Servicer would have been entitled to charge to the Custodial Account or
the Certificate Account if the Master Servicer had continued to act hereunder
and, in addition, shall be entitled to the income from any Permitted Investments
made with amounts attributable to the Mortgage Loans held in the Custodial
Account or the Certificate Account. If the Trustee has become the successor to
the Master Servicer in accordance with Section 6.04 or Section 7.01, then
notwithstanding the above, the Trustee may, if it shall be unwilling to so act,
or shall, if it is unable to so act, appoint, or petition a court of competent
jurisdiction to appoint, any established housing and home finance institution,
which is also a Xxxxxx Xxx- or Freddie Mac-approved mortgage servicing
institution, having a net worth of not less than $10,000,000 as the successor to
the Master Servicer hereunder in the assumption of all or any part of the
responsibilities, duties or liabilities of the Master Servicer hereunder.
Pending appointment of a successor to the Master Servicer hereunder, the Trustee
shall become successor to the Master Servicer and shall act in such capacity as
hereinabove provided. In connection with such appointment and assumption, the
Trustee may make such arrangements for the compensation of such successor out of
payments on Mortgage Loans as it and such successor shall agree; provided,
however, that no such compensation shall be in excess of that permitted the
initial Master Servicer hereunder. The Company, the Trustee, the Custodian and
such successor shall take such action, consistent with this Agreement, as shall
be necessary to effectuate any such succession. The Servicing Fee for any
successor Master Servicer appointed pursuant to this Section 7.02 will be
lowered with respect to those Mortgage Loans, if any, where the Subservicing Fee
accrues at a rate of less than 0.20% per annum in the event that the successor
Master Servicer is not servicing such Mortgage Loans directly and it is
necessary to raise the related Subservicing Fee to a rate of 0.20% per annum in
order to hire a Subservicer with respect to such Mortgage Loans. The Master
Servicer shall pay the reasonable expenses of the Trustee in connection with any
servicing transition hereunder.
(b) In connection with the termination or resignation of the Master Servicer
hereunder, either (i) the successor Master Servicer, including the Trustee if
the Trustee is acting as successor Master Servicer, shall represent and warrant
that it is a member of MERS in good standing and shall agree to comply in all
material respects with the rules and procedures of MERS in connection with the
servicing of the Mortgage Loans that are registered with MERS, in which case the
predecessor Master Servicer shall cooperate with the successor Master Servicer
in causing MERS to revise its records to reflect the transfer of servicing to
the successor Master Servicer as necessary under MERS' rules and regulations, or
(ii) the predecessor Master Servicer shall cooperate with the successor Master
Servicer in causing MERS to execute and deliver an assignment of Mortgage in
recordable form to transfer the Mortgage from MERS to the Trustee and to execute
and deliver such other notices, documents and other instruments as may be
necessary or desirable to effect a transfer of such Mortgage Loan or servicing
of such Mortgage Loan on the MERS(R) System to the successor Master Servicer.
The predecessor Master Servicer shall file or cause to be filed any such
assignment in the appropriate recording office. The predecessor Master Servicer
shall bear any and all fees of MERS, costs of preparing any assignments of
Mortgage, and fees and costs of filing any assignments of Mortgage that may be
required under this subsection (b). The successor Master Servicer shall cause
such assignment to be delivered to the Trustee or the Custodian promptly upon
receipt of the original with evidence of recording thereon or a copy certified
by the public recording office in which such assignment was recorded.
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Section 7.03 Notification to Certificateholders.
(a) Upon any such termination or appointment of a successor to the
Master Servicer, the Trustee shall give prompt written notice thereof to the
Certificateholders at their respective addresses appearing in the Certificate
Register.
(b) Within 60 days after the occurrence of any Event of Default, the
Trustee shall transmit by mail to all Holders of Certificates notice of each
such Event of Default hereunder known to the Trustee, unless such Event of
Default shall have been cured or waived.
Section 7.04 Waiver of Events of Default.
The Holders representing at least 66% of the Voting Rights affected by a
default or Event of Default hereunder may waive such default or Event of
Default; provided, however, that (a) a default or Event of Default under clause
(i) of Section 7.01 may be waived only by all of the Holders of Certificates
affected by such default or Event of Default and (b) no waiver pursuant to this
Section 7.04 shall affect the Holders of Certificates in the manner set forth in
Section 11.01(b)(i) or (ii). Upon any such waiver of a default or Event of
Default by the Holders representing the requisite percentage of Voting Rights
affected by such default or Event of Default, such default or Event of Default
shall cease to exist and shall be deemed to have been remedied for every purpose
hereunder. No such waiver shall extend to any subsequent or other default or
Event of Default or impair any right consequent thereon except to the extent
expressly so waived.
ARTICLE VIII
CONCERNING THE TRUSTEE
Section 8.01 Duties of Trustee.
(a) The Trustee, prior to the occurrence of an Event of Default and
after the curing or waiver of all Events of Default which may have occurred,
undertakes to perform such duties and only such duties as are specifically set
forth in this Agreement. In case an Event of Default has occurred (which has not
been cured or waived), the Trustee shall exercise such of the rights and powers
vested in it by this Agreement, and use the same degree of care and skill in
their exercise as a prudent investor would exercise or use under the
circumstances in the conduct of such investor's own affairs.
(b) The Trustee, upon receipt of all resolutions, certificates,
statements, opinions, reports, documents, orders or other instruments furnished
to the Trustee which are specifically required to be furnished pursuant to any
provision of this Agreement, shall examine them to determine whether they
conform to the requirements of this Agreement. The Trustee shall notify the
Certificateholders of any such documents which do not materially conform to the
requirements of this Agreement in the event that the Trustee, after so
requesting, does not receive satisfactorily corrected documents.
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The Trustee shall forward or cause to be forwarded in a timely fashion
the notices, reports and statements required to be forwarded by the Trustee
pursuant to Sections 4.03, 4.06, 7.03 and 10.01. The Trustee shall furnish in a
timely fashion to the Master Servicer such information as the Master Servicer
may reasonably request from time to time for the Master Servicer to fulfill its
duties as set forth in this Agreement. The Trustee covenants and agrees that it
shall perform its obligations hereunder in a manner so as to maintain the status
of any portion of any REMIC formed under the Series Supplement as a REMIC under
the REMIC Provisions and (subject to Section 10.01(f)) to prevent the imposition
of any federal, state or local income, prohibited transaction, contribution or
other tax on the Trust Fund to the extent that maintaining such status and
avoiding such taxes are reasonably within the control of the Trustee and are
reasonably within the scope of its duties under this Agreement.
(b) No provision of this Agreement shall be construed to relieve the
Trustee from liability for its own negligent action, its own negligent failure
to act or its own willful misconduct; provided, however, that:
(i) Prior to the occurrence of an Event of Default, and after the curing or
waiver of all such Events of Default which may have occurred, the duties
and obligations of the Trustee shall be determined solely by the express
provisions of this Agreement, the Trustee shall not be liable except for
the performance of such duties and obligations as are specifically set
forth in this Agreement, no implied covenants or obligations shall be
read into this Agreement against the Trustee and, in the absence of bad
faith on the part of the Trustee, the Trustee may conclusively rely, as
to the truth of the statements and the correctness of the opinions
expressed therein, upon any certificates or opinions furnished to the
Trustee by the Company or the Master Servicer and which on their face,
do not contradict the requirements of this Agreement;
(ii) The Trustee shall not be personally liable for an error of judgment made
in good faith by a Responsible Officer or Responsible Officers of the
Trustee, unless it shall be proved that the Trustee was negligent in
ascertaining the pertinent facts;
(iii) The Trustee shall not be personally liable with respect to any action
taken, suffered or omitted to be taken by it in good faith in accordance
with the direction of Certificateholders of any Class holding
Certificates which evidence, as to such Class, Percentage Interests
aggregating not less than 25% as to the time, method and place of
conducting any proceeding for any remedy available to the Trustee, or
exercising any trust or power conferred upon the Trustee, under this
Agreement;
(iv) The Trustee shall not be charged with knowledge of any default (other
than a default in payment to the Trustee) specified in clauses (i) and
(ii) of Section 7.01 or an Event of Default under clauses (iii), (iv)
and (v) of Section 7.01 unless a Responsible Officer of the Trustee
assigned to and working in the Corporate Trust Office obtains actual
knowledge of such failure or event or the Trustee receives written
notice of such failure or event at its Corporate Trust Office from the
Master Servicer, the Company or any Certificateholder; and
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(v) Except to the extent provided in Section 7.02, no provision in this
Agreement shall require the Trustee to expend or risk its own funds
(including, without limitation, the making of any Advance) or otherwise
incur any personal financial liability in the performance of any of its
duties as Trustee hereunder, or in the exercise of any of its rights or
powers, if the Trustee shall have reasonable grounds for believing that
repayment of funds or adequate indemnity against such risk or liability
is not reasonably assured to it.
(c) The Trustee shall timely pay, from its own funds, the amount of any
and all federal, state and local taxes imposed on the Trust Fund or its assets
or transactions including, without limitation, (A) "prohibited transaction"
penalty taxes as defined in Section 860F of the Code, if, when and as the same
shall be due and payable, (B) any tax on contributions to a REMIC after the
Closing Date imposed by Section 860G(d) of the Code and (C) any tax on "net
income from foreclosure property" as defined in Section 860G(c) of the Code, but
only if such taxes arise out of a breach by the Trustee of its obligations
hereunder, which breach constitutes negligence or willful misconduct of the
Trustee.
Section 8.02 Certain Matters Affecting the Trustee.
(a) Except as otherwise provided in Section 8.01:
(i) The Trustee may rely and shall be protected in acting or refraining from
acting upon any resolution, Officers' Certificate, certificate of
auditors or any other certificate, statement, instrument, opinion,
report, notice, request, consent, order, appraisal, bond or other paper
or document believed by it to be genuine and to have been signed or
presented by the proper party or parties;
(ii) The Trustee may consult with counsel and any Opinion of Counsel shall be
full and complete authorization and protection in respect of any action
taken or suffered or omitted by it hereunder in good faith and in
accordance with such Opinion of Counsel;
(iii) The Trustee shall be under no obligation to exercise any of the trusts
or powers vested in it by this Agreement or to institute, conduct or
defend any litigation hereunder or in relation hereto at the request,
order or direction of any of the Certificateholders, pursuant to the
provisions of this Agreement, unless such Certificateholders shall have
offered to the Trustee reasonable security or indemnity against the
costs, expenses and liabilities which may be incurred therein or
thereby; nothing contained herein shall, however, relieve the Trustee of
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the obligation, upon the occurrence of an Event of Default (which has
not been cured or waived), to exercise such of the rights and powers
vested in it by this Agreement, and to use the same degree of care and
skill in their exercise as a prudent investor would exercise or use
under the circumstances in the conduct of such investor's own affairs;
(iv) The Trustee shall not be personally liable for any action taken,
suffered or omitted by it in good faith and believed by it to be
authorized or within the discretion or rights or powers conferred upon
it by this Agreement;
(v) Prior to the occurrence of an Event of Default hereunder and after the
curing or waiver of all Events of Default which may have occurred, the
Trustee shall not be bound to make any investigation into the facts or
matters stated in any resolution, certificate, statement, instrument,
opinion, report, notice, request, consent, order, approval, bond or
other paper or document, unless requested in writing so to do by Holders
of Certificates of any Class evidencing, as to such Class, Percentage
Interests, aggregating not less than 50%; provided, however, that if the
payment within a reasonable time to the Trustee of the costs, expenses
or liabilities likely to be incurred by it in the making of such
investigation is, in the opinion of the Trustee, not reasonably assured
to the Trustee by the security afforded to it by the terms of this
Agreement, the Trustee may require reasonable indemnity against such
expense or liability as a condition to so proceeding. The reasonable
expense of every such examination shall be paid by the Master Servicer,
if an Event of Default shall have occurred and is continuing, and
otherwise by the Certificateholder requesting the investigation;
(vi) The Trustee may execute any of the trusts or powers hereunder or perform
any duties hereunder either directly or by or through agents or
attorneys; and
(vii) To the extent authorized under the Code and the regulations promulgated
thereunder, each Holder of a Class R Certificate hereby irrevocably
appoints and authorizes the Trustee to be its attorney-in-fact for
purposes of signing any Tax Returns required to be filed on behalf of
the Trust Fund. The Trustee shall sign on behalf of the Trust Fund and
deliver to the Master Servicer in a timely manner any Tax Returns
prepared by or on behalf of the Master Servicer that the Trustee is
required to sign as determined by the Master Servicer pursuant to
applicable federal, state or local tax laws, provided that the Master
Servicer shall indemnify the Trustee for signing any such Tax Returns
that contain errors or omissions.
(b) Following the issuance of the Certificates, the Trustee shall not
accept any contribution of assets to the Trust Fund unless (subject to Section
10.01(f)) it shall have obtained or been furnished with an Opinion of Counsel to
the effect that such contribution will not (i) cause any portion of any REMIC
formed under the Series Supplement to fail to qualify as a REMIC at any time
that any Certificates are outstanding or (ii) cause the Trust Fund to be subject
to any federal tax as a result of such contribution (including the imposition of
any federal tax on "prohibited transactions" imposed under Section 860F(a) of
the Code).
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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
execution of the Certificates and relating to the acceptance and receipt of the
Mortgage Loans) shall be taken as the statements of the Company or the Master
Servicer as the case may be, and the Trustee assumes no responsibility for their
correctness. The Trustee makes no representations as to the validity or
sufficiency of this Agreement or of the Certificates (except that the
Certificates shall be duly and validly executed and authenticated by it as
Certificate Registrar) or of any Mortgage Loan or related document, or of MERS
or the MERS(R) System. Except as otherwise provided herein, the Trustee shall
not be accountable for the use or application by the Company or the Master
Servicer of any of the Certificates or of the proceeds of such Certificates, or
for the use or application of any funds paid to the Company or the Master
Servicer in respect of the Mortgage Loans or deposited in or withdrawn from the
Custodial Account or the Certificate Account by the Company or the Master
Servicer.
Section 8.04 Trustee May Own Certificates.
The Trustee in its individual or any other capacity may become the owner
or pledgee of Certificates with the same rights it would have if it were not
Trustee.
Section 8.05 Master Servicer to Pay Trustee's Fees and Expenses;
Indemnification.
(a) The Master Servicer covenants and agrees to pay to the Trustee and
any co-trustee from time to time, and the Trustee and any co-trustee shall be
entitled to, reasonable compensation (which shall not be limited by any
provision of law in regard to the compensation of a trustee of an express trust)
for all services rendered by each of them in the execution of the trusts hereby
created and in the exercise and performance of any of the powers and duties
hereunder of the Trustee and any co-trustee, and the Master Servicer will pay or
reimburse the Trustee and any co-trustee upon request for all reasonable
expenses, disbursements and advances incurred or made by the Trustee or any
co-trustee in accordance with any of the provisions of this Agreement (including
the reasonable compensation and the expenses and disbursements of its counsel
and of all persons not regularly in its employ, and the expenses incurred by the
Trustee or any co-trustee in connection with the appointment of an office or
agency pursuant to Section 8.12) except any such expense, disbursement or
advance as may arise from its negligence or bad faith.
(b) The Master Servicer agrees to indemnify the Trustee for, and to hold
the Trustee harmless against, any loss, liability or expense incurred without
negligence or willful misconduct on its part, arising out of, or in connection
with, the acceptance and administration of the Trust Fund, including the costs
and expenses (including reasonable legal fees and expenses) of defending itself
against any claim in connection with the exercise or performance of any of its
powers or duties under this Agreement, and the Custodial Agreement and the
Master Servicer further agrees to indemnify the Trustee for, and to hold the
Trustee harmless against, any loss, liability or expense arising out of, or in
connection with, the provisions set forth in Section 2.01(a) hereof, including,
without limitation, all costs, liabilities and expenses (including reasonable
legal fees and expenses) of investigating and defending itself against any
claim, action or proceeding, pending or threatened, relating to the provisions
of such paragraph, provided that:
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(i) with respect to any such claim, the Trustee shall have given the Master
Servicer written notice thereof promptly after the Trustee shall have
actual knowledge thereof;
(ii) while maintaining control over its own defense, the Trustee shall
cooperate and consult fully with the Master Servicer in preparing such
defense; and
(iii) notwithstanding anything in this Agreement to the contrary, the Master
Servicer shall not be liable for settlement of any claim by the Trustee
entered into without the prior consent of the Master Servicer which
consent shall not be unreasonably withheld.
No termination of this Agreement shall affect the obligations created by
this Section 8.05(b) of the Master Servicer to indemnify the Trustee under the
conditions and to the extent set forth herein.
Notwithstanding the foregoing, the indemnification provided by the
Master Servicer in this Section 8.05(b) shall not pertain to any loss, liability
or expense of the Trustee, including the costs and expenses of defending itself
against any claim, incurred in connection with any actions taken by the Trustee
at the direction of the Certificateholders pursuant to the terms of this
Agreement.
Section 8.06 Eligibility Requirements for Trustee.
The Trustee hereunder shall at all times be a corporation or a national
banking association having its principal office in a state and city acceptable
to the Company and organized and doing business under the laws of such state or
the United States of America, authorized under such laws to exercise corporate
trust powers, having a combined capital and surplus of at least $50,000,000 and
subject to supervision or examination by federal or state authority. If such
corporation or national banking association publishes reports of condition at
least annually, pursuant to law or to the requirements of the aforesaid
supervising or examining authority, then for the purposes of this Section the
combined capital and surplus of such corporation shall be deemed to be its
combined capital and surplus as set forth in its most recent report of condition
so published. In case at any time the Trustee shall cease to be eligible in
accordance with the provisions of this Section, the Trustee shall resign
immediately in the manner and with the effect specified in Section 8.07.
Section 8.07 Resignation and Removal of the Trustee.
(a) The Trustee may at any time resign and be discharged from the trusts
hereby created by giving written notice thereof to the Company. Upon receiving
such notice of resignation, the Company shall promptly appoint a successor
trustee by written instrument, in duplicate, one copy of which instrument shall
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be delivered to the resigning Trustee and one copy to the successor trustee. If
no successor trustee shall have been so appointed and have accepted appointment
within 30 days after the giving of such notice of resignation, the resigning
Trustee may petition any court of competent jurisdiction for the appointment of
a successor trustee.
(b) If at any time the Trustee shall cease to be eligible in accordance
with the provisions of Section 8.06 and shall fail to resign after written
request therefor by the Company, or if at any time the Trustee shall become
incapable of acting, or shall be adjudged bankrupt or insolvent, or a receiver
of the Trustee or of its property shall be appointed, or any public officer
shall take charge or control of the Trustee or of its property or affairs for
the purpose of rehabilitation, conservation or liquidation, then the Company may
remove the Trustee and appoint a successor trustee by written instrument, in
duplicate, one copy of which instrument shall be delivered to the Trustee so
removed and one copy to the successor trustee. In addition, in the event that
the Company determines that the Trustee has failed (i) to distribute or cause to
be distributed to the Certificateholders any amount required to be distributed
hereunder, if such amount is held by the Trustee or its Paying Agent (other than
the Master Servicer or the Company) for distribution or (ii) to otherwise
observe or perform in any material respect any of its covenants, agreements or
obligations hereunder, and such failure shall continue unremedied for a period
of 5 days (in respect of clause (i) above) or 30 days (in respect of clause (ii)
above) after the date on which written notice of such failure, requiring that
the same be remedied, shall have been given to the Trustee by the Company, then
the Company may remove the Trustee and appoint a successor trustee by written
instrument delivered as provided in the preceding sentence. In connection with
the appointment of a successor trustee pursuant to the preceding sentence, the
Company shall, on or before the date on which any such appointment becomes
effective, obtain from each Rating Agency written confirmation that the
appointment of any such successor trustee will not result in the reduction of
the ratings on any class of the Certificates below the lesser of the then
current or original ratings on such Certificates.
(c) The Holders of Certificates entitled to at least 51% of the Voting
Rights may at any time remove the Trustee and appoint a successor trustee by
written instrument or instruments, in triplicate, signed by such Holders or
their attorneys-in-fact duly authorized, one complete set of which instruments
shall be delivered to the Company, one complete set to the Trustee so removed
and one complete set to the successor so appointed.
(d) Any resignation or removal of the Trustee and appointment of a
successor trustee pursuant to any of the provisions of this Section shall become
effective upon acceptance of appointment by the successor trustee as provided in
Section 8.08.
Section 8.08 Successor Trustee.
(a) Any successor trustee appointed as provided in Section 8.07 shall
execute, acknowledge and deliver to the Company and to its predecessor trustee
an instrument accepting such appointment hereunder, and thereupon the
resignation or removal of the predecessor trustee shall become effective and
such successor trustee shall become effective and such successor trustee,
without any further act, deed or conveyance, shall become fully vested with all
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the rights, powers, duties and obligations of its predecessor hereunder, with
the like effect as if originally named as trustee herein. The predecessor
trustee shall deliver to the successor trustee all Mortgage Files and related
documents and statements held by it hereunder (other than any Mortgage Files at
the time held by a Custodian, which shall become the agent of any successor
trustee hereunder), and the Company, the Master Servicer and the predecessor
trustee shall execute and deliver such instruments and do such other things as
may reasonably be required for more fully and certainly vesting and confirming
in the successor trustee all such rights, powers, duties and obligations.
(b) No successor trustee shall accept appointment as provided in this
Section unless at the time of such acceptance such successor trustee shall be
eligible under the provisions of Section 8.06.
(c) Upon acceptance of appointment by a successor trustee as provided in
this Section, the Company shall mail notice of the succession of such trustee
hereunder to all Holders of Certificates at their addresses as shown in the
Certificate Register. If the Company fails to mail such notice within 10 days
after acceptance of appointment by the successor trustee, the successor trustee
shall cause such notice to be mailed at the expense of the Company.
Section 8.09 Merger or Consolidation of Trustee.
Any corporation or national banking association into which the Trustee
may be merged or converted or with which it may be consolidated or any
corporation or national banking association resulting from any merger,
conversion or consolidation to which the Trustee shall be a party, or any
corporation or national banking association succeeding to the business of the
Trustee, shall be the successor of the Trustee hereunder, provided such
corporation or national banking association shall be eligible under the
provisions of Section 8.06, without the execution or filing of any paper or any
further act on the part of any of the parties hereto, anything herein to the
contrary notwithstanding. The Trustee shall mail notice of any such merger or
consolidation to the Certificateholders at their address as shown in the
Certificate Register.
Section 8.10 Appointment of Co-Trustee or Separate Trustee.
(a) Notwithstanding any other provisions hereof, at any time, for the
purpose of meeting any legal requirements of any jurisdiction in which any part
of the Trust Fund or property securing the same may at the time be located, the
Master Servicer and the Trustee acting jointly shall have the power and shall
execute and deliver all instruments to appoint one or more Persons approved by
the Trustee to act as co-trustee or co-trustees, jointly with the Trustee, or
separate trustee or separate trustees, of all or any part of the Trust Fund, and
to vest in such Person or Persons, in such capacity, such title to the Trust
Fund, or any part thereof, and, subject to the other provisions of this Section
8.10, such powers, duties, obligations, rights and trusts as the Master Servicer
and the Trustee may consider necessary or desirable. If the Master Servicer
shall not have joined in such appointment within 15 days after the receipt by it
of a request so to do, or in case an Event of Default shall have occurred and be
continuing, the Trustee alone shall have the power to make such appointment. No
co-trustee or separate trustee hereunder shall be required to meet the terms of
eligibility as a successor trustee under Section 8.06 hereunder and no notice to
Holders of Certificates of the appointment of co-trustee(s) or separate
trustee(s) shall be required under Section 8.08 hereof.
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(b) In the case of any appointment of a co-trustee or separate trustee
pursuant to this Section 8.10 all rights, powers, duties and obligations
conferred or imposed upon the Trustee shall be conferred or imposed upon and
exercised or performed by the Trustee, and such separate trustee or co-trustee
jointly, except to the extent that under any law of any jurisdiction in which
any particular act or acts are to be performed (whether as Trustee hereunder or
as successor to the Master Servicer hereunder), the Trustee shall be incompetent
or unqualified to perform such act or acts, in which event such rights, powers,
duties and obligations (including the holding of title to the Trust Fund or any
portion thereof in any such jurisdiction) shall be exercised and performed by
such separate trustee or co-trustee at the direction of the Trustee.
(c) Any notice, request or other writing given to the Trustee shall be
deemed to have been given to each of the then separate trustees and co-trustees,
as effectively as if given to each of them. Every instrument appointing any
separate trustee or co-trustee shall refer to this Agreement and the conditions
of this Article VIII. Each separate trustee and co-trustee, upon its acceptance
of the trusts conferred, shall be vested with the estates or property specified
in its instrument of appointment, either jointly with the Trustee or separately,
as may be provided therein, subject to all the provisions of this Agreement,
specifically including every provision of this Agreement relating to the conduct
of, affecting the liability of, or affording protection to, the Trustee. Every
such instrument shall be filed with the Trustee.
(d) Any separate trustee or co-trustee may, at any time, constitute the
Trustee, its agent or attorney-in-fact, with full power and authority, to the
extent not prohibited by law, to do any lawful act under or in respect of this
Agreement on its behalf and in its name. If any separate trustee or co-trustee
shall die, become incapable of acting, resign or be removed, all of its estates,
properties, rights, remedies and trusts shall vest in and be exercised by the
Trustee, to the extent permitted by law, without the appointment of a new or
successor trustee.
Section 8.11 Appointment of Custodians.
The Trustee may, with the consent of the Master Servicer and the
Company, or shall, at the direction of the Company and the Master Servicer,
appoint one or more Custodians who are not Affiliates of the Company, the Master
Servicer or any Seller to hold all or a portion of the Mortgage Files as agent
for the Trustee, by entering into a Custodial Agreement. Subject to Article
VIII, the Trustee agrees to comply with the terms of each Custodial Agreement
and to enforce the terms and provisions thereof against the Custodian for the
benefit of the Certificateholders. Each Custodian shall be a depository
institution subject to supervision by federal or state authority, shall have a
combined capital and surplus of at least $15,000,000 and shall be qualified to
do business in the jurisdiction in which it holds any Mortgage File. Each
Custodial Agreement may be amended only as provided in Section 11.01. The
Trustee shall notify the Certificateholders of the appointment of any Custodian
(other than the Custodian appointed as of the Closing Date) pursuant to this
Section 8.11.
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Section 8.12 Appointment of Office or Agency.
The Trustee will maintain an office or agency at the address designated
in Section 11.05 of the Series Supplement where Certificates may be surrendered
for registration of transfer or exchange. The Trustee will maintain an office at
the address stated in Section 11.05 of the Series Supplement where notices and
demands to or upon the Trustee in respect of this Agreement may be served.
ARTICLE IX
TERMINATION OR OPTIONAL
PURCHASE OF ALL CERTIFICATES
Section 9.01 Optional Purchase by the Master Servicer of All
Certificates; Termination Upon Purchase by the Master
Servicer or Liquidation of All Mortgage Loans.
(a) Subject to Section 9.02, the respective obligations and
responsibilities of the Company, the Master Servicer and the Trustee created
hereby in respect of the Certificates (other than the obligation of the Trustee
to make certain payments after the Final Distribution Date to Certificateholders
and the obligation of the Company to send certain notices as hereinafter set
forth) shall terminate upon the last action required to be taken by the Trustee
on the Final Distribution Date pursuant to this Article IX following the earlier
of:
(i) the later of the final payment or other liquidation (or any Advance with
respect thereto) of the last Mortgage Loan remaining in the Trust Fund
or the disposition of all property acquired upon foreclosure or deed in
lieu of foreclosure of any Mortgage Loan, or
(ii) the purchase by Residential Funding of all Mortgage Loans and all
property acquired in respect of any Mortgage Loan remaining in the Trust
Fund at a price equal to 100% of the unpaid principal balance of each
Mortgage Loan or, if less than such unpaid principal balance, the fair
market value of the related underlying property of such Mortgage Loan
with respect to Mortgage Loans as to which title has been acquired if
such fair market value is less than such unpaid principal balance on the
day of repurchase plus unpaid accrued interest thereon at the Mortgage
Rate (or Modified Mortgage Rate in the case of any Modified Mortgage
Loan) from the Due Date to which interest was last paid by the Mortgagor
to, but not including, the first day of the month in which such
repurchase price is distributed, provided, however, that in no event
shall the trust created hereby continue beyond the expiration of 21
years from the death of the last survivor of the descendants of Xxxxxx
X. Xxxxxxx, the late ambassador of the United States to the Court of St.
Xxxxx, living on the date hereof and provided further that the purchase
price set forth above shall be increased as is necessary, as determined
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by the Master Servicer, to avoid disqualification of any portion of any
REMIC formed under the Series Supplement as a REMIC. The purchase price
paid by Residential Funding shall also include any amounts owed by
Residential Funding pursuant to Section 4 of the Assignment Agreement in
respect of any liability, penalty or expense that resulted from a breach
of the representation and warranty set forth in clause (xxxi) of such
Section that remain unpaid on the date of such purchase.
The right of Residential Funding to purchase all the assets of the Trust
Fund pursuant to clause (ii) above is conditioned upon the Pool Stated Principal
Balance as of the Final Distribution Date, prior to giving effect to
distributions to be made on such Distribution Date, being less than ten percent
of the Cut-off Date Principal Balance of the Mortgage Loans. If such right is
exercised by Residential Funding, the Master Servicer shall be entitled to
reimbursement for the full amount of any unreimbursed Advances theretofore made
by it with respect to the Mortgage Loans pursuant to Section 3.10. In addition,
the Master Servicer shall provide to the Trustee the certification required by
Section 3.15 and the Trustee and any Custodian shall, promptly following payment
of the purchase price, release to Residential Funding the Mortgage Files
pertaining to the Mortgage Loans being purchased.
In addition to the foregoing, on any Distribution Date on which the Pool
Stated Principal Balance, prior to giving effect to distributions to be made on
such Distribution Date, is less than ten percent of the Cut-off Date Principal
Balance of the Mortgage Loans, Residential Funding shall have the right, at its
option, to purchase the Certificates in whole, but not in part, at a price equal
to the outstanding Certificate Principal Balance of such Certificates plus the
sum of Accrued Certificate Interest thereon for the related Interest Accrual
Period and any previously unpaid Accrued Certificate Interest.
(b) The Master Servicer shall give the Trustee not less than 60 days'
prior notice of the Distribution Date on which the Master Servicer anticipates
that the final distribution will be made to Certificateholders (whether as a
result of the exercise by Residential Funding of its right to purchase the
assets of the Trust Fund or otherwise) or on which the Master Servicer
anticipates that the Certificates will be purchased (as a result of the exercise
by Residential Funding of its right to purchase the outstanding Certificates).
Notice of any termination, specifying the anticipated Final Distribution Date
(which shall be a date that would otherwise be a Distribution Date) upon which
the Certificateholders may surrender their Certificates to the Trustee (if so
required by the terms hereof) for payment of the final distribution and
cancellation or notice of any purchase of the outstanding Certificates shall be
given promptly by the Master Servicer (if Residential Funding is exercising its
right to purchase the assets of the Trust Fund or to purchase the outstanding
Certificates), or by the Trustee (in any other case) by letter. Such notice
shall be prepared by the Master Servicer (in the case of Residential Funding
exercising its right to purchase the assets of the Trust Fund or to purchase the
outstanding Certificates) or the Trustee (in any other case) and mailed by the
Trustee to the Certificateholders not earlier than the 15th day and not later
than the 25th day of the month next preceding the month of such final
distribution specifying:
(i) the anticipated Final Distribution Date upon which final payment of the
Certificates is anticipated to be made upon presentation and surrender
of Certificates at the office or agency of the Trustee therein
designated where required pursuant to this Agreement or, in the case of
the purchase by the Master Servicer of the outstanding Certificates, the
Distribution Date on which such purchase is to be made,
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(ii) the amount of any such final payment, or in the case of the purchase of
the outstanding Certificates, the purchase price, in either case, if
known, and
(iii) that the Record Date otherwise applicable to such Distribution Date is
not applicable and that payment will be made only upon presentation and
surrender of the Certificates at the office or agency of the Trustee
therein specified.
If the Master Servicer is obligated to give notice to Certificateholders
as aforesaid, it shall give such notice to the Certificate Registrar at the time
such notice is given to Certificateholders and, if Residential Funding is
exercising its rights to purchase the outstanding Certificates, Residential
Funding shall give such notice to each Rating Agency at the time such notice is
given to Certificateholders. As a result of the exercise by Residential Funding
of its right to purchase the assets of the Trust Fund or the outstanding
Certificates, Residential Funding shall deposit in the Custodial Account before
the Final Distribution Date in immediately available funds an amount equal to
the purchase price for the assets of the Trust Fund, computed as provided above.
(c) Upon presentation and surrender of the Certificates by the
Certificateholders thereof in connection with the exercise by Residential
Funding of its right to purchase the Certificates, the Trustee shall distribute
to the Certificateholders on the Final Distribution Date the respective amounts
determined in accordance with Section 4.02. Nothwithstanding the reduction of
the Certificate Principal Balance of any Class of Subordinate Certificates to
zero, such Class will be outstanding hereunder until the termination of the
respective obligations and responsibilities of the Company, the Master Servicer
and the Trustee hereunder in accordance with Article IX.
(d) If any Certificateholders shall not surrender their Certificates for
final payment and cancellation on or before the Final Distribution Date (if so
required by the terms hereof), the Trustee shall on such date cause all funds in
the Certificate Account not distributed in final distribution to
Certificateholders to be withdrawn therefrom and credited to the remaining
Certificateholders by depositing such funds in a separate escrow account for the
benefit of such Certificateholders, and the Master Servicer (if Residential
Funding exercised its right to purchase the assets of the Trust Fund), or the
Trustee (in any other case) shall give a second written notice to the remaining
Certificateholders to surrender their Certificates for cancellation and receive
the final distribution with respect thereto. If within six months after the
second notice any Certificate shall not have been surrendered for cancellation,
the Trustee shall take appropriate steps as directed by the Master Servicer to
contact the remaining Certificateholders concerning surrender of their
Certificates. The costs and expenses of maintaining the escrow account and of
contacting Certificateholders shall be paid out of the assets which remain in
the escrow account. If within nine months after the second notice any
Certificates shall not have been surrendered for cancellation, the Trustee shall
pay to the Master Servicer all amounts distributable to the holders thereof and
the Master Servicer shall thereafter hold such amounts until distributed to such
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Holders. No interest shall accrue or be payable to any Certificateholder on any
amount held in the escrow account or by the Master Servicer as a result of such
Certificateholder's failure to surrender its Certificate(s) for final payment
thereof in accordance with this Section 9.01.
(e) If any Certificateholders do not surrender their Certificates on or
before the Distribution Date on which a purchase of the outstanding Certificates
is to be made, the Trustee shall on such date cause all funds in the Custodial
Account deposited therein by Residential Funding pursuant to Section 9.01(b) to
be withdrawn therefrom and deposited in a separate escrow account for the
benefit of such Certificateholders, and the Master Servicer shall give a second
written notice to such Certificateholders to surrender their Certificates for
payment of the purchase price therefor. If within six months after the second
notice any Certificate shall not have been surrendered for cancellation, the
Trustee shall take appropriate steps as directed by the Master Servicer to
contact the Holders of such Certificates concerning surrender of their
Certificates. The costs and expenses of maintaining the escrow account and of
contacting Certificateholders shall be paid out of the assets which remain in
the escrow account. If within nine months after the second notice any
Certificates shall not have been surrendered for cancellation in accordance with
this Section 9.01, the Trustee shall pay to the Master Servicer all amounts
distributable to the Holders thereof and the Master Servicer shall thereafter
hold such amounts until distributed to such Holders. No interest shall accrue or
be payable to any Certificateholder on any amount held in the escrow account or
by the Master Servicer as a result of such Certificateholder's failure to
surrender its Certificate(s) for payment in accordance with this Section 9.01.
Any Certificate that is not surrendered on the Distribution Date on which a
purchase pursuant to this Section 9.01 occurs as provided above will be deemed
to have been purchased and the Holder as of such date will have no rights with
respect thereto except to receive the purchase price therefor minus any costs
and expenses associated with such escrow account and notices allocated thereto.
(f) All rights of Residential Funding to purchase the assets of the
Trust Fund, or to purchase specified classes of Certificates, as set forth in
Section 9.01(a) are referred to in this Agreement as the "Call Rights".
Notwithstanding any other provision of this Agreement, Residential Funding shall
have the right to sell, transfer, pledge or otherwise assign the Call Rights at
any time to any Person. Upon written notice by Residential Funding to the
Trustee and the Master Servicer of any such assignment of the Call Rights to any
assignee, the Trustee and the Master Servicer shall be obligated to recognize
such assignee as the holder of the Call Rights. Such entity, if not Residential
Funding or an affiliate, shall be deemed to represent, at the time of such sale,
transfer, pledge or other assignment, that one of the following will be, and at
the time the Call Right is exercised is, true and correct: (i) the exercise of
such Call Right shall not result in a non-exempt prohibited transaction under
section 406 of ERISA or section 4975 of the Code (including by reason of U.S.
Department of Labor ("DOL") Prohibited Transaction Class Exemption ("PTCE") 75-1
(Part I), 84-14, 90-1, 91-38, 95-60 or 96-23 or other applicable exemption) or
(ii) such entity is (A) not a party in interest under section 3(14) of ERISA or
a disqualified person under section 4975(e)(2) of the Code with respect to any
employee benefit plan subject to section 406 of ERISA or any plan subject to
section 4975 of the Code (other than an employee benefit plan or plan sponsored
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or maintained by the entity, provided that no assets of such employee benefit
plan or plan are invested or deemed to be invested in the Certificates) and (B)
not a "benefit plan investor" as described in DOL regulation section
2510.3-101(f)(2). If any such assignee of the Call Right is unable to exercise
such Call Right by reason of the preceding sentence, then the Call Right shall
revert to the immediately preceding assignor of such Call Right subject to the
rights of any secured party therein.
Section 9.02 Additional Termination Requirements.
(a) Each REMIC that comprises the Trust Fund shall be terminated in
accordance with the following additional requirements, unless (subject to
Section 10.01(f)) the Trustee and the Master Servicer have received an Opinion
of Counsel (which Opinion of Counsel shall not be an expense of the Trustee) to
the effect that the failure of each such REMIC to comply with the requirements
of this Section 9.02 will not (i) result in the imposition on the Trust of taxes
on "prohibited transactions," as described in Section 860F of the Code, or (ii)
cause any such REMIC to fail to qualify as a REMIC at any time that any
Certificate is outstanding:
(i) The Master Servicer shall establish a 90-day liquidation period for each
such REMIC and specify the first day of such period in a statement
attached to the Trust Fund's final Tax Return pursuant to Treasury
regulations Section 1.860F-1. The Master Servicer also shall satisfy all
of the requirements of a qualified liquidation for a REMIC under Section
860F of the Code and regulations thereunder;
(ii) The Master Servicer shall notify the Trustee at the commencement of such
90-day liquidation period and, at or prior to the time of making of the
final payment on the Certificates, the Trustee shall sell or otherwise
dispose of all of the remaining assets of the Trust Fund in accordance
with the terms hereof; and
(iii) If Residential Funding or the Company is exercising its right to
purchase the assets of the Trust Fund, Residential Funding shall, during
the 90-day liquidation period and at or prior to the Final Distribution
Date, purchase all of the assets of the Trust Fund for cash.
(b) Each Holder of a Certificate and the Trustee hereby irrevocably
approves and appoints the Master Servicer as its attorney-in-fact to adopt a
plan of complete liquidation for each REMIC at the expense of the Trust Fund in
accordance with the terms and conditions of this Agreement.
Section 9.03 Termination of Multiple REMICs.
If the REMIC Administrator makes two or more separate REMIC elections,
the applicable REMIC shall be terminated on the earlier of the Final
Distribution Date and the date on which it is deemed to receive the last deemed
distributions on the related Uncertificated REMIC Regular Interests and the last
distribution due on the Certificates is made.
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ARTICLE X
REMIC PROVISIONS
Section 10.01 REMIC Administration.
(a) The REMIC Administrator shall make an election to treat the Trust
Fund as one or more REMICs under the Code and, if necessary, under applicable
state law. The assets of each such REMIC will be set forth in the Series
Supplement. Such election will be made on Form 1066 or other appropriate federal
tax or information return (including Form 8811) or any appropriate state return
for the taxable year ending on the last day of the calendar year in which the
Certificates are issued. For the purposes of each REMIC election in respect of
the Trust Fund, Certificates and interests to be designated as the "regular
interests" and the sole class of "residual interests" in the REMIC will be set
forth in Section 10.03 of the Series Supplement. The REMIC Administrator and the
Trustee shall not permit the creation of any "interests" (within the meaning of
Section 860G of the Code) in any REMIC elected in respect of the Trust Fund
other than the "regular interests" and "residual interests" so designated.
(b) The Closing Date is hereby designated as the "startup day" of the
Trust Fund within the meaning of Section 860G(a)(9) of the Code.
(c) The REMIC Administrator shall hold a Class R Certificate
representing a 0.01% Percentage Interest each Class of the Class R Certificates
and shall be designated as "the tax matters person" with respect to each REMIC
in the manner provided under Treasury regulations section 1.860F-4(d) and
Treasury regulations section 301.6231(a)(7)-1. The REMIC Administrator, as tax
matters person, shall (i) act on behalf of each REMIC in relation to any tax
matter or controversy involving the Trust Fund and (ii) represent the Trust Fund
in any administrative or judicial proceeding relating to an examination or audit
by any governmental taxing authority with respect thereto. The legal expenses,
including without limitation attorneys' or accountants' fees, and costs of any
such proceeding and any liability resulting therefrom shall be expenses of the
Trust Fund and the REMIC Administrator shall be entitled to reimbursement
therefor out of amounts attributable to the Mortgage Loans on deposit in the
Custodial Account as provided by Section 3.10 unless such legal expenses and
costs are incurred by reason of the REMIC Administrator's willful misfeasance,
bad faith or gross negligence. If the REMIC Administrator is no longer the
Master Servicer hereunder, at its option the REMIC Administrator may continue
its duties as REMIC Administrator and shall be paid reasonable compensation not
to exceed $3,000 per year by any successor Master Servicer hereunder for so
acting as the REMIC Administrator.
(d) The REMIC Administrator shall prepare or cause to be prepared all of
the Tax Returns that it determines are required with respect to each REMIC
created hereunder and deliver such Tax Returns in a timely manner to the Trustee
and the Trustee shall sign and file such Tax Returns in a timely manner. The
expenses of preparing such returns shall be borne by the REMIC Administrator
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without any right of reimbursement therefor. The REMIC Administrator agrees to
indemnify and hold harmless the Trustee with respect to any tax or liability
arising from the Trustee's signing of Tax Returns that contain errors or
omissions. The Trustee and Master Servicer shall promptly provide the REMIC
Administrator with such information as the REMIC Administrator may from time to
time request for the purpose of enabling the REMIC Administrator to prepare Tax
Returns.
(e) The REMIC Administrator shall provide (i) to any Transferor of a
Class R Certificate such information as is necessary for the application of any
tax relating to the transfer of a Class R Certificate to any Person who is not a
Permitted Transferee, (ii) to the Trustee, and the Trustee shall forward to the
Certificateholders, such information or reports as are required by the Code or
the REMIC Provisions including reports relating to interest, original issue
discount and market discount or premium (using the Prepayment Assumption) and
(iii) to the Internal Revenue Service the name, title, address and telephone
number of the person who will serve as the representative of each REMIC.
(f) The Master Servicer and the REMIC Administrator shall take such
actions and shall cause each REMIC created hereunder to take such actions as are
reasonably within the Master Servicer's or the REMIC Administrator's control and
the scope of its duties more specifically set forth herein as shall be necessary
or desirable to maintain the status of each REMIC as a REMIC under the REMIC
Provisions (and the Trustee shall assist the Master Servicer and the REMIC
Administrator, to the extent reasonably requested by the Master Servicer and the
REMIC Administrator to do so). The Master Servicer and the REMIC Administrator
shall not knowingly or intentionally take any action, cause the Trust Fund to
take any action or fail to take (or fail to cause to be taken) any action
reasonably within their respective control that, under the REMIC Provisions, if
taken or not taken, as the case may be, could (i) endanger the status of any
portion of any REMIC formed under the Series Supplement as a REMIC or (ii)
result in the imposition of a tax upon any such REMIC (including but not limited
to the tax on prohibited transactions as defined in Section 860F(a)(2) of the
Code and the tax on contributions to a REMIC set forth in Section 860G(d) of the
Code) (either such event, in the absence of an Opinion of Counsel or the
indemnification referred to in this sentence, an "Adverse REMIC Event") unless
the Master Servicer or the REMIC Administrator, as applicable, has received an
Opinion of Counsel (at the expense of the party seeking to take such action or,
if such party fails to pay such expense, and the Master Servicer or the REMIC
Administrator, as applicable, determines that taking such action is in the best
interest of the Trust Fund and the Certificateholders, at the expense of the
Trust Fund, but in no event at the expense of the Master Servicer, the REMIC
Administrator or the Trustee) to the effect that the contemplated action will
not, with respect to each REMIC created hereunder, endanger such status or,
unless the Master Servicer, the REMIC Administrator or both, as applicable,
determine in its or their sole discretion to indemnify the Trust Fund against
the imposition of such a tax, result in the imposition of such a tax. Wherever
in this Agreement a contemplated action may not be taken because the timing of
such action might result in the imposition of a tax on the Trust Fund, or may
only be taken pursuant to an Opinion of Counsel that such action would not
impose a tax on the Trust Fund, such action may nonetheless be taken provided
that the indemnity given in the preceding sentence with respect to any taxes
that might be imposed on the Trust Fund has been given and that all other
preconditions to the taking of such action have been satisfied. The Trustee
shall not take or fail to take any action (whether or not authorized hereunder)
as to which the Master Servicer or the REMIC Administrator, as applicable, has
advised it in writing that it has received an Opinion of Counsel to the effect
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that an Adverse REMIC Event could occur with respect to such action. In
addition, prior to taking any action with respect to any REMIC created hereunder
or any related assets thereof, or causing any such REMIC to take any action,
which is not expressly permitted under the terms of this Agreement, the Trustee
will consult with the Master Servicer or the REMIC Administrator, as applicable,
or its designee, in writing, with respect to whether such action could cause an
Adverse REMIC Event to occur with respect to any such REMIC, and the Trustee
shall not take any such action or cause any such REMIC to take any such action
as to which the Master Servicer or the REMIC Administrator, as applicable, has
advised it in writing that an Adverse REMIC Event could occur. The Master
Servicer or the REMIC Administrator, as applicable, may consult with counsel to
make such written advice, and the cost of same shall be borne by the party
seeking to take the action not expressly permitted by this Agreement, but in no
event at the expense of the Master Servicer or the REMIC Administrator. At all
times as may be required by the Code, the Master Servicer will to the extent
within its control and the scope of its duties more specifically set forth
herein, maintain substantially all of the assets of each REMIC created hereunder
as "qualified mortgages" as defined in Section 860G(a)(3) of the Code and
"permitted investments" as defined in Section 860G(a)(5) of the Code.
(g) In the event that any tax is imposed on "prohibited transactions" of
any REMIC created hereunder as defined in Section 860F(a)(2) of the Code, on
"net income from foreclosure property" of any such REMIC as defined in Section
860G(c) of the Code, on any contributions to any such REMIC after the Startup
Day therefor pursuant to Section 860G(d) of the Code, or any other tax is
imposed by the Code or any applicable provisions of state or local tax laws,
such tax shall be charged (i) to the Master Servicer, if such tax arises out of
or results from a breach by the Master Servicer of any of its obligations under
this Agreement or the Master Servicer has in its sole discretion determined to
indemnify the Trust Fund against such tax, (ii) to the Trustee, if such tax
arises out of or results from a breach by the Trustee of any of its obligations
under this Article X, or (iii) otherwise against amounts on deposit in the
Custodial Account as provided by Section 3.10 and on the Distribution Date(s)
following such reimbursement the aggregate of such taxes shall be allocated in
reduction of the Accrued Certificate Interest on each Class entitled thereto in
the same manner as if such taxes constituted a Prepayment Interest Shortfall.
(h) The Trustee and the Master Servicer shall, for federal income tax
purposes, maintain books and records with respect to each REMIC created
hereunder on a calendar year and on an accrual basis or as otherwise may be
required by the REMIC Provisions.
(i) Following the Startup Day, neither the Master Servicer nor the
Trustee shall accept any contributions of assets to any REMIC created hereunder
unless (subject to Section 10.01(f)) the Master Servicer and the Trustee shall
have received an Opinion of Counsel (at the expense of the party seeking to make
such contribution) to the effect that the inclusion of such assets in such REMIC
will not cause the REMIC to fail to qualify as a REMIC at any time that any
Certificates are outstanding or subject the REMIC to any tax under the REMIC
Provisions or other applicable provisions of federal, state and local law or
ordinances.
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(j) Neither the Master Servicer nor the Trustee shall (subject to
Section 10.01(f)) enter into any arrangement by which any REMIC created
hereunder will receive a fee or other compensation for services nor permit any
such REMIC to receive any income from assets other than "qualified mortgages" as
defined in Section 860G(a)(3) of the Code or "permitted investments" as defined
in Section 860G(a)(5) of the Code.
(k) Solely for the purposes of Section 1.860G-1(a)(4)(iii) of the
Treasury Regulations, the "latest possible maturity date" by which the
Certificate Principal Balance of each Class of Certificates (other than the
Interest Only Certificates) representing a regular interest in the applicable
REMIC and the Uncertificated Principal Balance of each Uncertificated REMIC
Regular Interest (other than each Uncertificated REMIC Regular Interest
represented by a Class A-V Certificate, if any) and the rights to the Interest
Only Certificates and Uncertificated REMIC Regular Interest represented by any
Class A-V Certificate would be reduced to zero is the Maturity Date for each
such Certificate and Interest.
(l) Within 30 days after the Closing Date, the REMIC Administrator shall
prepare and file with the Internal Revenue Service Form 8811, "Information
Return for Real Estate Mortgage Investment Conduits (REMIC) and Issuers of
Collateralized Debt Obligations" for each REMIC created hereunder.
(m) Neither the Trustee nor the Master Servicer shall sell, dispose of
or substitute for any of the Mortgage Loans (except in connection with (i) the
default, imminent default or foreclosure of a Mortgage Loan, including but not
limited to, the acquisition or sale of a Mortgaged Property acquired by deed in
lieu of foreclosure, (ii) the bankruptcy of any REMIC created hereunder, (iii)
the termination of any such REMIC pursuant to Article IX of this Agreement or
(iv) a purchase of Mortgage Loans pursuant to Article II or III of this
Agreement) nor acquire any assets for any such REMIC, nor sell or dispose of any
investments in the Custodial Account or the Certificate Account for gain nor
accept any contributions to any such REMIC after the Closing Date unless it has
received an Opinion of Counsel that such sale, disposition, substitution or
acquisition will not (a) affect adversely the status of such REMIC as a REMIC or
(b) unless the Master Servicer has determined in its sole discretion to
indemnify the Trust Fund against such tax, cause such REMIC to be subject to a
tax on "prohibited transactions" or "contributions" pursuant to the REMIC
Provisions.
Section 10.02 Master Servicer, REMIC Administrator and Trustee Indemnification.
(a) The Trustee agrees to indemnify the Trust Fund, the Company, the
REMIC Administrator and the Master Servicer for any taxes and costs including,
without limitation, any reasonable attorneys fees imposed on or incurred by the
Trust Fund, the Company or the Master Servicer, as a result of a breach of the
Trustee's covenants set forth in Article VIII or this Article X.
(b) The REMIC Administrator agrees to indemnify the Trust Fund, the
Company, the Master Servicer and the Trustee for any taxes and costs (including,
without limitation, any reasonable attorneys' fees) imposed on or incurred by
the Trust Fund, the Company, the Master Servicer or the Trustee, as a result of
a breach of the REMIC Administrator's covenants set forth in this Article X with
111
respect to compliance with the REMIC Provisions, including without limitation,
any penalties arising from the Trustee's execution of Tax Returns prepared by
the REMIC Administrator that contain errors or omissions; provided, however,
that such liability will not be imposed to the extent such breach is a result of
an error or omission in information provided to the REMIC Administrator by the
Master Servicer in which case Section 10.02(c) will apply.
(c) The Master Servicer agrees to indemnify the Trust Fund, the Company,
the REMIC Administrator and the Trustee for any taxes and costs (including,
without limitation, any reasonable attorneys' fees) imposed on or incurred by
the Trust Fund, the Company, the REMIC Administrator or the Trustee, as a result
of a breach of the Master Servicer's covenants set forth in this Article X or in
Article III with respect to compliance with the REMIC Provisions, including
without limitation, any penalties arising from the Trustee's execution of Tax
Returns prepared by the Master Servicer that contain errors or omissions.
Section 10.03 Designation of REMIC(s).
As provided in Section 10.03 of the Series Supplement.
ARTICLE XI
MISCELLANEOUS PROVISIONS
Section 11.01 Amendment.
(a) This Agreement or any Custodial Agreement may be amended from time to
time by the Company, the Master Servicer and the Trustee, without the
consent of any of the Certificateholders:
(i) to cure any ambiguity,
(ii) to correct or supplement any provisions herein or therein, which may be
inconsistent with any other provisions herein or therein or to correct
any error,
(iii) to modify, eliminate or add to any of its provisions to such extent as
shall be necessary or desirable to maintain the qualification of the
Trust Fund as a REMIC at all times that any Certificate is outstanding
or to avoid or minimize the risk of the imposition of any tax on the
Trust Fund pursuant to the Code that would be a claim against the Trust
Fund, provided that the Trustee has received an Opinion of Counsel to
the effect that (A) such action is necessary or desirable to maintain
such qualification or to avoid or minimize the risk of the imposition of
any such tax and (B) such action will not adversely affect in any
material respect the interests of any Certificateholder,
(iv) to change the timing and/or nature of deposits into the Custodial
Account or the Certificate Account or to change the name in which the
Custodial Account is maintained, provided that (A) the Certificate
Account Deposit Date shall in no event be later than the related
Distribution Date, (B) such change shall not, as evidenced by an Opinion
112
of Counsel, adversely affect in any material respect the interests of
any Certificateholder and (C) such change shall not result in a
reduction of the rating assigned to any Class of Certificates below the
lower of the then-current rating or the rating assigned to such
Certificates as of the Closing Date, as evidenced by a letter from each
Rating Agency to such effect,
(v) to modify, eliminate or add to the provisions of Section 5.02(f) or any
other provision hereof restricting transfer of the Class R Certificates,
by virtue of their being the "residual interests" in a REMIC, provided
that (A) such change shall not result in reduction of the rating
assigned to any such Class of Certificates below the lower of the
then-current rating or the rating assigned to such Certificates as of
the Closing Date, as evidenced by a letter from each Rating Agency to
such effect, and (B) such change shall not (subject to Section
10.01(f)), as evidenced by an Opinion of Counsel (at the expense of the
party seeking so to modify, eliminate or add such provisions), cause any
REMIC created hereunder or any of the Certificateholders (other than the
transferor) to be subject to a federal tax caused by a transfer to a
Person that is not a Permitted Transferee,
(vi) to make any other provisions with respect to matters or questions
arising under this Agreement or such Custodial Agreement which shall not
be materially inconsistent with the provisions of this Agreement,
provided that such action shall not, as evidenced by an Opinion of
Counsel, adversely affect in any material respect the interests of any
Certificateholder, or
(vii) to amend any provision herein or therein that is not material to any of
the Certificateholders.
(b) This Agreement or any Custodial Agreement may also be amended from
time to time by the Company, the Master Servicer and the Trustee with the
consent of the Holders of Certificates evidencing in the aggregate not less than
66% of the Percentage Interests of each Class of Certificates with a Certificate
Principal Balance greater than zero affected thereby for the purpose of adding
any provisions to or changing in any manner or eliminating any of the provisions
of this Agreement or such Custodial Agreement or of modifying in any manner the
rights of the Holders of Certificates of such Class; provided, however, that no
such amendment shall:
(i) reduce in any manner the amount of, or delay the timing of, payments
which are required to be distributed on any Certificate without the
consent of the Holder of such Certificate,
(ii) reduce the aforesaid percentage of Certificates of any Class the Holders
of which are required to consent to any such amendment, in any such case
without the consent of the Holders of all Certificates of such Class
then outstanding.
113
(c) Notwithstanding any contrary provision of this Agreement, the
Trustee shall not consent to any amendment to this Agreement unless it shall
have first received an Opinion of Counsel (subject to Section 10.01(f) and at
the expense of the party seeking such amendment) to the effect that such
amendment or the exercise of any power granted to the Master Servicer, the
Company or the Trustee in accordance with such amendment is permitted hereunder
and will not result in the imposition of a federal tax on the Trust Fund or
cause any REMIC created under the Series Supplement to fail to qualify as a
REMIC at any time that any Certificate is outstanding.
(d) Promptly after the execution of any such amendment the Trustee shall
furnish written notification of the substance of such amendment to the Custodian
and each Certificateholder. It shall not be necessary for the consent of
Certificateholders under this Section 11.01 to approve the particular form of
any proposed amendment, but it shall be sufficient if such consent shall approve
the substance thereof. The manner of obtaining such consents and of evidencing
the authorization of the execution thereof by Certificateholders shall be
subject to such reasonable regulations as the Trustee may prescribe.
(e) The Company shall have the option, in its sole discretion, to obtain
and deliver to the Trustee any corporate guaranty, payment obligation,
irrevocable letter of credit, surety bond, insurance policy or similar
instrument or a reserve fund, or any combination of the foregoing, for the
purpose of protecting the Holders of the Class B Certificates against any or all
Realized Losses or other shortfalls. Any such instrument or fund shall be held
by the Trustee for the benefit of the Class B Certificateholders, but shall not
be and shall not be deemed to be under any circumstances included in the Trust
Fund. To the extent that any such instrument or fund constitutes a reserve fund
for federal income tax purposes, (i) any reserve fund so established shall be an
outside reserve fund and not an asset of the Trust Fund, (ii) any such reserve
fund shall be owned by the Company, and (iii) amounts transferred by the Trust
Fund to any such reserve fund shall be treated as amounts distributed by the
Trust Fund to the Company or any successor, all within the meaning of Treasury
Regulations Section 1.860G-2(h) as it reads as of the Cut-off Date. In
connection with the provision of any such instrument or fund, this Agreement and
any provision hereof may be modified, added to, deleted or otherwise amended in
any manner that is related or incidental to such instrument or fund or the
establishment or administration thereof, such amendment to be made by written
instrument executed or consented to by the Company but without the consent of
any Certificateholder and without the consent of the Master Servicer or the
Trustee being required unless any such amendment would impose any additional
obligation on, or otherwise adversely affect the interests of the Senior
Certificateholders, the Class M Certificateholders, the Master Servicer or the
Trustee, as applicable; provided that the Company obtains (subject to Section
10.01(f)) an Opinion of Counsel (which need not be an opinion of Independent
counsel) to the effect that any such amendment will not cause (a) any federal
tax to be imposed on the Trust Fund, including without limitation, any federal
tax imposed on "prohibited transactions" under Section 860F(a)(1) of the Code or
on "contributions after the startup date" under Section 860G(d)(1) of the Code
and (b) any REMIC created hereunder to fail to qualify as a REMIC at any time
that any Certificate is outstanding. In the event that the Company elects to
provide such coverage in the form of a limited guaranty provided by General
Motors Acceptance Corporation, the Company may elect that the text of such
amendment to this Agreement shall be substantially in the form attached hereto
114
as Exhibit K (in which case Residential Funding's Subordinate Certificate Loss
Obligation as described in such exhibit shall be established by Residential
Funding's consent to such amendment) and that the limited guaranty shall be
executed in the form attached hereto as Exhibit K, with such changes as the
Company shall deem to be appropriate; it being understood that the Trustee has
reviewed and approved the content of such forms and that the Trustee's consent
or approval to the use thereof is not required.
Section 11.02 Recordation of Agreement; Counterparts.
(a) To the extent permitted by applicable law, this Agreement is subject
to recordation in all appropriate public offices for real property records in
all the counties or other comparable jurisdictions in which any or all of the
properties subject to the Mortgages are situated, and in any other appropriate
public recording office or elsewhere, such recordation to be effected by the
Master Servicer and at its expense on direction by the Trustee (pursuant to the
request of Holders of Certificates entitled to at least 25% of the Voting
Rights), but only upon direction accompanied by an Opinion of Counsel to the
effect that such recordation materially and beneficially affects the interests
of the Certificateholders.
(b) For the purpose of facilitating the recordation of this Agreement as
herein provided and for other purposes, this Agreement may be executed
simultaneously in any number of counterparts, each of which counterparts shall
be deemed to be an original, and such counterparts shall constitute but one and
the same instrument.
Section 11.03 Limitation on Rights of Certificateholders.
(a) The death or incapacity of any Certificateholder shall not operate
to terminate this Agreement or the Trust Fund, nor entitle such
Certificateholder's legal representatives or heirs to claim an accounting or to
take any action or proceeding in any court for a partition or winding up of the
Trust Fund, nor otherwise affect the rights, obligations and liabilities of any
of the parties hereto.
(b) No Certificateholder shall have any right to vote (except as
expressly provided herein) or in any manner otherwise control the operation and
management of the Trust Fund, or the obligations of the parties hereto, nor
shall anything herein set forth, or contained in the terms of the Certificates,
be construed so as to constitute the Certificateholders from time to time as
partners or members of an association; nor shall any Certificateholder be under
any liability to any third person by reason of any action taken by the parties
to this Agreement pursuant to any provision hereof.
(c) No Certificateholder shall have any right by virtue of any provision
of this Agreement to institute any suit, action or proceeding in equity or at
law upon or under or with respect to this Agreement, unless such Holder
previously shall have given to the Trustee a written notice of default and of
the continuance thereof, as hereinbefore provided, and unless also the Holders
of Certificates of any Class evidencing in the aggregate not less than 25% of
the related Percentage Interests of such Class, shall have made written request
upon the Trustee to institute such action, suit or proceeding in its own name as
Trustee hereunder and shall have offered to the Trustee such reasonable
indemnity as it may require against the costs, expenses and liabilities to be
115
incurred therein or thereby, and the Trustee, for 60 days after its receipt of
such notice, request and offer of indemnity, shall have neglected or refused to
institute any such action, suit or proceeding it being understood and intended,
and being expressly covenanted by each Certificateholder with every other
Certificateholder and the Trustee, that no one or more Holders of Certificates
of any Class shall have any right in any manner whatever by virtue of any
provision of this Agreement to affect, disturb or prejudice the rights of the
Holders of any other of such Certificates of such Class or any other Class, or
to obtain or seek to obtain priority over or preference to any other such
Holder, or to enforce any right under this Agreement, except in the manner
herein provided and for the common benefit of Certificateholders of such Class
or all Classes, as the case may be. For the protection and enforcement of the
provisions of this Section 11.03, each and every Certificateholder and the
Trustee shall be entitled to such relief as can be given either at law or in
equity.
Section 11.04 Governing Law.
This agreement and the Certificates shall be governed by and construed
in accordance with the laws of the State of New York and the obligations, rights
and remedies of the parties hereunder shall be determined in accordance with
such laws.
Section 11.05 Notices.
As provided in Section 11.05 of the Series Supplement.
Section 11.06 Required Notices to Rating Agency and Subservicer.
The Company, the Master Servicer or the Trustee, as applicable, (i)
shall notify each Rating Agency at such time as it is otherwise required
pursuant to this Agreement to give notice of the occurrence of, any of the
events described in clause (a), (b), (c), (d), (g), (h), (i) or (j) below, (ii)
shall notify the Subservicer at such time as it is otherwise required pursuant
to this Agreement to give notice of the occurrence of, any of the events
described in clause (a), (b), (c)(1), (g)(1), or (i) below, or (iii) provide a
copy to each Rating Agency at such time as otherwise required to be delivered
pursuant to this Agreement of any of the statements described in clauses (e) and
(f) below:
(a) a material change or amendment to this Agreement,
(b) the occurrence of an Event of Default,
(c) (1) the termination or appointment of a successor Master Servicer or
(2) the termination or appointment of a successor Trustee or a change in the
majority ownership of the Trustee,
116
(d) the filing of any claim under the Master Servicer's blanket fidelity
bond and the errors and omissions insurance policy required by Section 3.12 or
the cancellation or modification of coverage under any such instrument,
(e) the statement required to be delivered to the Holders of each Class
of Certificates pursuant to Section 4.03,
(f) the statements required to be delivered pursuant to Sections 3.18
and 3.19,
(g) (1) a change in the location of the Custodial Account or (2) a
change in the location of the Certificate Account,
(h) the occurrence of any monthly cash flow shortfall to the Holders of
any Class of Certificates resulting from the failure by the Master Servicer to
make an Advance pursuant to Section 4.04,
(i) the occurrence of the Final Distribution Date, and
(j) the repurchase of or substitution for any Mortgage Loan,
provided, however, that with respect to notice of the occurrence of the events
described in clauses (d), (g) or (h) above, the Master Servicer shall provide
prompt written notice to each Rating Agency and the Subservicer, if applicable,
of any such event known to the Master Servicer.
Section 11.07 Severability of Provisions.
If any one or more of the covenants, agreements, provisions or terms of
this Agreement shall be for any reason whatsoever held invalid, then such
covenants, agreements, provisions or terms shall be deemed severable from the
remaining covenants, agreements, provisions or terms of this Agreement and shall
in no way affect the validity or enforceability of the other provisions of this
Agreement or of the Certificates or the rights of the Holders thereof.
Section 11.08 Supplemental Provisions for Resecuritization.
This Agreement may be supplemented by means of the addition of a
separate Article hereto (a "Supplemental Article") for the purpose of
resecuritizing any of the Certificates issued hereunder, under the following
circumstances. With respect to any Class or Classes of Certificates issued
hereunder, or any portion of any such Class, as to which the Company or any of
its Affiliates (or any designee thereof) is the registered Holder (the
"Resecuritized Certificates"), the Company may deposit such Resecuritized
Certificates into a new REMIC, grantor trust, FASIT or custodial arrangement (a
"Restructuring Vehicle") to be held by the Trustee pursuant to a Supplemental
Article. The instrument adopting such Supplemental Article shall be executed by
the Company, the Master Servicer and the Trustee; provided, that neither the
117
Master Servicer nor the Trustee shall withhold their consent thereto if their
respective interests would not be materially adversely affected thereby. To the
extent that the terms of the Supplemental Article do not in any way affect any
provisions of this Agreement as to any of the Certificates initially issued
hereunder, the adoption of the Supplemental Article shall not constitute an
"amendment" of this Agreement.
Each Supplemental Article shall set forth all necessary provisions
relating to the holding of the Resecuritized Certificates by the Trustee, the
establishment of the Restructuring Vehicle, the issuing of various classes of
new certificates by the Restructuring Vehicle and the distributions to be made
thereon, and any other provisions necessary for the purposes thereof. In
connection with each Supplemental Article, the Company shall deliver to the
Trustee an Opinion of Counsel to the effect that (i) the Restructuring Vehicle
will qualify as a REMIC, grantor trust, FASIT or other entity not subject to
taxation for federal income tax purposes and (ii) the adoption of the
Supplemental Article will not endanger the status of the Trust Fund as a REMIC
or (subject to Section 10.01(f)) result in the imposition of a tax upon the
Trust Fund (including but not limited to the tax on prohibited transactions as
defined in Section 860F(a)(2) of the Code and the tax on contributions to a
REMIC as set forth in Section 860G(d) of the Code).
Section 11.09 Allocation of Voting Rights.
As provided in Section 11.09 of the Series Supplement.
118
EXHIBIT A
FORM OF CLASS A CERTIFICATE, [PRINCIPAL ONLY/CLASS A-P] CERTIFICATE
AND [INTEREST ONLY/CLASS A-V] CERTIFICATE
SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A
"REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT," AS THOSE
TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL
REVENUE CODE OF 1986 (THE "CODE").
[UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF
THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER 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.]
Certificate No. [____] [____]% [Adjustable] [Variable] Pass-Through
Rate [based on a Notional Amount]
Class [A-___] Senior Percentage Interest: ____%
Date of Pooling and Servicing Agreement and Aggregate Initial [Certificate Principal
Cut-off Date: Balance] [Interest Only/Class A-V] [Notional
[______________] Amount] [Subclass Notional Amount] of the
Class [A-___] Certificates: $________
First Distribution Date: [Initial] [Certificate Principal Balance]
[______________] [Interest Only/Class A-V] [Subclass]
[Notional Amount] of this Certificate:
$[______________]
Master Servicer:
Residential Funding Corporation
[Assumed] [Scheduled] Final Distribution Date: CUSIP
[_______________] [______________]
MORTGAGE PASS-THROUGH CERTIFICATE
SERIES ________
evidencing a percentage interest in the distributions allocable to
the Class [A-___] Certificates with respect to a Trust Fund
consisting primarily of a pool of conventional one- to four-family
fixed interest rate first mortgage loans formed and sold by
RESIDENTIAL FUNDING MORTGAGE SECURITIES I, INC.
This Certificate is payable solely from the assets of the Trust Fund,
and does not represent an obligation of or interest in Residential Funding
Mortgage Securities I, Inc., the Master Servicer, the Trustee referred to below
or GMAC Mortgage Group, Inc. or any of their affiliates. Neither this
Certificate nor the underlying Mortgage Loans are guaranteed or insured by any
governmental agency or instrumentality or by Residential Funding Mortgage
Securities I, Inc., the Master Servicer, the Trustee or GMAC Mortgage Group,
Inc. or any of their affiliates. None of the Company, the Master Servicer, GMAC
Mortgage Group, Inc. or any of their affiliates will have any obligation with
respect to any certificate or other obligation secured by or payable from
payments on the Certificates.
This certifies that _____________ is the registered owner of the
Percentage Interest evidenced by this Certificate [(obtained by dividing the
[Initial Certificate Principal Balance] [Initial [Interest Only/Class A-V]
Notional Amount] of this Certificate by the aggregate [Initial Certificate
Principal Balance of all Class A- Certificates] [Initial [Interest Only/Class
A-V] Notional Amounts of all [Interest Only/Class A-V] Certificates], both as
specified above)] in certain distributions with respect to the Trust Fund
consisting primarily of an interest in a pool of conventional one- to
four-family fixed interest rate first mortgage loans (the "Mortgage Loans"),
formed and sold by Residential Funding Mortgage Securities I, Inc. (hereinafter
A-2
called the "Company," which term includes any successor entity under the
Agreement referred to below). The Trust Fund was created pursuant to a Series
Supplement, dated as specified above, to the Standard Terms of Pooling and
Servicing Agreement dated as of ________________ (together, the "Pooling and
Servicing Agreement" or the "Agreement") among the Company, the Master Servicer
and _______________, as trustee (the "Trustee"), a summary of certain of the
pertinent provisions of which is set forth hereafter. To the extent not defined
herein, the capitalized terms used herein have the meanings assigned in the
Agreement. This Certificate is issued under and is subject to the terms,
provisions and conditions of the Agreement, to which Agreement the Holder of
this Certificate by virtue of the acceptance hereof assents and by which such
Holder is bound.
Pursuant to the terms of the Agreement, a distribution will be made on
the 25th day of each month or, if such 25th day is not a Business Day, the
Business Day immediately following (the "Distribution Date"), commencing as
described in the Agreement, to the Person in whose name this Certificate is
registered at the close of business on the last day (or if such last day is not
a Business Day, the Business Day immediately preceding such last day) of the
month immediately preceding the month of such distribution (the "Record Date"),
from the [related] Available Distribution Amount in an amount equal to the
product of the Percentage Interest evidenced by this Certificate and the amount
[(of interest and principal, if any)] required to be distributed to Holders of
Class A- Certificates on such Distribution Date. [the [Interest Only/Class A-V]
Notional Amount of the [Interest Only/Class A-V] Certificates as of any date of
determination is equal to the aggregate stated Principal Balance of the Mortgage
Loans corresponding to the uncertificated REMIC regular interests represented by
such [Interest Only/Class A-V] Certificates.]
Distributions on this Certificate will be made either by the Master
Servicer acting on behalf of the Trustee or by a Paying Agent appointed by the
Trustee in immediately available funds (by wire transfer or otherwise) for the
account of the Person entitled thereto if such Person shall have so notified the
Master Servicer or such Paying Agent, or by check mailed to the address of the
Person entitled thereto, as such name and address shall appear on the
Certificate Register.
Notwithstanding the above, the final distribution on this Certificate
will be made after due notice of the pendency of such distribution and only upon
presentation and surrender of this Certificate at the office or agency appointed
by the Trustee for that purpose in the City and State of New York. [The [Initial
Certificate Principal Balance] [Initial [Interest Only/Class A-V] Notional
Amount] of this Certificate is set forth above.] [The Certificate Principal
Balance hereof will be reduced to the extent of distributions allocable to
principal and any Realized Losses allocable hereto.]
This Certificate is one of a duly authorized issue of Certificates
issued in several Classes designated as Mortgage Pass-Through Certificates of
the Series specified hereon (herein collectively called the "Certificates").
The Certificates are limited in right of payment to certain collections
and recoveries respecting the Mortgage Loans, all as more specifically set forth
herein and in the Agreement. In the event Master Servicer funds are advanced
with respect to any Mortgage Loan, such advance is reimbursable to the Master
Servicer, to the extent provided in the Agreement, from related recoveries on
such Mortgage Loan or from other cash that would have been distributable to
Certificateholders.
A-3
As provided in the Agreement, withdrawals from the Custodial Account
and/or the Certificate Account created for the benefit of Certificateholders may
be made by the Master Servicer from time to time for purposes other than
distributions to Certificateholders, such purposes including without limitation
reimbursement to the Company and the Master Servicer of advances made, or
certain expenses incurred, by either of them.
The Agreement permits, with certain exceptions therein provided, the
amendment of the Agreement and the modification of the rights and obligations of
the Company, the Master Servicer and the Trustee and the rights of the
Certificateholders under the Agreement at any time by the Company, the Master
Servicer and the Trustee with the consent of the Holders of Certificates
evidencing in the aggregate not less than 66.6% of the Percentage Interests of
each Class of Certificates affected thereby. Any such consent by the Holder of
this Certificate shall be conclusive and binding on such Holder and upon all
future holders of this Certificate and of any Certificate issued upon the
transfer hereof or in exchange herefor or in lieu hereof whether or not notation
of such consent is made upon the Certificate. The Agreement also permits the
amendment thereof in certain circumstances without the consent of the Holders of
any of the Certificates and, in certain additional circumstances, without the
consent of the Holders of certain Classes of Certificates.
As provided in the Agreement and subject to certain limitations therein
set forth, the transfer of this Certificate is registrable in the Certificate
Register upon surrender of this Certificate for registration of transfer at the
offices or agencies appointed by the Trustee in the City and State of New York,
duly endorsed by, or accompanied by an assignment in the form below or other
written instrument of transfer in form satisfactory to the Trustee and the
Certificate Registrar duly executed by the Holder hereof or such Xxxxxx's
attorney duly authorized in writing, and thereupon one or more new Certificates
of authorized denominations evidencing the same Class and aggregate Percentage
Interest will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without
coupons in Classes and in denominations specified in the Agreement. As provided
in the Agreement and subject to certain limitations therein set forth,
Certificates are exchangeable for new Certificates of authorized denominations
evidencing the same Class and aggregate Percentage Interest, as requested by the
Holder surrendering the same.
No service charge will be made for any such registration of transfer or
exchange, but the Trustee may require payment of a sum sufficient to cover any
tax or other governmental charge payable in connection therewith.
The Company, the Master Servicer, the Trustee and the Certificate
Registrar and any agent of the Company, the Master Servicer, the Trustee or the
Certificate Registrar may treat the Person in whose name this Certificate is
registered as the owner hereof for all purposes, and neither the Company, the
Master Servicer, the Trustee nor any such agent shall be affected by notice to
the contrary.
A-4
This Certificate shall be governed by and construed in accordance with
the laws of the State of New York.
The obligations created by the Agreement in respect of the Certificates
and the Trust Fund created thereby shall terminate upon the payment to
Certificateholders of all amounts held by or on behalf of the Trustee and
required to be paid to them pursuant to the Agreement following the earlier of
(i) the maturity or other liquidation of the last Mortgage Loan [in the related
Loan Group] subject thereto or the disposition of all property acquired upon
foreclosure or deed in lieu of foreclosure of any Mortgage Loan and (ii) the
purchase by the Master Servicer from the Trust Fund of all remaining Mortgage
Loans [in the related Loan Group] and all property acquired in respect of such
Mortgage Loans, thereby effecting early retirement of the Certificates. The
Agreement permits, but does not require, the Master Servicer to (i) purchase at
a price determined as provided in the Agreement all remaining Mortgage Loans [in
the related Loan Group] and all property acquired in respect of any Mortgage
Loan or (ii) purchase in whole, but not in part, all of the [related]
Certificates from the Holders thereof; provided, that any such option may only
be exercised if the Pool Stated Principal Balance of the Mortgage Loans [in the
related Loan Group] as of the Distribution Date upon which the proceeds of any
such purchase are distributed is less than ten percent of the Cut-off Date
Principal Balance of the Mortgage Loans Group [in the related Loan Group].
Reference is hereby made to the further provisions of this Certificate
set forth on the reverse hereof, which further provisions shall for all purposes
have the same effect as if set forth at this place.
Unless the certificate of authentication hereon has been executed by the
Certificate Registrar, by manual signature, this Certificate shall not be
entitled to any benefit under the Agreement or be valid for any purpose.
A-5
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly
executed.
Dated:________________ [TRUSTEE],
as Trustee
By: ________________________
Authorized Signatory
CERTIFICATE OF AUTHENTICATION
This is one of the Class [A- ] Certificates referred to in the
within-mentioned Agreement.
[TRUSTEE],
as Certificate Registrar
By: _______________________
Authorized Signatory
A-6
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and
transfer(s) unto (Please print or typewrite name and address including postal
zip code of assignee) a Percentage Interest evidenced by the within Mortgage
Pass-Through Certificate and hereby authorizes the transfer of registration of
such interest to assignee on the Certificate Register of the Trust Fund.
I (We) further direct the Certificate Registrar to issue a new
Certificate of a like denomination and Class, to the above named assignee and
deliver such Certificate to the following address:
Dated: __________________ _______________________________________
Signature by or on behalf of assignor
______________________________________
Signature Guaranteed
DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of distribution:
Distributions shall be made, by wire transfer or otherwise, in
immediately available funds to _______________________for the account of
__________________ account number ______________-, or, if mailed by check, to
____________________________. Applicable statements should be mailed to
________________________.
This information is provided by _____________________, the assignee
named above, or ________________, as its agent.
A-7
EXHIBIT B
FORM OF CLASS M CERTIFICATE
THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF PAYMENT TO THE [RELATED]
SENIOR CERTIFICATES [CLASS M-1 CERTIFICATES] [AND CLASS M-2 CERTIFICATES] AS
DESCRIBED IN THE AGREEMENT (AS DEFINED BELOW).
SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A
"REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT," AS THOSE
TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL
REVENUE CODE OF 1986 (THE "CODE").
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF
THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER 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.
ANY TRANSFEREE OF THIS CERTIFICATE WILL BE DEEMED TO HAVE REPRESENTED BY
VIRTUE OF ITS PURCHASE OR HOLDING OF THIS CERTIFICATE (OR INTEREST HEREIN) THAT
EITHER (A) SUCH TRANSFEREE IS NOT AN INVESTMENT MANAGER, A NAMED FIDUCIARY OR A
TRUSTEE OF ANY PLAN, ACTING, DIRECTLY OR INDIRECTLY, ON BEHALF OF OR PURCHASING
ANY CERTIFICATE WITH "PLAN ASSETS" OF ANY PLAN (A "PLAN INVESTOR"), (B) IT HAS
ACQUIRED AND IS HOLDING SUCH CERTIFICATE IN RELIANCE ON PROHIBITED TRANSACTION
EXEMPTION ("PTE") 94-29, 59 FED. REG. 14674 (MARCH 29, 1994), AS AMENDED BY PTE
97-34, 62 FED. REG. 39021 (JULY 21, 1997), AND PTE 2000-58, 65 FED. REG. 67765
(DECEMBER 13, 2000)[, AND PTE 2002-41, 67 FED. REG. 54487 (AUGUST 22, 2002)]
(THE "RFC EXEMPTION"), AND THAT IT UNDERSTANDS THAT THERE ARE CERTAIN CONDITIONS
TO THE AVAILABILITY OF THE RFC EXEMPTION INCLUDING THAT SUCH CERTIFICATE MUST BE
RATED, AT THE TIME OF PURCHASE, NOT LOWER THAN "BBB-" (OR ITS EQUIVALENT) BY
STANDARD & POOR'S, FITCH OR XXXXX'X OR (C)(I) THE TRANSFEREE IS AN INSURANCE
COMPANY, (II) THE SOURCE OF FUNDS TO BE USED BY IT TO PURCHASE THE CERTIFICATE
IS AN "INSURANCE COMPANY GENERAL ACCOUNT" (WITHIN THE MEANING OF 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
(EACH ENTITY THAT SATISFIES THIS CLAUSE (C), A "COMPLYING INSURANCE COMPANY").
IF THIS CERTIFICATE (OR ANY INTEREST HEREIN) IS ACQUIRED OR HELD IN
VIOLATION OF THE PROVISIONS OF THE PRECEDING PARAGRAPH, THEN THE LAST PRECEDING
TRANSFEREE THAT EITHER (I) IS NOT A PLAN INVESTOR, (II) ACQUIRED SUCH
CERTIFICATE IN COMPLIANCE WITH THE RFC EXEMPTION OR (III) IS A COMPLYING
INSURANCE COMPANY SHALL BE RESTORED, TO THE EXTENT PERMITTED BY LAW, TO ALL
RIGHTS AND OBLIGATIONS AS CERTIFICATE OWNER THEREOF RETROACTIVE TO THE DATE OF
SUCH TRANSFER OF THIS CERTIFICATE. THE TRUSTEE SHALL BE UNDER NO LIABILITY TO
ANY PERSON FOR MAKING ANY PAYMENTS DUE ON THIS CERTIFICATE TO SUCH PRECEDING
TRANSFEREE.
ANY PURPORTED CERTIFICATE OWNER WHOSE ACQUISITION OR HOLDING OF THIS
CERTIFICATE (OR INTEREST HEREIN) WAS EFFECTED IN VIOLATION OF THE RESTRICTIONS
IN SECTION 5.02(e) OF THE POOLING AND SERVICING AGREEMENT SHALL INDEMNIFY AND
HOLD HARMLESS THE COMPANY, THE TRUSTEE, THE MASTER SERVICER, ANY SUBSERVICER,
AND THE TRUST FUND FROM AND AGAINST ANY AND ALL LIABILITIES, CLAIMS, COSTS OR
EXPENSES INCURRED BY SUCH PARTIES AS A RESULT OF SUCH ACQUISITION OR HOLDING.
B-2
Certificate No. [____] [____]% Pass-Through Rate
Class [M-___] Subordinate
Date of Pooling and Servicing Agreement Principal Balance of the Class M
and Cut-off Date: Certificates: $_______________
[______________]
First Distribution Date: Initial Certificate Principal Balance of this
[______________] Certificate:
$[_____________]
Master Servicer:
Residential Funding Corporation
[Assumed] [Schedule] Final Distribution Date: CUSIP
[______________] [______________]
MORTGAGE PASS-THROUGH CERTIFICATE,
SERIES ________
evidencing a percentage interest in any distributions allocable
to the Class M-___ Certificates with respect to the Trust Fund
consisting primarily of a pool of conventional one- to
four-family fixed interest rate first mortgage loans formed and
sold by RESIDENTIAL FUNDING MORTGAGE SECURITIES I, INC.
This Certificate is payable solely from the assets of the Trust Fund,
and does not represent an obligation of or interest in Residential Funding
Mortgage Securities I, Inc., the Master Servicer, the Trustee referred to below
or GMAC Mortgage Group, Inc. or any of their affiliates. Neither this
Certificate nor the underlying Mortgage Loans are guaranteed or insured by any
governmental agency or instrumentality or by Residential Funding Mortgage
Securities I, Inc., the Master Servicer, the Trustee or GMAC Mortgage Group,
Inc. or any of their affiliates. None of the Company, the Master Servicer, GMAC
Mortgage Group, Inc. or any of their affiliates will have any obligation with
respect to any certificate or other obligation secured by or payable from
payments on the Certificates.
This certifies that is the registered owner of the Percentage Interest
evidenced by this Certificate (obtained by dividing the Certificate Principal
Balance of this Certificate by the aggregate Certificate Principal Balance of
all Class M-___ Certificates, both as specified above) in certain distributions
with respect to a Trust Fund consisting primarily of a pool of conventional one-
to four-family fixed interest rate first mortgage loans (the "Mortgage Loans"),
formed and sold by Residential Funding Mortgage Securities I, Inc. (hereinafter
called the "Company," which term includes any successor entity under the
Agreement referred to below). The Trust Fund was created pursuant to a Series
Supplement, dated as specified above, to the Standard Terms of Pooling and
Servicing Agreement dated as of ________________ (together, the "Pooling and
Servicing Agreement" or the "Agreement") among the Company, the Master Servicer
and ___________, as trustee (the "Trustee"), a summary of certain of the
pertinent provisions of which is set forth hereafter. To the extent not defined
B-3
herein, the capitalized terms used herein have the meanings assigned in the
Agreement. This Certificate is issued under and is subject to the terms,
provisions and conditions of the Agreement, to which Agreement the Holder of
this Certificate by virtue of the acceptance hereof assents and by which such
Holder is bound.
Pursuant to the terms of the Agreement, a distribution will be made on
the 25th day of each month or, if such 25th day is not a Business Day, the
Business Day immediately following (the "Distribution Date"), commencing as
described in the Agreement, to the Person in whose name this Certificate is
registered at the close of business on the last day (or if such last day is not
a Business Day, the Business Day immediately preceding such last day) of the
month immediately preceding the month of such distribution (the "Record Date"),
from the [related] Available Distribution Amount in an amount equal to the
product of the Percentage Interest evidenced by this Certificate and the amount
(of interest and principal, if any) required to be distributed to Holders of
Class M-___ Certificates on such Distribution Date.
Distributions on this Certificate will be made either by the Master
Servicer acting on behalf of the Trustee or by a Paying Agent appointed by the
Trustee in immediately available funds (by wire transfer or otherwise) for the
account of the Person entitled thereto if such Person shall have so notified the
Master Servicer or such Paying Agent, or by check mailed to the address of the
Person entitled thereto, as such name and address shall appear on the
Certificate Register.
Notwithstanding the above, the final distribution on this Certificate
will be made after due notice of the pendency of such distribution and only upon
presentation and surrender of this Certificate at the office or agency appointed
by the Trustee for that purpose in the City and State of New York. The Initial
Certificate Principal Balance of this Certificate is set forth above. The
Certificate Principal Balance hereof will be reduced to the extent of the
distributions allocable to principal and any Realized Losses allocable hereto.
As described above, any transferee of this Certificate will be deemed to
have represented by virtue of its purchase or holding of this Certificate (or
interest herein) that either (A) such transferee is not a Plan Investor, (B) it
has acquired and is holding this Certificate in reliance on the RFC Exemption
and that it understands that there are certain conditions to the availability of
the RFC Exemption including that this Certificate must be rated, at the time of
purchase, not lower than "BBB-" (or its equivalent) by Standard & Poor's, Fitch
or Xxxxx'x or (C) the transferee is a Complying Insurance Company. In addition,
any purported Certificate Owner whose acquisition or holding of this Certificate
(or interest herein) was effected in violation of the restrictions in Section
5.02(e) of the Agreement shall indemnify and hold harmless the Company, the
Trustee, the Master Servicer, any Subservicer, and the Trust Fund from and
against any and all liabilities, claims, costs or expenses incurred by such
parties as a result of such acquisition or holding.
This Certificate is one of a duly authorized issue of Certificates
issued in several Classes designated as Mortgage Pass-Through Certificates of
the Series specified hereon (herein collectively called the "Certificates").
The Certificates are limited in right of payment to certain collections
and recoveries respecting the Mortgage Loans, all as more specifically set forth
herein and in the Agreement. In the event Master Servicer funds are advanced
with respect to any Mortgage Loan, such advance is reimbursable to the Master
B-4
Servicer, to the extent provided in the Agreement, from related recoveries on
such Mortgage Loan or from other cash that would have been distributable to
Certificateholders.
As provided in the Agreement, withdrawals from the Custodial Account
and/or the Certificate Account created for the benefit of Certificateholders may
be made by the Master Servicer from time to time for purposes other than
distributions to Certificateholders, such purposes including without limitation
reimbursement to the Company and the Master Servicer of advances made, or
certain expenses incurred, by either of them.
The Agreement permits, with certain exceptions therein provided, the
amendment of the Agreement and the modification of the rights and obligations of
the Company, the Master Servicer and the Trustee and the rights of the
Certificateholders under the Agreement at any time by the Company, the Master
Servicer and the Trustee with the consent of the Holders of Certificates
evidencing in the aggregate not less than 66.6% of the Percentage Interests of
each Class of Certificates affected thereby. Any such consent by the Holder of
this Certificate shall be conclusive and binding on such Holder and upon all
future holders of this Certificate and of any Certificate issued upon the
transfer hereof or in exchange herefor or in lieu hereof whether or not notation
of such consent is made upon the Certificate. The Agreement also permits the
amendment thereof in certain circumstances without the consent of the Holders of
any of the Certificates and, in certain additional circumstances, without the
consent of the Holders of certain Classes of Certificates.
As provided in the Agreement and subject to certain limitations therein
set forth, the transfer of this Certificate is registrable in the Certificate
Register upon surrender of this Certificate for registration of transfer at the
offices or agencies appointed by the Trustee in the City and State of New York,
duly endorsed by, or accompanied by an assignment in the form below or other
written instrument of transfer in form satisfactory to the Trustee and the
Certificate Registrar duly executed by the Holder hereof or such Xxxxxx's
attorney duly authorized in writing, and thereupon one or more new Certificates
of authorized denominations evidencing the same Class and aggregate Percentage
Interest will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without
coupons in Classes and in denominations specified in the Agreement. As provided
in the Agreement and subject to certain limitations therein set forth,
Certificates are exchangeable for new Certificates of authorized denominations
evidencing the same Class and aggregate Percentage Interest, as requested by the
Holder surrendering the same.
No service charge will be made for any such registration of transfer or
exchange, but the Trustee may require payment of a sum sufficient to cover any
tax or other governmental charge payable in connection therewith.
The Company, the Master Servicer, the Trustee and the Certificate
Registrar and any agent of the Company, the Master Servicer, the Trustee or the
Certificate Registrar may treat the Person in whose name this Certificate is
registered as the owner hereof for all purposes, and neither the Company, the
Master Servicer, the Trustee nor any such agent shall be affected by notice to
the contrary.
B-5
This Certificate shall be governed by and construed in accordance with
the laws of the State of New York.
The obligations created by the Agreement in respect of the Certificates
and the Trust Fund created thereby shall terminate upon the payment to
Certificateholders of all amounts held by or on behalf of the Trustee and
required to be paid to them pursuant to the Agreement following the earlier of
(i) the maturity or other liquidation of the last Mortgage Loan [in the related
Loan Group] subject thereto or the disposition of all property acquired upon
foreclosure or deed in lieu of foreclosure of any Mortgage Loan and (ii) the
purchase by the Master Servicer from the Trust Fund of all remaining Mortgage
Loans [in the related Loan Group] and all property acquired in respect of such
Mortgage Loans, thereby effecting early retirement of the Certificates. The
Agreement permits, but does not require, the Master Servicer to (i) purchase at
a price determined as provided in the Agreement all remaining Mortgage Loans [in
the related Loan Group] and all property acquired in respect of any Mortgage
Loan or (ii) purchase in whole, but not in part, all of the [related]
Certificates from the Holders thereof; provided, that any such option may only
be exercised if the Pool Stated Principal Balance of the Mortgage Loans [in the
related Loan Group] as of the Distribution Date upon which the proceeds of any
such purchase are distributed is less than ten percent of the Cut-off Date
Principal Balance of the Mortgage Loans Group [in the related Loan Group].
Unless the certificate of authentication hereon has been executed by the
Certificate Registrar, by manual signature, this Certificate shall not be
entitled to any benefit under the Agreement or be valid for any purpose.
B-6
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly
executed.
Dated:________________ [TRUSTEE],
as Trustee
By: ________________________
Authorized Signatory
CERTIFICATE OF AUTHENTICATION
This is one of the Class [A- ] Certificates referred to in the
within-mentioned Agreement.
[TRUSTEE],
as Certificate Registrar
By: ________________________
Authorized Signatory
B-7
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and
transfer(s) unto (Please print or typewrite name and address including postal
zip code of assignee) a Percentage Interest evidenced by the within Mortgage
Pass-Through Certificate and hereby authorizes the transfer of registration of
such interest to assignee on the Certificate Register of the Trust Fund.
I (We) further direct the Certificate Registrar to issue a new
Certificate of a like denomination and Class, to the above named assignee and
deliver such Certificate to the following address:
Dated: __________________ _______________________________________
Signature by or on behalf of assignor
______________________________________
Signature Guaranteed
DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of distribution:
Distributions shall be made, by wire transfer or otherwise, in
immediately available funds to _______________________for the account of
__________________ account number ______________-, or, if mailed by check, to
____________________________. Applicable statements should be mailed to
________________________.
This information is provided by _____________________, the assignee
named above, or ________________, as its agent.
B-8
EXHIBIT C
FORM OF CLASS B CERTIFICATE
THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF PAYMENT TO THE RELATED
SENIOR CERTIFICATES AND THE RELATED CLASS M CERTIFICATES [AND CLASS B-1] [CLASS
B-2 CERTIFICATES] DESCRIBED IN THE AGREEMENT (AS DEFINED HEREIN).
THIS CERTIFICATE HAS NOT BEEN AND WILL NOT BE REGISTERED UNDER THE
SECURITIES ACT OF 1933, AS AMENDED, OR THE SECURITIES LAWS OF ANY STATE AND MAY
NOT BE RESOLD OR TRANSFERRED UNLESS IT IS REGISTERED PURSUANT TO SUCH ACT AND
LAWS OR IS SOLD OR TRANSFERRED IN TRANSACTIONS WHICH ARE EXEMPT FROM
REGISTRATION UNDER SUCH ACT AND UNDER APPLICABLE STATE LAW AND IS TRANSFERRED IN
ACCORDANCE WITH THE PROVISIONS OF SECTION 5.02 OF THE AGREEMENT.
NO TRANSFER OF THIS CERTIFICATE MAY BE MADE TO ANY PERSON, UNLESS THE
TRANSFEREE PROVIDES EITHER A CERTIFICATION PURSUANT TO SECTION 5.02(e) OF THE
AGREEMENT OR AN OPINION OF COUNSEL SATISFACTORY TO THE MASTER SERVICER, THE
COMPANY AND THE TRUSTEE THAT THE PURCHASE AND HOLDING OF THIS CERTIFICATE ARE
PERMISSIBLE UNDER APPICABLE LAW, WILL NOT CONSTITUTE OR RESULT IN A NON-EXEMPT
PROHIBITED TRANSACTION UNDER SECTION 406 OF THE EMPLOYEE RETIREMENT INCOME
SECURITY ACT OF 1974, AS AMENDED ("ERISA"), OR SECTION 4975 OF THE CODE AND WILL
NOT SUBJECT THE MASTER SERVICER, THE COMPANY OR THE TRUSTEE TO ANY OBLIGATION OR
LIABILITY IN ADDITION TO THOSE UNDERTAKEN IN THE AGREEMENT.
Certificate No. [____] [____]% Pass-Through Rate
Class [B-___] Subordinate
Date of Pooling and Servicing Agreement and Principal Balance of the Class B-___
Cut-off Date: Certificates as of the Cut-off Date: $________
[--------------]
First Distribution Date: Initial Certificate Principal Balance of this
[______________] Certificate:
$[--------------]
Master Servicer:
Residential Funding Corporation
Assumed Final Distribution Date: CUSIP
[--------------] [--------------]
MORTGAGE PASS-THROUGH CERTIFICATE,
SERIES _______
evidencing a percentage interest in the distributions allocable
to the Class B-___ Certificates with respect to a Trust Fund
consisting primarily of a pool of conventional one- to
four-family fixed interest rate first mortgage loans formed and
sold by RESIDENTIAL FUNDING MORTGAGE SECURITIES I, INC.
This Certificate is payable solely from the assets of the Trust Fund,
and does not represent an obligation of or interest in Residential Funding
Mortgage Securities I, Inc., the Master Servicer, the Trustee referred to below
or GMAC Mortgage Group, Inc. or any of their affiliates. Neither this
Certificate nor the underlying Mortgage Loans are guaranteed or insured by any
governmental agency or instrumentality or by Residential Funding Mortgage
Securities I, Inc., the Master Servicer, the Trustee or GMAC Mortgage Group,
Inc. or any of their affiliates. None of the Company, the Master Servicer, GMAC
Mortgage Group, Inc. or any of their affiliates will have any obligation with
respect to any certificate or other obligation secured by or payable from
payments on the Certificates.
This certifies that _______________________ is the registered owner of
the Percentage Interest evidenced by this Certificate (obtained by dividing the
Initial Certificate Principal Balance of this Certificate by the aggregate
Initial Certificate Principal Balance of all Class B-___ Certificates, both as
specified above) in certain distributions with respect to the Trust Fund
consisting primarily of an interest in a pool of conventional one- to
four-family fixed interest rate first mortgage loans (the "Mortgage Loans"),
formed and sold by Residential Funding Mortgage Securities I, Inc. (hereinafter
called the "Company," which term includes any successor entity under the
Agreement referred to below). The Trust Fund was created pursuant to a Series
Supplement, dated as specified above, to the Standard Terms of Pooling and
Servicing Agreement dated as of ________________ (together, the "Pooling and
Servicing Agreement" or the "Agreement") among the Company, the Master Servicer
and ___________, as trustee (the "Trustee"), a summary of certain of the
pertinent provisions of which is set forth hereafter. To the extent not defined
herein, the capitalized terms used herein have the meanings assigned in the
C-2
Agreement. This Certificate is issued under and is subject to the terms,
provisions and conditions of the Agreement, to which Agreement the Holder of
this Certificate by virtue of the acceptance hereof assents and by which such
Holder is bound.
Pursuant to the terms of the Agreement, a distribution will be made on
the 25th day of each month or, if such 25th day is not a Business Day, the
Business Day immediately following (the "Distribution Date"), commencing on the
first Distribution Date specified above, to the Person in whose name this
Certificate is registered at the close of business on the last day (or if such
last day is not a Business Day, the Business Day immediately preceding such last
day) of the month next preceding the month of such distribution (the "Record
Date"), from the [related] Available Distribution Amount in an amount equal to
the product of the Percentage Interest evidenced by this Certificate and the
amount (of interest and principal, if any) required to be distributed to Holders
of Class B Certificates on such Distribution Date.
Distributions on this Certificate will be made either by the Master
Servicer acting on behalf of the Trustee or by a Paying Agent appointed by the
Trustee in immediately available funds (by wire transfer or otherwise) for the
account of the Person entitled thereto if such Person shall have so notified the
Master Servicer or such Paying Agent, or by check mailed to the address of the
Person entitled thereto, as such name and address shall appear on the
Certificate Register.
Notwithstanding the above, the final distribution on this Certificate
will be made after due notice of the pendency of such distribution and only upon
presentation and surrender of this Certificate at the office or agency appointed
by the Trustee for that purpose in the City and State of New York. The Initial
Certificate Principal Balance of this Certificate is set forth above. The
Certificate Principal Balance hereof will be reduced to the extent of the
distributions allocable to principal and any Realized Losses allocable hereto.
No transfer of this Class B Certificate will be made unless such
transfer is exempt from the registration requirements of the Securities Act of
1933, as amended, and any applicable state securities laws or is made in
accordance with said Act and laws. In the event that such a transfer is to be
made, (i) the Trustee or the Company may require an opinion of counsel
acceptable to and in form and substance satisfactory to the Trustee and the
Company that such transfer is exempt (describing the applicable exemption and
the basis therefor) from or is being made pursuant to the registration
requirements of the Securities Act of 1933, as amended, and of any applicable
statute of any state and (ii) the transferee shall execute an investment letter
in the form described by Section 5.02(e) of the Agreement. The Holder hereof
desiring to effect such transfer shall, and does hereby agree to, indemnify the
Trustee, the Company, the Master Servicer and the Certificate Registrar acting
on behalf of the Trustee against any liability that may result if the transfer
is not so exempt or is not made in accordance with such Federal and state laws.
In connection with any such transfer, the Trustee will also require either (i)
an opinion of counsel acceptable to and in form and substance satisfactory to
the Trustee, the Company and the Master Servicer with respect to the
permissibility of such transfer under the Employee Retirement Income Security
Act of 1974, as amended ("ERISA"), and Section 4975 of the Internal Revenue Code
(the "Code") and stating, among other things, that the transferee's acquisition
of a Class B Certificate will not constitute or result in a non-exempt
prohibited transaction under Section 406 of ERISA or Section 4975 of the Code or
subject the Master Servicer, the Company or the Trustee to any obligation or
liability in addition to those undertaken in the Agreement, or (ii) a
representation letter, in the form as described by the Agreement, either stating
C-3
that the transferee is not an employee benefit or other plan subject to the
prohibited transaction provisions of ERISA or Section 4975 of the Code (a
"Plan"), or any other person (including an investment manager, a named fiduciary
or a trustee of any Plan) acting, directly or indirectly, on behalf of or
purchasing any Certificate with "plan assets" of any Plan, or stating that the
transferee is an insurance company, the source of funds to be used by it to
purchase the Certificate is an "insurance company general account" (within the
meaning of Department of Labor Prohibited Transaction Class Exemption ("PTCE")
95-60), and the purchase is being made in reliance upon the availability of the
exemptive relief afforded under Sections I and III of PTCE 95-60.
This Certificate is one of a duly authorized issue of Certificates
issued in several Classes designated as Mortgage Pass-Through Certificates of
the Series specified hereon (herein collectively called the "Certificates").
The Certificates are limited in right of payment to certain collections
and recoveries respecting the Mortgage Loans, all as more specifically set forth
herein and in the Agreement. In the event Master Servicer funds are advanced
with respect to any Mortgage Loan, such advance is reimbursable to the Master
Servicer, to the extent provided in the Agreement, from related recoveries on
such Mortgage Loan or from other cash that would have been distributable to
Certificateholders.
As provided in the Agreement, withdrawals from the Custodial Account
and/or the Certificate Account created for the benefit of Certificateholders may
be made by the Master Servicer from time to time for purposes other than
distributions to Certificateholders, such purposes including without limitation
reimbursement to the Company and the Master Servicer of advances made, or
certain expenses incurred, by either of them.
The Agreement permits, with certain exceptions therein provided, the
amendment of the Agreement and the modification of the rights and obligations of
the Company, the Master Servicer and the Trustee and the rights of the
Certificateholders under the Agreement at any time by the Company, the Master
Servicer and the Trustee with the consent of the Holders of Certificates
evidencing in the aggregate not less than 66.6% of the Percentage Interests of
each Class of Certificates affected thereby. Any such consent by the Holder of
this Certificate shall be conclusive and binding on such Holder and upon all
future holders of this Certificate and of any Certificate issued upon the
transfer hereof or in exchange herefor or in lieu hereof whether or not notation
of such consent is made upon the Certificate. The Agreement also permits the
amendment thereof in certain circumstances without the consent of the Holders of
any of the Certificates and, in certain additional circumstances, without the
consent of the Holders of certain Classes of Certificates.
As provided in the Agreement and subject to certain limitations therein
set forth, the transfer of this Certificate is registrable in the Certificate
Register upon surrender of this Certificate for registration of transfer at the
offices or agencies appointed by the Trustee in the City and State of New York,
duly endorsed by, or accompanied by an assignment in the form below or other
written instrument of transfer in form satisfactory to the Trustee and the
Certificate Registrar duly executed by the Holder hereof or such Holder's
C-4
attorney duly authorized in writing, and thereupon one or more new Certificates
of authorized denominations evidencing the same Class and aggregate Percentage
Interest will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without
coupons in Classes and in denominations specified in the Agreement. As provided
in the Agreement and subject to certain limitations therein set forth,
Certificates are exchangeable for new Certificates of authorized denominations
evidencing the same Class and aggregate Percentage Interest, as requested by the
Holder surrendering the same.
No service charge will be made for any such registration of transfer or
exchange, but the Trustee may require payment of a sum sufficient to cover any
tax or other governmental charge payable in connection therewith.
The Company, the Master Servicer, the Trustee and the Certificate
Registrar and any agent of the Company, the Master Servicer, the Trustee or the
Certificate Registrar may treat the Person in whose name this Certificate is
registered as the owner hereof for all purposes, and neither the Company, the
Master Servicer, the Trustee nor any such agent shall be affected by notice to
the contrary.
This Certificate shall be governed by and construed in accordance with
the laws of the State of New York.
The obligations created by the Agreement in respect of the Certificates
and the Trust Fund created thereby shall terminate upon the payment to
Certificateholders of all amounts held by or on behalf of the Trustee and
required to be paid to them pursuant to the Agreement following the earlier of
(i) the maturity or other liquidation of the last Mortgage Loan [in the related
Loan Group] subject thereto or the disposition of all property acquired upon
foreclosure or deed in lieu of foreclosure of any Mortgage Loan and (ii) the
purchase by the Master Servicer from the Trust Fund of all remaining Mortgage
Loans [in the related Loan Group] and all property acquired in respect of such
Mortgage Loans, thereby effecting early retirement of the Certificates. The
Agreement permits, but does not require, the Master Servicer to (i) purchase at
a price determined as provided in the Agreement all remaining Mortgage Loans [in
the related Loan Group] and all property acquired in respect of any Mortgage
Loan or (ii) purchase in whole, but not in part, all of the [related]
Certificates from the Holders thereof; provided, that any such option may only
be exercised if the Pool Stated Principal Balance of the Mortgage Loans [in the
related Loan Group] as of the Distribution Date upon which the proceeds of any
such purchase are distributed is less than ten percent of the Cut-off Date
Principal Balance of the Mortgage Loans Group [in the related Loan Group].
Unless the certificate of authentication hereon has been executed by the
Certificate Registrar, by manual signature, this Certificate shall not be
entitled to any benefit under the Agreement or be valid for any purpose.
C-5
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly
executed.
Dated:________________ [TRUSTEE],
as Trustee
By: ________________________
Authorized Signatory
CERTIFICATE OF AUTHENTICATION
This is one of the Class [A- ] Certificates referred to in the
within-mentioned Agreement.
[TRUSTEE],
as Certificate Registrar
By: ________________________
Authorized Signatory
C-6
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and
transfer(s) unto (Please print or typewrite name and address including postal
zip code of assignee) a Percentage Interest evidenced by the within Mortgage
Pass-Through Certificate and hereby authorizes the transfer of registration of
such interest to assignee on the Certificate Register of the Trust Fund.
I (We) further direct the Certificate Registrar to issue a new
Certificate of a like denomination and Class, to the above named assignee and
deliver such Certificate to the following address:
Dated: __________________ _______________________________________
Signature by or on behalf of assignor
______________________________________
Signature Guaranteed
DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of distribution:
Distributions shall be made, by wire transfer or otherwise, in
immediately available funds to _______________________for the account of
__________________ account number ______________-, or, if mailed by check, to
____________________________. Applicable statements should be mailed to
________________________.
This information is provided by _____________________, the assignee
named above, or ________________, as its agent.
C-7
EXHIBIT D
FORM OF CLASS R CERTIFICATE
THIS CERTIFICATE MAY NOT BE HELD BY OR TRANSFERRED TO A NON-UNITED
STATES PERSON OR A DISQUALIFIED ORGANIZATION (AS DEFINED BELOW).
SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A
"RESIDUAL INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" AS THOSE
TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL
REVENUE CODE OF 1986 (THE "CODE").
NO TRANSFER OF THIS CERTIFICATE MAY BE MADE TO ANY PERSON, UNLESS THE
TRANSFEREE PROVIDES EITHER A CERTIFICATION PURSUANT TO SECTION 5.02(e) OF THE
AGREEMENT OR AN OPINION OF COUNSEL SATISFACTORY TO THE MASTER SERVICER, THE
COMPANY AND THE TRUSTEE THAT THE PURCHASE AND HOLDING OF THIS CERTIFICATE ARE
PERMISSIBLE UNDER APPLICABLE LAW, WILL NOT CONSTITUTE OR RESULT IN A NON-EXEMPT
PROHIBITED TRANSACTION UNDER SECTION 406 OF THE EMPLOYEE RETIREMENT INCOME
SECURITY ACT OF 1974, AS AMENDED ("ERISA"), OR SECTION 4975 OF THE CODE AND WILL
NOT SUBJECT THE MASTER SERVICER, THE COMPANY OR THE TRUSTEE TO ANY OBLIGATION OR
LIABILITY IN ADDITION TO THOSE UNDERTAKEN IN THE AGREEMENT.
ANY RESALE, TRANSFER OR OTHER DISPOSITION OF THIS CERTIFICATE MAY BE
MADE ONLY IF THE PROPOSED TRANSFEREE PROVIDES A TRANSFER AFFIDAVIT TO THE MASTER
SERVICER AND THE TRUSTEE THAT (1) SUCH TRANSFEREE IS NOT (A) THE UNITED STATES,
ANY STATE OR POLITICAL SUBDIVISION THEREOF, ANY POSSESSION OF THE UNITED STATES,
OR ANY AGENCY OR INSTRUMENTALITY OF ANY OF THE FOREGOING (OTHER THAN AN
INSTRUMENTALITY WHICH IS A CORPORATION IF ALL OF ITS ACTIVITIES ARE SUBJECT TO
TAX AND EXCEPT FOR FREDDIE MAC, A MAJORITY OF ITS BOARD OF DIRECTORS IS NOT
SELECTED BY SUCH GOVERNMENTAL UNIT), (B) A FOREIGN GOVERNMENT, ANY INTERNATIONAL
ORGANIZATION, OR ANY AGENCY OR INSTRUMENTALITY OF EITHER OF THE FOREGOING, (C)
ANY ORGANIZATION (OTHER THAN CERTAIN FARMERS' COOPERATIVES DESCRIBED IN SECTION
521 OF THE CODE) WHICH IS EXEMPT FROM THE TAX IMPOSED BY CHAPTER 1 OF THE CODE
UNLESS SUCH ORGANIZATION IS SUBJECT TO THE TAX IMPOSED BY SECTION 511 OF THE
CODE (INCLUDING THE TAX IMPOSED BY SECTION 511 OF THE CODE ON UNRELATED BUSINESS
TAXABLE INCOME), (D) RURAL ELECTRIC AND TELEPHONE COOPERATIVES DESCRIBED IN
SECTION 1381(A)(2)(C) OF THE CODE, (E) AN ELECTING LARGE PARTNERSHIP UNDER
SECTION 775(A) OF THE CODE (ANY SUCH PERSON DESCRIBED IN THE FOREGOING CLAUSES
(A), (B), (C), (D) OR (E) BEING HEREIN REFERRED TO AS A "DISQUALIFIED
ORGANIZATION"), OR (F) AN AGENT OF A DISQUALIFIED ORGANIZATION, (2) NO PURPOSE
OF SUCH TRANSFER IS TO IMPEDE THE ASSESSMENT OR COLLECTION OF TAX AND (3) SUCH
TRANSFEREE SATISFIES CERTAIN ADDITIONAL CONDITIONS RELATING TO THE FINANCIAL
CONDITION OF THE PROPOSED TRANSFEREE. NOTWITHSTANDING THE REGISTRATION IN THE
CERTIFICATE REGISTER OR ANY TRANSFER, SALE OR OTHER DISPOSITION OF THIS
CERTIFICATE TO A DISQUALIFIED ORGANIZATION OR AN AGENT OF A DISQUALIFIED
ORGANIZATION, SUCH REGISTRATION SHALL BE DEEMED TO BE OF NO LEGAL FORCE OR
EFFECT WHATSOEVER AND SUCH PERSON SHALL NOT BE DEEMED TO BE A CERTIFICATEHOLDER
FOR ANY PURPOSE HEREUNDER, INCLUDING, BUT NOT LIMITED TO, THE RECEIPT OF
DISTRIBUTIONS ON THIS CERTIFICATE. EACH HOLDER OF THIS CERTIFICATE BY ACCEPTANCE
OF THIS CERTIFICATE SHALL BE DEEMED TO HAVE CONSENTED TO THE PROVISIONS OF THIS
PARAGRAPH.
D-2
Certificate No. [____] [____]% Pass-Through Rate
Class [R-___] Senior
Date of Pooling and Servicing Agreement and Aggregate Initial Certificate Principal
Cut-off Date: Balance of the Class R-___ Certificates:
[______________] $100.00
First Distribution Date: Initial Certificate Principal Balance of this
[______________] Certificate:
$[--------------]
Master Servicer: Percentage Interest: _____%
Residential Funding Corporation
Assumed Final Distribution Date: CUSIP
[--------------] [--------------]
MORTGAGE PASS-THROUGH CERTIFICATE,
SERIES _______
evidencing a percentage interest in the distributions allocable
to the Class R[-__] Certificates with respect to a Trust Fund
consisting primarily of a pool of conventional one- to
four-family fixed interest rate first mortgage loans formed and
sold by RESIDENTIAL FUNDING MORTGAGE SECURITIES I, INC.
This Certificate is payable solely from the assets of the Trust Fund,
and does not represent an obligation of or interest in Residential Funding
Mortgage Securities I, Inc., the Master Servicer, the Trustee referred to below
or GMAC Mortgage Group, Inc. or any of their affiliates. Neither this
Certificate nor the underlying Mortgage Loans are guaranteed or insured by any
governmental agency or instrumentality or by Residential Funding Mortgage
Securities I, Inc., the Master Servicer, the Trustee or GMAC Mortgage Group,
Inc. or any of their affiliates. None of the Company, the Master Servicer, GMAC
Mortgage Group, Inc. or any of their affiliates will have any obligation with
respect to any certificate or other obligation secured by or payable from
payments on the Certificates.
This certifies that is the registered owner of the Percentage Interest
evidenced by this Certificate (obtained by dividing the Initial Certificate
Principal Balance of this Certificate by the aggregate Initial Certificate
Principal Balance of all Class R[-__] Certificates, both as specified above) in
certain distributions with respect to the Trust Fund consisting primarily of an
interest in a pool of conventional one- to four-family fixed interest rate first
mortgage loans (the "Mortgage Loans"), formed and sold by Residential Funding
Mortgage Securities I, Inc. (hereinafter called the "Company," which term
includes any successor entity under the Agreement referred to below). The Trust
Fund was created pursuant to a Series Supplement, dated as specified above, to
the Standard Terms of Pooling and Servicing Agreement dated as of
________________ (together, the "Pooling and Servicing Agreement" or the
"Agreement") among the Company, the Master Servicer and ___________, as trustee
(the "Trustee"), a summary of certain of the pertinent provisions of which is
set forth hereafter. To the extent not defined herein, the capitalized terms
D-3
used herein have the meanings assigned in the Agreement. This Certificate is
issued under and is subject to the terms, provisions and conditions of the
Agreement, to which Agreement the Holder of this Certificate by virtue of the
acceptance hereof assents and by which such Holder is bound.
Pursuant to the terms of the Agreement, a distribution will be made on
the 25th day of each month or, if such 25th day is not a Business Day, the
Business Day immediately following (the "Distribution Date"), commencing as
described in the Agreement, to the Person in whose name this Certificate is
registered at the close of business on the last day (or if such last day is not
a Business Day, the Business Day immediately preceding such last day) of the
month immediately preceding the month of such distribution (the "Record Date"),
from the [related] Available Distribution Amount in an amount equal to the
product of the Percentage Interest evidenced by this Certificate and the amount
(of interest and principal, if any) required to be distributed to Holders of
Class R Certificates on such Distribution Date.
Each Holder of this Certificate will be deemed to have agreed to be
bound by the restrictions set forth in the Agreement to the effect that (i) each
person holding or acquiring any Ownership Interest in this Certificate must be a
United States Person and a Permitted Transferee, (ii) the transfer of any
Ownership Interest in this Certificate will be conditioned upon the delivery to
the Trustee of, among other things, an affidavit to the effect that it is a
United States Person and Permitted Transferee, (iii) any attempted or purported
transfer of any Ownership Interest in this Certificate in violation of such
restrictions will be absolutely null and void and will vest no rights in the
purported transferee, and (iv) if any person other than a United States Person
and a Permitted Transferee acquires any Ownership Interest in this Certificate
in violation of such restrictions, then the Company will have the right, in its
sole discretion and without notice to the Holder of this Certificate, to sell
this Certificate to a purchaser selected by the Company, which purchaser may be
the Company, or any affiliate of the Company, on such terms and conditions as
the Company may choose.
Notwithstanding the above, the final distribution on this Certificate
will be made after due notice of the pendency of such distribution and only upon
presentation and surrender of this Certificate at the office or agency appointed
by the Trustee for that purpose in the City and State of New York. The Initial
Certificate Principal Balance of this Certificate is set forth above. The
Certificate Principal Balance hereof will be reduced to the extent of
distributions allocable to principal and any Realized Losses allocable hereto.
Notwithstanding the reduction of the Certificate Principal Balance hereof to
zero, this Certificate will remain outstanding under the Agreement and the
Holder hereof may have additional obligations with respect to this Certificate,
including tax liabilities, and may be entitled to certain additional
distributions hereon, in accordance with the terms and provisions of the
Agreement.
No transfer of this Class R[-__] Certificate will be made unless the
Trustee has received either (i) an opinion of counsel acceptable to and in form
and substance satisfactory to the Trustee, the Company and the Master Servicer
with respect to the permissibility of such transfer under the Employee
Retirement Income Security Act of 1974, as amended ("ERISA"), and Section 4975
of the Internal Revenue Code (the "Code") and stating, among other things, that
the transferee's acquisition of a Class R Certificate will not constitute or
result in a non-exempt prohibited transaction under Section 406 of ERISA or
Section 4975 of the Code or subject the Master Servicer, the Company or the
Trustee to any obligation or liability in addition to those undertaken in the
D-4
Agreement, or (ii) a representation letter, in the form as described by the
Agreement, stating that the transferee is not an employee benefit or other plan
subject to the prohibited transaction provisions of ERISA or Section 4975 of the
Code (a "Plan"), or any other person (including an investment manager, a named
fiduciary or a trustee of any Plan) acting, directly or indirectly, on behalf of
or purchasing any Certificate with "plan assets" of any Plan.
This Certificate is one of a duly authorized issue of Certificates
issued in several Classes designated as Mortgage Pass-Through Certificates of
the Series specified hereon (herein collectively called the "Certificates").
The Certificates are limited in right of payment to certain collections
and recoveries respecting the Mortgage Loans, all as more specifically set forth
herein and in the Agreement. In the event Master Servicer funds are advanced
with respect to any Mortgage Loan, such advance is reimbursable to the Master
Servicer, to the extent provided in the Agreement, from related recoveries on
such Mortgage Loan or from other cash that would have been distributable to
Certificateholders.
As provided in the Agreement, withdrawals from the Custodial Account
and/or the Certificate Account created for the benefit of Certificateholders may
be made by the Master Servicer from time to time for purposes other than
distributions to Certificateholders, such purposes including without limitation
reimbursement to the Company and the Master Servicer of advances made, or
certain expenses incurred, by either of them.
The Agreement permits, with certain exceptions therein provided, the
amendment of the Agreement and the modification of the rights and obligations of
the Company, the Master Servicer and the Trustee and the rights of the
Certificateholders under the Agreement at any time by the Company, the Master
Servicer and the Trustee with the consent of the Holders of Certificates
evidencing in the aggregate not less than 66.6% of the Percentage Interests of
each Class of Certificates affected thereby. Any such consent by the Holder of
this Certificate shall be conclusive and binding on such Holder and upon all
future holders of this Certificate and of any Certificate issued upon the
transfer hereof or in exchange herefor or in lieu hereof whether or not notation
of such consent is made upon the Certificate. The Agreement also permits the
amendment thereof in certain circumstances without the consent of the Holders of
any of the Certificates and, in certain additional circumstances, without the
consent of the Holders of certain Classes of Certificates.
As provided in the Agreement and subject to certain limitations therein
set forth, the transfer of this Certificate is registrable in the Certificate
Register upon surrender of this Certificate for registration of transfer at the
offices or agencies appointed by the Trustee in the City and State of New York,
duly endorsed by, or accompanied by an assignment in the form below or other
written instrument of transfer in form satisfactory to the Trustee and the
Certificate Registrar duly executed by the Holder hereof or such Xxxxxx's
attorney duly authorized in writing, and thereupon one or more new Certificates
of authorized denominations evidencing the same Class and aggregate Percentage
Interest will be issued to the designated transferee or transferees.
D-5
The Certificates are issuable only as registered Certificates without
coupons in Classes and in denominations specified in the Agreement. As provided
in the Agreement and subject to certain limitations therein set forth,
Certificates are exchangeable for new Certificates of authorized denominations
evidencing the same Class and aggregate Percentage Interest, as requested by the
Holder surrendering the same.
No service charge will be made for any such registration of transfer or
exchange, but the Trustee may require payment of a sum sufficient to cover any
tax or other governmental charge payable in connection therewith.
The Company, the Master Servicer, the Trustee and the Certificate
Registrar and any agent of the Company, the Master Servicer, the Trustee or the
Certificate Registrar may treat the Person in whose name this Certificate is
registered as the owner hereof for all purposes, and neither the Company, the
Master Servicer, the Trustee nor any such agent shall be affected by notice to
the contrary.
This Certificate shall be governed by and construed in accordance with
the laws of the State of New York.
The obligations created by the Agreement in respect of the Certificates
and the Trust Fund created thereby shall terminate upon the payment to
Certificateholders of all amounts held by or on behalf of the Trustee and
required to be paid to them pursuant to the Agreement following the earlier of
(i) the maturity or other liquidation of the last Mortgage Loan [in the related
Loan Group] subject thereto or the disposition of all property acquired upon
foreclosure or deed in lieu of foreclosure of any Mortgage Loan and (ii) the
purchase by the Master Servicer from the Trust Fund of all remaining Mortgage
Loans [in the related Loan Group] and all property acquired in respect of such
Mortgage Loans, thereby effecting early retirement of the Certificates. The
Agreement permits, but does not require, the Master Servicer to (i) purchase at
a price determined as provided in the Agreement all remaining Mortgage Loans [in
the related Loan Group] and all property acquired in respect of any Mortgage
Loan or (ii) purchase in whole, but not in part, all of the [related]
Certificates from the Holders thereof; provided, that any such option may only
be exercised if the Pool Stated Principal Balance of the Mortgage Loans [in the
related Loan Group] as of the Distribution Date upon which the proceeds of any
such purchase are distributed is less than ten percent of the Cut-off Date
Principal Balance of the Mortgage Loans Group [in the related Loan Group].
Reference is hereby made to the further provisions of this Certificate
set forth on the reverse hereof, which further provisions shall for all purposes
have the same effect as if set forth at this place.
Unless the certificate of authentication hereon has been executed by the
Certificate Registrar, by manual signature, this Certificate shall not be
entitled to any benefit under the Agreement or be valid for any purpose.
D-6
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly
executed.
Dated:________________ [TRUSTEE],
as Trustee
By: ________________________
Authorized Signatory
CERTIFICATE OF AUTHENTICATION
This is one of the Class [A- ] Certificates referred to in the
within-mentioned Agreement.
[TRUSTEE],
as Certificate Registrar
By: ________________________
Authorized Signatory
D-7
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and
transfer(s) unto (Please print or typewrite name and address including postal
zip code of assignee) a Percentage Interest evidenced by the within Mortgage
Pass-Through Certificate and hereby authorizes the transfer of registration of
such interest to assignee on the Certificate Register of the Trust Fund.
I (We) further direct the Certificate Registrar to issue a new
Certificate of a like denomination and Class, to the above named assignee and
deliver such Certificate to the following address:
Dated: __________________ _______________________________________
Signature by or on behalf of assignor
______________________________________
Signature Guaranteed
DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of distribution:
Distributions shall be made, by wire transfer or otherwise, in
immediately available funds to _______________________for the account of
__________________ account number ______________-, or, if mailed by check, to
____________________________. Applicable statements should be mailed to
________________________.
This information is provided by _____________________, the assignee
named above, or ________________, as its agent.
D-8
EXHIBIT E
FORM OF SELLER/SERVICER CONTRACT
This Seller/Servicer Contract (as may be amended, supplemented or
otherwise modified from time to time, this "Contract") is made this day of
_____________, 20__, by and between Residential Funding Corporation, its
successors and assigns ("Residential Funding") and (the "Seller/Servicer," and,
together with Residential Funding, the "parties" and each, individually, a
"party").
WHEREAS, the Seller/Servicer desires to sell Loans to, and/or service
Loans for, Residential Funding, and Residential Funding desires to purchase
Loans from the Seller/Servicer and/or have the Seller/Servicer service various
of its Loans, pursuant to the terms of this Contract and the Residential Funding
Seller and Servicer Guides incorporated herein by reference, as amended,
supplemented or otherwise modified, from time to time (together, the "Guides").
NOW, THEREFORE, in consideration of the premises, and the terms,
conditions and agreements set forth below, the parties agree as follows:
1. INCORPORATION OF GUIDES BY REFERENCE.
The Seller/Servicer acknowledges that it has received and read the
Guides. All provisions of the Guides are incorporated by reference into and made
a part of this Contract, and shall be binding upon the parties; provided,
however, that the Seller/Servicer shall be entitled to sell Loans to and/or
service Loans for Residential Funding only if and for so long as it shall have
been authorized to do so by Residential Funding in writing. Specific reference
in this Contract to particular provisions of the Guides and not to other
provisions does not mean that those provisions of the Guides not specifically
cited in this Contract are not applicable. All terms used herein shall have the
same meanings as such terms have in the Guides, unless the context clearly
requires otherwise.
2. AMENDMENTS.
This Contract may not be amended or modified orally, and no provision of
this Contract may be waived or amended except in writing signed by the party
against whom enforcement is sought. Such a written waiver or amendment must
expressly reference this Contract. However, by their terms, the Guides may be
amended or supplemented by Residential Funding from time to time. Any such
amendment(s) to the Guides shall be binding upon the parties hereto.
3. REPRESENTATIONS AND WARRANTIES.
A. Reciprocal Representations and Warranties.
The Seller/Servicer and Residential Funding each represents and warrants
to the other that as of the date of this Contract:
(1) Each party is duly organized, validly existing, and in good standing under
the laws of its jurisdiction of organization, is qualified, if necessary, to do
business and in good standing in each jurisdiction in which it is required to be
so qualified, and has the requisite power and authority to enter into this
Contract and all other agreements which are contemplated by this Contract and to
carry out its obligations hereunder and under the Guides and under such other
agreements.
(2) This Contract has been duly authorized, executed and delivered by each party
and constitutes a valid and legally binding agreement of each party enforceable
in accordance with its terms.
(3) There is no action, proceeding or investigation pending or threatened, and
no basis therefor is known to either party, that could affect the validity or
prospective validity of this Contract.
(4) Insofar as its capacity to carry out any obligation under this Contract is
concerned, neither party is in violation of any charter, articles of
incorporation, bylaws, mortgage, indenture, indebtedness, agreement, instrument,
judgment, decree, order, statute, rule or regulation and none of the foregoing
adversely affects its capacity to fulfill any of its obligations under this
Contract. Its execution of, and performance pursuant to, this Contract will not
result in a violation of any of the foregoing.
B. Seller/Servicer's Representations, Warranties and Covenants.
In addition to the representations, warranties and covenants made
by the Seller/Servicer pursuant to subparagraph (a) of this
paragraph 3, the Seller/Servicer makes the representations,
warranties and covenants set forth in the Guides and, upon
request, agrees to deliver to Residential Funding the certified
Resolution of Board of Directors which authorizes the execution
and delivery of this Contract.
4. REMEDIES OF RESIDENTIAL FUNDING.
If an Event of Seller Default or an Event of Servicer Default shall
occur, Residential Funding may, at its option, exercise one or more of those
remedies set forth in the Guides.
5. SELLER/SERVICER'S STATUS AS INDEPENDENT CONTRACTOR.
At no time shall the Seller/Servicer represent that it is acting as an
agent of Residential Funding. The Seller/Servicer shall, at all times, act as an
independent contractor.
6. PRIOR AGREEMENTS SUPERSEDED.
This Contract restates, amends and supersedes any and all prior Seller
Contracts or Servicer Contracts between the parties except that any subservicing
agreement executed by the Seller/Servicer in connection with any loan-security
exchange transaction shall not be affected.
7. ASSIGNMENT.
This Contract may not be assigned or transferred, in whole or in part,
by the Seller/Servicer without the prior written consent of Residential Funding.
Residential Funding may sell, assign, convey, hypothecate, pledge or in any
other way transfer, in whole or in part, without restriction, its rights under
this Contract and the Guides with respect to any Commitment or Loan.
E-2
8. NOTICES.
All notices, requests, demands or other communications that are to be
given under this Contract shall be in writing, addressed to the appropriate
parties and sent by telefacsimile or by overnight courier or by United States
mail, postage prepaid, to the addresses and telefacsimile numbers specified
below. However, another name, address and/or telefacsimile number may be
substituted by the Seller/Servicer pursuant to the requirements of this
paragraph 8, or Residential Funding pursuant to an amendment to the Guides.
If to Residential Funding, notices must be sent to the appropriate address or
telefacsimile number specified in the Guides.
If to the Seller/Servicer, notice must be sent to:
Attention:
Telefacsimile Number: (_____) _____-_________
9. JURISDICTION AND VENUE.
Each of the parties irrevocably submits to the jurisdiction of any state
or federal court located in Hennepin County, Minnesota, over any action, suit or
proceeding to enforce or defend any right under this Contract or otherwise
arising from any loan sale or servicing relationship existing in connection with
this Contract, and each of the parties irrevocably agrees that all claims in
respect of any such action or proceeding may be heard or determined in such
state or federal court. Each of the parties irrevocably waives the defense of an
inconvenient forum to the maintenance of any such action or proceeding and any
other substantive or procedural rights or remedies it may have with respect to
the maintenance of any such action or proceeding in any such forum. Each of the
parties agrees that a final judgment in any such action or proceeding shall be
conclusive and may be enforced in any other jurisdiction by suit on the judgment
or in any other manner provided by law. Each of the parties further agrees not
to institute any legal actions or proceedings against the other party or any
director, officer, employee, attorney, agent or property of the other party,
arising out of or relating to this Contract in any court other than as
hereinabove specified in this paragraph 9.
10. MISCELLANEOUS.
This Contract, including all documents incorporated by reference herein,
constitutes the entire understanding between the parties hereto and supersedes
all other agreements, covenants, representations, warranties, understandings and
communications between the parties, whether written or oral, with respect to the
transactions contemplated by this Contract. All paragraph headings contained
herein are for convenience only and shall not be construed as part of this
Contract. Any provision of this Contract that is prohibited or unenforceable in
any jurisdiction shall, as to such jurisdiction, be ineffective to the extent of
such prohibition or unenforceability without invalidating the remaining portions
hereof or affecting the validity or enforceability of such provision in any
other jurisdiction, and, to this end, the provisions hereof are severable. This
Contract shall be governed by, and construed and enforced in accordance with,
applicable federal laws and the laws of the State of Minnesota.
E-3
IN WITNESS WHEREOF, the duly authorized officers of the Seller/Servicer
and Residential Funding have executed this Seller/Servicer Contract as of the
date first above written.
ATTEST: SELLER/SERVICER
[Corporate Seal]
(Name of Seller/Servicer)
By: By:
--------------------------------
(Signature) (Signature) By: By:
(Typed Name) (Typed Name)
Title: Title:
-----------------------------
-------------------------------------------------------------------------------
ATTEST: RESIDENTIAL FUNDING CORPORATION
[Corporate Seal]
By: By:
--------------------------------
(Signature) (Signature) By: By:
(Typed Name) (Typed Name)
Title: Title:
-----------------------------
E-4
EXHIBIT F
FORMS OF REQUEST FOR RELEASE
DATE:
TO:
RE: REQUEST FOR RELEASE OF DOCUMENTS
In connection with the administration of the pool of Mortgage Loans held by you
for the referenced pool, we request the release of the Mortgage Loan File
described below.
Series Supplement, to the Standard Terms of Pooling and Servicing Agreement,
Dated:
Series#:
Account#:
Pool#:
Loan#:
Borrower Name(s):
Reason for Document Request: (circle one)
Mortgage Loan Prepaid in Full Mortgage Loan Repurchased
"We hereby certify that all amounts received or to be received in connection
with such payments which are required to be deposited have been or will be so
deposited as provided in the Pooling and Servicing Agreement."
Residential Funding Corporation
Authorized Signature
******************************************************************************
TO CUSTODIAN/TRUSTEE: Please acknowledge this request, and check off documents
being enclosed with a copy of this form. You should retain this form for your
files in accordance with the terms of the Pooling and Servicing Agreement.
Enclosed Documents: [ ] Promissory Note
[ ] Primary Insurance Policy
[ ] Mortgage or Deed of Trust
[ ] Assignment(s) of Mortgage or Deed of Trust
[ ] Title Insurance Policy
[ ] Other:
Name:______________________
Title:
Date:
F-1
G-2-14
EXHIBIT G-1
FORM OF TRANSFER AFFIDAVIT AND AGREEMENT
STATE OF )
) ss.:
COUNTY OF )
[NAME OF OFFICER], being first duly sworn, deposes and says:
1. That he is [Title of Officer] of [Name of Owner] (record or
beneficial owner of the Mortgage Pass-Through Certificates, Series _______,
Class R[-__] (the "Owner")), a [savings institution] [corporation] duly
organized and existing under the laws of [the State of ] [the United States], on
behalf of which he makes this affidavit and agreement.
2. That the Owner (i) is not and will not be a "disqualified
organization" or an electing large partnership as of [date of transfer] within
the meaning of Sections 860E(e)(5) and 775, respectively, of the Internal
Revenue Code of 1986, as amended (the "Code") or an electing large partnership
under Section 775(a) of the Code, (ii) will endeavor to remain other than a
disqualified organization for so long as it retains its ownership interest in
the Class R[-__] Certificates, and (iii) is acquiring the Class R[-__]
Certificates for its own account or for the account of another Owner from which
it has received an affidavit and agreement in substantially the same form as
this affidavit and agreement. (For this purpose, a "disqualified organization"
means an electing large partnership under Section 775 of the Code, the United
States, any state or political subdivision thereof, any agency or
instrumentality of any of the foregoing (other than an instrumentality all of
the activities of which are subject to tax and, except for the Federal Home Loan
Mortgage Corporation, a majority of whose board of directors is not selected by
any such governmental entity) or any foreign government, international
organization or any agency or instrumentality of such foreign government or
organization, any rural electric or telephone cooperative, or any organization
(other than certain farmers' cooperatives) that is generally exempt from federal
income tax unless such organization is subject to the tax on unrelated business
taxable income).
3. That the Owner is aware (i) of the tax that would be imposed on
transfers of Class R[-__] Certificates to disqualified organizations or electing
large partnerships, under the Code, that applies to all transfers of Class
R[-__] Certificates after March 31, 1988; (ii) that such tax would be on the
transferor (or, with respect to transfers to electing large partnerships, on
each such partnership), or, if such transfer is through an agent (which person
includes a broker, nominee or middleman) for a disqualified organization, on the
agent; (iii) that the person (other than with respect to transfers to electing
large partnerships) otherwise liable for the tax shall be relieved of liability
for the tax if the transferee furnishes to such person an affidavit that the
transferee is not a disqualified organization and, at the time of transfer, such
person does not have actual knowledge that the affidavit is false; and (iv) that
the Class R[-__] Certificates may be "noneconomic residual interests" within the
meaning of Treasury regulations promulgated pursuant to the Code and that the
transferor of a noneconomic residual interest will remain liable for any taxes
due with respect to the income on such residual interest, unless no significant
purpose of the transfer was to impede the assessment or collection of tax.
4. That the Owner is aware of the tax imposed on a "pass-through entity"
holding Class R[-__] Certificates if either the pass-through entity is an
electing large partnership under Section 775 of the Code or if at any time
during the taxable year of the pass-through entity a disqualified organization
is the record holder of an interest in such entity. (For this purpose, a "pass
through entity" includes a regulated investment company, a real estate
investment trust or common trust fund, a partnership, trust or estate, and
certain cooperatives.)
5. The Owner is either (i) a citizen or resident of the United States,
(ii) a corporation, partnership or other entity treated as a corporation or a
partnership for U.S. federal income tax purposes and created or organized in or
under the laws of the United States, any state thereof or the District of
Columbia (other than a partnership that is not treated as a United States person
under any applicable Treasury regulations), (iii) an estate that is described in
Section 7701(a)(30)(D) of the Code, or (iv) a trust that is described in Section
7701(a)(30)(E) of the Code.
6. The Owner hereby agrees that it will not cause income from the Class
R[-__] Certificates to be attributable to a foreign permanent establishment or
fixed base (within the meaning of an applicable income tax treaty) of the Owner
of another United States taxpayer.
7. That the Owner is aware that the Trustee will not register the
transfer of any Class R[- __] Certificates unless the transferee, or the
transferee's agent, delivers to it an affidavit and agreement, among other
things, in substantially the same form as this affidavit and agreement. The
Owner expressly agrees that it will not consummate any such transfer if it knows
or believes that any of the representations contained in such affidavit and
agreement are false.
8. That the Owner has reviewed the restrictions set forth on the face of
the Class R[-__] Certificates and the provisions of Section 5.02(f) of the
Pooling and Servicing Agreement under which the Class R[-__] Certificates were
issued (in particular, clause (iii)(A) and (iii)(B) of Section 5.02(f) which
authorize the Trustee to deliver payments to a person other than the Owner and
negotiate a mandatory sale by the Trustee in the event the Owner holds such
Certificates in violation of Section 5.02(f)). The Owner expressly agrees to be
bound by and to comply with such restrictions and provisions.
9. That the Owner consents to any additional restrictions or
arrangements that shall be deemed necessary upon advice of counsel to constitute
a reasonable arrangement to ensure that the Class R[-__] Certificates will only
be owned, directly or indirectly, by an Owner that is not a disqualified
organization.
10. The Owner's Taxpayer Identification Number is ________________.
11. This affidavit and agreement relates only to the Class R[-__]
Certificates held by the Owner and not to any other holder of the Class R[-__]
Certificates. The Owner understands that the liabilities described herein relate
only to the Class R[-__] Certificates.
12. That no purpose of the Owner relating to the transfer of any of the
Class R[-__] Certificates by the Owner is or will be to impede the assessment or
collection of any tax; in making this representation, the Owner warrants that
the Owner is familiar with (i) Treasury Regulation Section 1.860E-1(c) and
recent amendments thereto, effective as of July 19, 2002, and (ii) the preamble
describing the adoption of the amendments to such regulation, which is attached
hereto as Exhibit 1.
G-1-2
13. That the Owner has no present knowledge or expectation that it will
be unable to pay any United States taxes owed by it so long as any of the
Certificates remain outstanding. In this regard, the Owner hereby represents to
and for the benefit of the person from whom it acquired the Class R[-__]
Certificate that the Owner intends to pay taxes associated with holding such
Class R[- __] Certificate as they become due, fully understanding that it may
incur tax liabilities in excess of any cash flows generated by the Class R[-__]
Certificate.
14. That the Owner has no present knowledge or expectation that it will
become insolvent or subject to a bankruptcy proceeding for so long as any of the
Class R[-__] Certificates remain outstanding.
15. (a) The Purchaser is not an employee benefit plan or other plan
subject to the prohibited transaction provisions of the Employee Retirement
Income Security Act of 1974, as amended ("ERISA"), or Section 4975 of the
Internal Revenue Code of 1986, as amended (the "Code"), or an investment
manager, named fiduciary or a trustee of any such plan, or any other Person
acting, directly or indirectly, on behalf of or purchasing any Certificate with
"plan assets" of any such plan; or
(b) The Purchaser has provided the Trustee, the Company and the
Master Servicer with an opinion of counsel acceptable to and in form and
substance satisfactory to the Trustee, the Company and the Master Servicer to
the effect that the purchase and holding of Certificates are permissible under
applicable law, will not constitute or result in any non-exempt prohibited
transaction under ERISA or Section 4975 of the Code and will not subject the
Trustee, the Company or the Master Servicer to any obligation or liability
(including obligations or liabilities under ERISA or Section 4975 of the Code)
in addition to those undertaken in the Pooling and Servicing Agreement.
In addition, the Purchaser hereby certifies, represents and warrants to,
and covenants with, the Company, the Trustee and the Master Servicer that the
Purchaser will not transfer such Certificates to any Plan or person unless
either such Plan or person meets the requirements set forth in either (a) or (b)
above.
Capitalized terms used but not defined herein shall have the meanings
assigned in the Pooling and Servicing Agreement.
G-1-3
IN WITNESS WHEREOF, the Owner has caused this instrument to be executed
on its behalf, pursuant to the authority of its Board of Directors, by its
[Title of Officer] and its corporate seal to be hereunto attached, attested by
its [Assistant] Secretary, this day of _____,___ 200__.
[NAME OF OWNER]
By:
----------------------------------------
[Name of Officer]
[Title of Officer]
[Corporate Seal]
ATTEST:
________________________________
[Assistant] Secretary
Personally appeared before me the above-named [Name of Officer], known
or proved to me to be the same person who executed the foregoing instrument and
to be the [Title of Officer] of the Owner, and acknowledged to me that he
executed the same as his free act and deed and the free act and deed of the
Owner.
Subscribed and sworn before me this ___ day of ________, 200 __.
NOTARY PUBLIC
COUNTY OF
---------------------------------
STATE OF
----------------------------------
My Commission expires the ____ day of
_____, 20__ .
G-1-4
EXHIBIT 1
DEPARTMENT OF THE TREASURY
Internal Revenue Service
26 CFR Parts 1 and 602
[TD 9004]
RIN 1545-AW98
Real Estate Mortgage Investment Conduits
AGENCY: Internal Revenue Service (IRS), Treasury.
ACTION: Final regulations.
-----------------------------------------------------------------------
SUMMARY: This document contains final regulations relating to safe
harbor transfers of noneconomic residual interests in real estate
mortgage investment conduits (REMICs). The final regulations provide
additional limitations on the circumstances under which transferors may
claim safe harbor treatment.
DATES: Effective Date: These regulations are effective July 19, 2002.
Applicability Date: For dates of applicability, see Sec. 1.860E-
(1)(c)(10).
FOR FURTHER INFORMATION CONTACT: Xxxxxxxx Xxxxxxxxxx at (000) 000-0000
(not a toll-free number).
SUPPLEMENTARY INFORMATION:
Paperwork Reduction Act
The collection of information in this final rule has been reviewed
and, pending receipt and evaluation of public comments, approved by the
Office of Management and Budget (OMB) under 44 U.S.C. 3507 and assigned
G-1-5
control number 1545-1675.
The collection of information in this regulation is in Sec. 1.860E -
1(c)(5)(ii). This information is required to enable the IRS to verify
that a taxpayer is complying with the conditions of this regulation.
The collection of information is mandatory and is required. Otherwise,
the taxpayer will not receive the benefit of safe harbor treatment as
provided in the regulation. The likely respondents are businesses and
other for-profit institutions.
Comments on the collection of information should be sent to the
Office of Management and Budget, Attn: Desk Officer for the Department
of the Treasury, Office of Information and Regulatory Affairs,
Washington, DC, 20503, with copies to the Internal Revenue Service,
Attn: IRS Reports Clearance Officer, W:CAR:MP:FP:S, Washington, DC
20224. Comments on the collection of information should be received by
September 17, 2002. Comments are specifically requested concerning:
Whether the collection of information is necessary for the proper
performance of the functions of the Internal Revenue Service, including
whether the information will have practical utility;
The accuracy of the estimated burden associated with the collection
of information (see below);
How the quality, utility, and clarity of the information to be
collected may be enhanced;
How the burden of complying with the collection of information may
be minimized, including through the application of automated collection
techniques or other forms of information technology; and
Estimates of capital or start-up costs and costs of operation,
G-1-6
maintenance, and purchase of service to provide information.
An agency may not conduct or sponsor, and a person is not required
to respond to, a collection of information unless it displays a valid
control number assigned by the Office of Management and Budget.
The estimated total annual reporting burden is 470 hours, based on
an estimated number of respondents of 470 and an estimated average
annual burden hours per respondent of one hour.
Books or records relating to a collection of information must be
retained as long as their contents may become material in the
administration of any internal revenue law. Generally, tax returns and
tax return information are confidential, as required by 26 U.S.C. 6103.
Background
This document contains final regulations regarding the proposed
amendments to 26 CFR part 1 under section 860E of the Internal Revenue
Code (Code). The regulations provide the circumstances under which a
transferor of a noneconomic REMIC residual interest meeting the
investigation and representation requirements may avail itself of the
safe harbor by satisfying either the formula test or the asset test.
Final regulations governing REMICs, issued in 1992, contain rules
governing the transfer of noneconomic REMIC residual interests. In
general, a transfer of a noneconomic residual interest is disregarded
for all tax purposes if a significant purpose of the transfer is to
[[Page 47452]]
enable the transferor to impede the assessment or collection of tax. A
purpose to impede the assessment or collection of tax (a wrongful
purpose) exists if the transferor, at the time of the transfer, either
G-1-7
knew or should have known that the transferee would be unwilling or
unable to pay taxes due on its share of the REMIC's taxable income.
Under a safe harbor, the transferor of a REMIC noneconomic residual
interest is presumed not to have a wrongful purpose if two requirements
are satisfied: (1) the transferor conducts a reasonable investigation
of the transferee's financial condition (the investigation
requirement); and (2) the transferor secures a representation from the
transferee to the effect that the transferee understands the tax
obligations associated with holding a residual interest and intends to
pay those taxes (the representation requirement).
The IRS and Treasury have been concerned that some transferors of
noneconomic residual interests claim they satisfy the safe harbor even
in situations where the economics of the transfer clearly indicate the
transferee is unwilling or unable to pay the tax associated with
holding the interest. For this reason, on February 7, 2000, the IRS
published in the Federal Register (65 FR 5807) a notice of proposed
rulemaking (REG-100276-97; REG-122450-98) designed to clarify the safe
harbor by adding the "formula test," an economic test. The proposed
regulation provides that the safe harbor is unavailable unless the
present value of the anticipated tax liabilities associated with
holding the residual interest does not exceed the sum of: (1) The
present value of any consideration given to the transferee to acquire
the interest; (2) the present value of the expected future
distributions on the interest; and (3) the present value of the
G-1-8
anticipated tax savings associated with holding the interest as the
REMIC generates losses.
The notice of proposed rulemaking also contained rules for FASITs.
Section 1.860H-6(g) of the proposed regulations provides requirements
for transfers of FASIT ownership interests and adopts a safe harbor by
reference to the safe harbor provisions of the REMIC regulations.
In January 2001, the IRS published Rev. Proc. 2001-12 (2001-3
I.R.B. 335) to set forth an alternative safe harbor that taxpayers
could use while the IRS and the Treasury considered comments on the
proposed regulations. Under the alternative safe harbor, if a
transferor meets the investigation requirement and the representation
requirement but the transfer fails to meet the formula test, the
transferor may invoke the safe harbor if the transferee meets a two-
prong test (the asset test). A transferee generally meets the first
prong of this test if, at the time of the transfer, and in each of the
two years preceding the year of transfer, the transferee's gross assets
exceed $100 million and its net assets exceed $10 million. A transferee
generally meets the second prong of this test if it is a domestic,
taxable corporation and agrees in writing not to transfer the interest
to any person other than another domestic, taxable corporation that
also satisfies the requirements of the asset test. A transferor cannot
rely on the asset test if the transferor knows, or has reason to know,
that the transferee will not comply with its written agreement to limit
the restrictions on subsequent transfers of the residual interest.
Rev. Proc. 2001-12 provides that the asset test fails to be
satisfied in the case of a transfer or assignment of a noneconomic
residual interest to a foreign branch of an otherwise eligible
G-1-9
transferee. If such a transfer or assignment were permitted, a
corporate taxpayer might seek to claim that the provisions of an
applicable income tax treaty would resource excess inclusion income as
foreign source income, and that, as a consequence, any U.S. tax
liability attributable to the excess inclusion income could be offset
by foreign tax credits. Such a claim would impede the assessment or
collection of U.S. tax on excess inclusion income, contrary to the
congressional purpose of assuring that such income will be taxable in
all events. See, e.g., sections 860E(a)(1), (b), (e) and 860G(b) of the
Code.
The Treasury and the IRS have learned that certain taxpayers
transferring noneconomic residual interests to foreign branches have
attempted to rely on the formula test to obtain safe harbor treatment
in an effort to impede the assessment or collection of U.S. tax on
excess inclusion income. Accordingly, the final regulations provide
that if a noneconomic residual interest is transferred to a foreign
permanent establishment or fixed base of a U.S. taxpayer, the transfer
is not eligible for safe harbor treatment under either the asset test
or the formula test. The final regulations also require a transferee to
represent that it will not cause income from the noneconomic residual
interest to be attributable to a foreign permanent establishment or
fixed base.
Section 1.860E -1(c)(8) provides computational rules that a taxpayer
may use to qualify for safe harbor status under the formula test.
G-1-10
Section 1.860E-1(c)(8)(i) provides that the transferee is presumed to
pay tax at a rate equal to the highest rate of tax specified in section
11(b). Some commentators were concerned that this presumed rate of
taxation was too high because it does not take into consideration
taxpayers subject to the alternative minimum tax rate. In light of the
comments received, this provision has been amended in the final
regulations to allow certain transferees that compute their taxable
income using the alternative minimum tax rate to use the alternative
minimum tax rate applicable to corporations.
Additionally, Sec. 1.860E-1(c)(8)(iii) provides that the present
values in the formula test are to be computed using a discount rate
equal to the applicable Federal short-term rate prescribed by section
1274(d). This is a change from the proposed regulation and Rev. Proc.
2001-12. In those publications the provision stated that "present
values are computed using a discount rate equal to the applicable
Federal rate prescribed in section 1274(d) compounded semiannually"
and that "[a] lower discount rate may be used if the transferee can
demonstrate that it regularly borrows, in the course of its trade or
business, substantial funds at such lower rate from an unrelated third
party." The IRS and the Treasury Department have learned that, based
on this provision, certain taxpayers have been attempting to use
unrealistically low or zero interest rates to satisfy the formula test,
frustrating the intent of the test. Furthermore, the Treasury
Department and the IRS believe that a rule allowing for a rate other
than a rate based on an objective index would add unnecessary
G-1-11
complexity to the safe harbor. As a result, the rule in the proposed
regulations that permits a transferee to use a lower discount rate, if
the transferee can demonstrate that it regularly borrows substantial
funds at such lower rate, is not included in the final regulations; and
the Federal short-term rate has been substituted for the applicable
Federal rate. To simplify taxpayers' computations, the final
regulations allow use of any of the published short-term rates,
provided that the present values are computed with a corresponding
period of compounding. With the exception of the provisions relating to
transfers to foreign branches, these changes generally have the
proposed applicability date of February 4, 2000, but taxpayers may
choose to apply the interest rate formula set forth in the proposed
regulation and Rev. Proc. 2001-12 for transfers occurring before August
19, 2002.
It is anticipated that when final regulations are adopted with
respect to
[[Page 47453]]
FASITs, Sec. 1.860H-6(g) of the proposed regulations will be adopted in
substantially its present form, with the result that the final
regulations contained in this document will also govern transfers of
FASIT ownership interests with substantially the same applicability
date as is contained in this document.
Effect on Other Documents
Rev. Proc. 2001-12 (2001-3 I.R.B. 335) is obsolete for transfers of
noneconomic residual interests in REMICs occurring on or after August
19, 2002.
G-1-12
Special Analyses
It is hereby certified that these regulations will not have a
significant economic impact on a substantial number of small entities.
This certification is based on the fact that it is unlikely that a
substantial number of small entities will hold REMIC residual
interests. Therefore, a Regulatory Flexibility Analysis under the
Regulatory Flexibility Act (5 U.S.C. chapter 6) is not required. It has
been determined that this Treasury decision is not a significant
regulatory action as defined in Executive Order 12866. Therefore, a
regulatory assessment is not required. It also has been determined that
sections 553(b) and 553(d) of the Administrative Procedure Act (5
U.S.C. chapter 5) do not apply to these regulations.
Drafting Information
The principal author of these regulations is Xxxxxxxx Xxxxxxxxxx.
However, other personnel from the IRS and Treasury Department
participated in their development.
List of Subjects
26 CFR Part 1
Income taxes, Reporting and record keeping requirements.
26 CFR Part 602
Reporting and record keeping requirements.
Adoption of Amendments to the Regulations
Accordingly, 26 CFR parts 1 and 602 are amended as follows:
PART 1--INCOME TAXES
Paragraph 1. The authority citation for part 1 continues to read in
part as follows:
Authority: 26 U.S.C. 7805 * * *
G-1-13
EXHIBIT G-2
FORM OF TRANSFEROR CERTIFICATE
__________ , 20__
Residential Funding Mortgage Securities I, Inc.
0000 Xxxxxxxxxx Xxxx Xxxxxxxxx
Xxxxx 000
Xxxxxxxxxxx, Xxxxxxxxx 00000
[Trustee]
Attention: Residential Funding Corporation Series _______
Re: Mortgage Pass-Through Certificates,
Series ________, Class R[-__]
Ladies and Gentlemen:
This letter is delivered to you in connection with the transfer by
________________ (the "Seller") to _____________________(the "Purchaser") of
$______________ Initial Certificate Principal Balance of Mortgage Pass-Through
Certificates, Series ________, Class R[-__] (the "Certificates"), pursuant to
Section 5.02 of the Series Supplement, dated as of ________________, to the
Standard Terms of Pooling and Servicing Agreement dated as of ________________
(together, the "Pooling and Servicing Agreement") among Residential Funding
Mortgage Securities I, Inc., as seller (the "Company"), Residential Funding
Corporation, as master servicer, and __________, as trustee (the "Trustee"). All
terms used herein and not otherwise defined shall have the meanings set forth in
the Pooling and Servicing Agreement. The Seller hereby certifies, represents and
warrants to, and covenants with, the Company and the Trustee that:
1. No purpose of the Seller relating to the transfer of the Certificate
by the Seller to the Purchaser is or will be to impede the assessment or
collection of any tax.
2. The Seller understands that the Purchaser has delivered to the
Trustee and the Master Servicer a transfer affidavit and agreement in the form
attached to the Pooling and Servicing Agreement as Exhibit G-1. The Seller does
not know or believe that any representation contained therein is false.
3. The Seller has at the time of the transfer conducted a reasonable
investigation of the financial condition of the Purchaser as contemplated by
Treasury Regulations Section 1.860E- 1(c)(4)(i) and, as a result of that
investigation, the Seller has determined that the Purchaser has historically
paid its debts as they become due and has found no significant evidence to
indicate that the Purchaser will not continue to pay its debts as they become
due in the future. The Seller understands that the transfer of a Class R[-__]
Certificate may not be respected for United States income tax purposes (and the
Seller may continue to be liable for United States income taxes Associated
therewith) unless the Seller has conducted such an investigation.
4. The Seller has no actual knowledge that the proposed Transferee is
not both a United States Person and a Permitted Transferee.
Very truly yours,
(Seller)
By:
--------------------------
Name:
Title:
G-2-1
EXHIBIT H
FORM OF INVESTOR REPRESENTATION LETTER
______________ , 20___
Residential Funding Mortgage Securities I, Inc.
0000 Xxxxxxxxxx Xxxx Xxxxxxxxx
Xxxxx 000
Xxxxxxxxxxx, XX 00000
[Trustee]
Residential Funding Corporation
0000 Xxxxxxxxxx Xxxx Xxxxxxxxx
Xxxxx 000
Xxxxxxxxxxx, XX 00000
Attention: Residential Funding Corporation Series ________
RE: Mortgage Pass-Through Certificates,
Series ________, [Class B- ]
Ladies and Gentlemen:
_________________- (the "Purchaser") intends to purchase from
_________________ (the "Seller") $_____________ Initial Certificate Principal
Balance of Mortgage Pass-Through Certificates, Series ________, Class (the
"Certificates"), issued pursuant to the Series Supplement, dated as of
________________, to the Standard Terms of Pooling and Servicing Agreement dated
as of ________________ (together, the "Pooling and Servicing Agreement") among
Residential Funding Mortgage Securities I, Inc., as seller (the "Company"),
Residential Funding Corporation, as master servicer (the "Master Servicer"), and
_____________, as trustee (the "Trustee"). All terms used herein and not
otherwise defined shall have the meanings set forth in the Pooling and Servicing
Agreement. The Purchaser hereby certifies, represents and warrants to, and
covenants with, the Company, the Trustee and the Master Servicer that:
1. The Purchaser understands that (a) the Certificates have not been and
will not be registered or qualified under the Securities Act of 1933, as amended
(the "Act") or any state securities law, (b) the Company is not required to so
register or qualify the Certificates, (c) the Certificates may be resold only if
registered and qualified pursuant to the provisions of the Act or any state
securities law, or if an exemption from such registration and qualification is
available, (d) the Pooling and Servicing Agreement contains restrictions
regarding the transfer of the Certificates and (e) the Certificates will bear a
legend to the foregoing effect.
2. The Purchaser is acquiring the Certificates for its own account for
investment only and not with a view to or for sale in connection with any
distribution thereof in any manner that would violate the Act or any applicable
state securities laws.
H-1
3. The Purchaser is (a) a substantial, sophisticated institutional
investor having such knowledge and experience in financial and business matters,
and, in particular, in such matters related to securities similar to the
Certificates, such that it is capable of evaluating the merits and risks of
investment in the Certificates, (b) able to bear the economic risks of such an
investment and (c) an "accredited investor" within the meaning of Rule 501(a)
promulgated pursuant to the Act.
4. The Purchaser has been furnished with, and has had an opportunity to
review (a) [a copy of the Private Placement Memorandum, dated ___________,
20___, relating to the Certificates (b)] a copy of the Pooling and Servicing
Agreement and [b] [c] such other information concerning the Certificates, the
Mortgage Loans and the Company as has been requested by the Purchaser from the
Company or the Seller and is relevant to the Purchaser's decision to purchase
the Certificates. The Purchaser has had any questions arising from such review
answered by the Company or the Seller to the satisfaction of the Purchaser. [If
the Purchaser did not purchase the Certificates from the Seller in connection
with the initial distribution of the Certificates and was provided with a copy
of the Private Placement Memorandum (the "Memorandum") relating to the original
sale (the "Original Sale") of the Certificates by the Company, the Purchaser
acknowledges that such Memorandum was provided to it by the Seller, that the
Memorandum was prepared by the Company solely for use in connection with the
Original Sale and the Company did not participate in or facilitate in any way
the purchase of the Certificates by the Purchaser from the Seller, and the
Purchaser agrees that it will look solely to the Seller and not to the Company
with respect to any damage, liability, claim or expense arising out of,
resulting from or in connection with (a) error or omission, or alleged error or
omission, contained in the Memorandum, or (b) any information, development or
event arising after the date of the Memorandum.]
5. The Purchaser has not and will not nor has it authorized or will it
authorize any person to (a) offer, pledge, sell, dispose of or otherwise
transfer any Certificate, any interest in any Certificate or any other similar
security to any person in any manner, (b) solicit any offer to buy or to accept
a pledge, disposition of other transfer of any Certificate, any interest in any
Certificate or any other similar security from any person in any manner, (c)
otherwise approach or negotiate with respect to any Certificate, any interest in
any Certificate or any other similar security with any person in any manner, (d)
make any general solicitation by means of general advertising or in any other
manner or (e) take any other action, that (as to any of (a) through (e) above)
would constitute a distribution of any Certificate under the Act, that would
render the disposition of any Certificate a violation of Section 5 of the Act or
any state securities law, or that would require registration or qualification
pursuant thereto. The Purchaser will not sell or otherwise transfer any of the
Certificates, except in compliance with the provisions of the Pooling and
Servicing Agreement.
6. The Purchaser
(a) is not an employee benefit plan or other plan subject to the
prohibited transaction provisions of the Employee Retirement Income Security Act
of 1974, as amended ("ERISA"), or Section 4975 of the Internal Revenue Code of
1986, as amended ("Plan"), or any other person (including an investment manager,
a named fiduciary or a trustee of any Plan) acting, directly or indirectly, on
behalf of or purchasing any Certificate with "plan assets" of any Plan within
the meaning of the Department of Labor ("DOL") regulation at 29 C.F.R.
ss.2510.3-101;
H-2
(b) is an insurance company, the source of funds to be used by it to
purchase the Certificates is an "insurance company general account" (within the
meaning of DOL Prohibited Transaction Class Exemption ("PTCE") 95-60), and the
purchase is being made in reliance upon the availability of the exemptive relief
afforded under Sections I and III of PTCE 95-60; or
(c) has provided the Trustee, the Company and the Master Servicer with
an opinion of counsel acceptable to and in form and substance satisfactory to
the Trustee, the Company and the Master Servicer to the effect that the purchase
and holding of Certificates are permissible under applicable law, will not
constitute or result in any non-exempt prohibited transaction under ERISA or
Section 4975 of the Code and will not subject the Trustee, the Company or the
Master Servicer to any obligation or liability (including obligations or
liabilities under ERISA or Section 4975 of the Code) in addition to those
undertaken in the Pooling and Servicing Agreement.
In addition, the Purchaser hereby certifies, represents and warrants to,
and covenants with, the Company, the Trustee and the Master Servicer that the
Purchaser will not transfer such Certificates to any Plan or person unless such
Plan or person meets the requirements set forth in either 6(a), (b) or (c)
above.
Very truly yours,
By:
--------------------------
Name:
Title:
H-3
EXHIBIT I
FORM OF TRANSFEROR REPRESENTATION LETTER
_________, 20___
Residential Funding Mortgage Securities I, Inc.
0000 Xxxxxxxxxx Xxxx Xxxxxxxxx
Xxxxx 000
Xxxxxxxxxxx, XX 00000
[Trustee]
Attention: Residential Funding Corporation Series ________
Re: Mortgage Pass-Through Certificates,
Series ________, [Class B-]
Ladies and Gentlemen:
In connection with the sale by ____________________ (the "Seller") to
____________________ (the "Purchaser") of __________________ Initial Certificate
Principal Balance of Mortgage Pass-Through Certificates, Series ________, Class
(the "Certificates"), issued pursuant to the Series Supplement, dated as of
________________, to the Standard Terms of Pooling and Servicing Agreement dated
as of ________________ (together, the "Pooling and Servicing Agreement") among
Residential Funding Mortgage Securities I, Inc., as seller (the "Company"),
Residential Funding Corporation, as master servicer, and __________, as trustee
(the "Trustee"). The Seller hereby certifies, represents and warrants to, and
covenants with, the Company and the Trustee that:
Neither the Seller nor anyone acting on its behalf has (a) offered,
pledged, sold, disposed of or otherwise transferred any Certificate, any
interest in any Certificate or any other similar security to any person in any
manner, (b) has solicited any offer to buy or to accept a pledge, disposition or
other transfer of any Certificate, any interest in any Certificate or any other
similar security from any person in any manner, (c) has otherwise approached or
negotiated with respect to any Certificate, any interest in any Certificate or
any other similar security with any person in any manner, (d) has made any
general solicitation by means of general advertising or in any other manner, or
(e) has taken any other action, that (as to any of (a) through (e) above) would
constitute a distribution of the Certificates under the Securities Act of 1933
(the "Act"), that would render the disposition of any Certificate a violation of
Section 5 of the Act or any state securities law, or that would require
registration or qualification pursuant thereto. The Seller will not act, in any
manner set forth in the foregoing sentence with respect to any Certificate. The
Seller has not and will not sell or otherwise transfer any of the Certificates,
except in compliance with the provisions of the Pooling and Servicing Agreement.
Very truly yours,
(Seller)
By:
-------------------------
Name:
Title:
I-2
EXHIBIT J
[FORM OF RULE 144A INVESTMENT REPRESENTATION]
Description of Rule 144A Securities, including numbers:
===============================
===============================
The undersigned seller, as registered holder (the "Seller"), intends to
transfer the Rule 144A Securities described above to the undersigned buyer (the
"Buyer").
1. In connection with such transfer and in accordance with the
agreements pursuant to which the Rule 144A Securities were issued, the Seller
hereby certifies the following facts: Neither the Seller nor anyone acting on
its behalf has offered, transferred, pledged, sold or otherwise disposed of the
Rule 144A Securities, any interest in the Rule 144A Securities or any other
similar security to, or solicited any offer to buy or accept a transfer, pledge
or other disposition of the Rule 144A Securities, any interest in the Rule 144A
Securities or any other similar security from, or otherwise approached or
negotiated with respect to the Rule 144A Securities, any interest in the Rule
144A Securities or any other similar security with, any person in any manner, or
made any general solicitation by means of general advertising or in any other
manner, or taken any other action, that would constitute a distribution of the
Rule 144A Securities under the Securities Act of 1933, as amended (the "1933
Act"), or that would render the disposition of the Rule 144A Securities a
violation of Section 5 of the 1933 Act or require registration pursuant thereto,
and that the Seller has not offered the Rule 144A Securities to any person other
than the Buyer or another "qualified institutional buyer" as defined in Rule
144A under the 1933 Act.
2. The Buyer warrants and represents to, and covenants with, the Seller,
the Trustee and the Master Servicer (as defined in the Series Supplement, dated
as of ________________, to the Standard Terms of Pooling and Servicing Agreement
dated as of ________________ (the "Agreement") among Residential Funding
Corporation as Master Servicer, Residential Funding Mortgage Securities I, Inc.
as depositor pursuant to Section 5.02 of the Agreement and __________, as
trustee, as follows:
(a) The Buyer understands that the Rule 144A Securities have not
been registered under the 1933 Act or the securities laws of any state.
(b) The Buyer considers itself a substantial, sophisticated
institutional investor having such knowledge and experience in financial
and business matters that it is capable of evaluating the merits and
risks of investment in the Rule 144A Securities.
(c) The Buyer has been furnished with all information regarding
the Rule 144A Securities that it has requested from the Seller, the
Trustee or the Servicer.
J-1
(d) Neither the Buyer nor anyone acting on its behalf has
offered, transferred, pledged, sold or otherwise disposed of the Rule
144A Securities, any interest in the Rule 144A Securities or any other
similar security to, or solicited any offer to buy or accept a transfer,
pledge or other disposition of the Rule 144A Securities, any interest in
the Rule 144A Securities or any other similar security from, or
otherwise approached or negotiated with respect to the Rule 144A
Securities, any interest in the Rule 144A Securities or any other
similar security with, any person in any manner, or made any general
solicitation by means of general advertising or in any other manner, or
taken any other action, that would constitute a distribution of the Rule
144A Securities under the 1933 Act or that would render the disposition
of the Rule 144A Securities a violation of Section 5 of the 1933 Act or
require registration pursuant thereto, nor will it act, nor has it
authorized or will it authorize any person to act, in such manner with
respect to the Rule 144A Securities.
(e) The Buyer is a "qualified institutional buyer" as that term
is defined in Rule 144A under the 1933 Act and has completed either of
the forms of certification to that effect attached hereto as Annex 1 or
Annex 2. The Buyer is aware that the sale to it is being made in
reliance on Rule 144A. The Buyer is acquiring the Rule 144A Securities
for its own account or the accounts of other qualified institutional
buyers, understands that such Rule 144A Securities may be resold,
pledged or transferred only (i) to a person reasonably believed to be a
qualified institutional buyer that purchases for its own account or for
the account of a qualified institutional buyer to whom notice is given
that the resale, pledge or transfer is being made in reliance on Rule
144A, or (ii) pursuant to another exemption from registration under the
1933 Act.
[3. The Buyer
(a) is not an employee benefit or other plan subject to the
prohibited transaction provisions of the Employee Retirement Income
Security Act of 1974, as amended ("ERISA"), or Section 4975 of the
Internal Revenue Code of 1986, as amended (a "Plan"), or any other
person (including an investment manager, a named fiduciary or a trustee
of any Plan) acting, directly or indirectly, on behalf of or purchasing
any Certificate with "plan assets" of any Plan within the meaning of the
Department of Labor ("DOL") regulation at 29 C.F.R. ss.2510.3-101;
(b) is an insurance company, the source of funds to be used by it
to purchase the Certificates is an "insurance company general account"
(within the meaning of DOL Prohibited Transaction Class Exemption
("PTCE") 95-60), and the purchase is being made in reliance upon the
availability of the exemptive relief afforded under Sections I and III
of PTCE 95-60; or
(c) has provided the Trustee, the Company and the Master Servicer
with an opinion of counsel acceptable to and in form and substance
satisfactory to the Trustee, the Company and the Master Servicer to the
effect that the purchase and holding of Certificates are permissible
under applicable law, will not constitute or result in any non-exempt
prohibited transaction under ERISA or Section 4975 of the Code and will
not subject the Trustee, the Company or the Master Servicer to any
obligation or liability (including obligations or liabilities under
ERISA or Section 4975 of the Code) in addition to those undertaken in
the Pooling and Servicing Agreement. ]
J-2
4. This document may be executed in one or more counterparts and by the
different parties hereto on separate counterparts, each of which, when so
executed, shall be deemed to be an original; such counterparts, together, shall
constitute one and the same document.
IN WITNESS WHEREOF, each of the parties has executed this document as of
the date set forth below.
Print Name of Seller Print Name of Buyer
By:
----------------------------- ----------------------------------
Name: Name:
Title: Title:
Taxpayer Identification Taxpayer Identification:
No. No:
---------------------------- -------------------------------
Date: Date:
-------------------------- -----------------------------
J-3
ANNEX 1 TO EXHIBIT J
QUALIFIED INSTITUTIONAL BUYER STATUS UNDER SEC RULE 144A [For
Buyers Other Than Registered Investment Companies]
The undersigned hereby certifies as follows in connection with the Rule
144A Investment Representation to which this Certification is attached:
1. As indicated below, the undersigned is the President, Chief Financial
Officer, Senior Vice President or other executive officer of the Buyer.
2. In connection with purchases by the Buyer, the Buyer is a "qualified
institutional buyer" as that term is defined in Rule 144A under the Securities
Act of 1933 ("Rule 144A") because (i) the Buyer owned and/or invested on a
discretionary basis $ in securities (except for the excluded securities referred
to below) as of the end of the Buyer's most recent fiscal year (such amount
being calculated in accordance with Rule 144A) and (ii) the Buyer satisfies the
criteria in the category marked below.
Corporation, etc. The Buyer is a corporation (other than a bank, savings
and loan association or similar institution), Massachusetts or similar business
trust, partnership, or charitable organization described in Section 501(c)(3) of
the Internal Revenue Code.
Bank. The Buyer (a) is a national bank or banking institution organized
under the laws of any State, territory or the District of Columbia, the business
of which is substantially confined to banking and is supervised by the State or
territorial banking commission or similar official or is a foreign bank or
equivalent institution, and (b) has an audited net worth of at least $25,000,000
as demonstrated in its latest annual financial statements, a copy of which is
attached hereto.
Savings and Loan. The Buyer (a) is a savings and loan association,
building and loan association, cooperative bank, homestead association or
similar institution, which is supervised and examined by a State or Federal
authority having supervision over any such institutions or is a foreign savings
and loan association or equivalent institution and (b) has an audited net worth
of at least $25,000,000 as demonstrated in its latest annual financial
statements.
Broker-Dealer. The Buyer is a dealer registered pursuant to Section 15
of the Securities Exchange Act of 1934.
Insurance Company. The Buyer is an insurance company whose primary and
predominant business activity is the writing of insurance or the reinsuring of
risks underwritten by insurance companies and which is subject to supervision by
the insurance commissioner or a similar official or agency of a State or
territory or the District of Columbia.
State or Local Plan. The Buyer is a plan established and maintained by a
State, its political subdivisions, or any agency or instrumentality of the State
or its political subdivisions, for the benefit of its employees.
ERISA Plan. The Buyer is an employee benefit plan within the meaning of
Title I of the Employee Retirement Income Security Act of 1974.
Investment Adviser. The Buyer is an investment adviser registered under
the Investment Advisers Act of 1940.
SBIC. The Buyer is a Small Business Investment Company licensed by the
U.S. Small Business Administration under Section 301(c) or (d) of the Small
Business Investment Act of 1958.
Business Development Company. The Buyer is a business development
company as defined in Section 202(a)(22) of the Investment Advisers Act of 1940.
Trust Fund. The Buyer is a trust fund whose trustee is a bank or trust
company and whose participants are exclusively (a) plans established and
maintained by a State, its political subdivisions, or any agency or
instrumentality of the State or its political subdivisions, for the benefit of
its employees, or (b) employee benefit plans within the meaning of Title I of
the Employee Retirement Income Security Act of 1974, but is not a trust fund
that includes as participants individual retirement accounts or H.R. 10 plans.
3. The term "securities" as used herein does not include (i) securities
of issuers that are affiliated with the Buyer, (ii) securities that are part of
an unsold allotment to or subscription by the Buyer, if the Buyer is a dealer,
(iii) bank deposit notes and certificates of deposit, (iv) loan participations,
(v) repurchase agreements, (vi) securities owned but subject to a repurchase
agreement and (vii) currency, interest rate and commodity swaps.
4. For purposes of determining the aggregate amount of securities owned
and/or invested on a discretionary basis by the Buyer, the Buyer used the cost
of such securities to the Buyer and did not include any of the securities
referred to in the preceding paragraph. Further, in determining such aggregate
amount, the Buyer may have included securities owned by subsidiaries of the
Buyer, but only if such subsidiaries are consolidated with the Buyer in its
financial statements prepared in accordance with generally accepted accounting
principles and if the investments of such subsidiaries are managed under the
Buyer's direction. However, such securities were not included if the Buyer is a
majority-owned, consolidated subsidiary of another enterprise and the Buyer is
not itself a reporting company under the Securities Exchange Act of 1934.
5. The Buyer acknowledges that it is familiar with Rule 144A and
understands that the seller to it and other parties related to the Certificates
are relying and will continue to rely on the statements made herein because one
or more sales to the Buyer may be in reliance on Rule 144A.
Will the Buyer be purchasing the Rule 144A
Securities only for the Buyer's own account? _____YES _____NO
6. If the answer to the foregoing question is "no", the Buyer agrees
that, in connection with any purchase of securities sold to the Buyer for the
account of a third party (including any separate account) in reliance on Rule
144A, the Buyer will only purchase for the account of a third party that at the
time is a "qualified institutional buyer" within the meaning of Rule 144A. In
addition, the Buyer agrees that the Buyer will not purchase securities for a
third party unless the Buyer has obtained a current representation letter from
such third party or taken other appropriate steps contemplated by Rule 144A to
conclude that such third party independently meets the definition of "qualified
institutional buyer" set forth in Rule 144A.
7. The Buyer will notify each of the parties to which this certification
is made of any changes in the information and conclusions herein. Until such
notice is given, the Buyer's purchase of Rule 144A Securities will constitute a
reaffirmation of this certification as of the date of such purchase.
Print Name of Buyer
By:
--------------------------
Name:
Title:
Date:
-----------------------
ANNEX 2 TO EXHIBIT J
QUALIFIED INSTITUTIONAL BUYER STATUS UNDER SEC RULE 144A
[For Buyers That Are Registered Investment Companies]
The undersigned hereby certifies as follows in connection with the Rule
144A Investment Representation to which this Certification is attached:
1. 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 ("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, and (ii)
as marked below, the Buyer alone, or the Buyer's Family of Investment Companies,
owned at least $100,000,000 in securities (other than the excluded securities
referred to below) as of the end of the Buyer's most recent fiscal year. For
purposes of determining the amount of securities owned by the Buyer or the
Buyer's Family of Investment Companies, the cost of such securities was used.
The Buyer owned $ in securities (other than the excluded securities
referred to below) as of the end of the Buyer's most recent fiscal year (such
amount being calculated in accordance with Rule 144A).
The Buyer is part of a Family of Investment Companies which owned in the
aggregate $ in securities (other than the excluded securities referred to below)
as of the end of the Buyer's most recent fiscal year (such amount being
calculated in accordance with Rule 144A).
3. The term "Family of Investment Companies" as used herein means two or
more registered investment companies (or series thereof) that have the same
investment adviser or investment advisers that are affiliated (by virtue of
being majority owned subsidiaries of the same parent or because one investment
adviser is a majority owned subsidiary of the other).
4. The term "securities" as used herein does not include (i) securities
of issuers that are affiliated with the Buyer or are part of the Buyer's Family
of Investment Companies, (ii) bank deposit notes and certificates of deposit,
(iii) loan participations, (iv) repurchase agreements, (v) securities owned but
subject to a repurchase agreement and (vi) currency, interest rate and commodity
swaps.
5. The Buyer is familiar with Rule 144A and understands that each of the
parties to which this certification is made are relying and will continue to
rely on the statements made herein because one or more sales to the Buyer will
be in reliance on Rule 144A. In addition, the Buyer will only purchase for the
Buyer's own account.
6. The undersigned will notify each of the parties to which this
certification is made of any changes in the information and conclusions herein.
Until such notice, the Buyer's purchase of Rule 144A Securities will constitute
a reaffirmation of this certification by the undersigned as of the date of such
purchase.
Print Name of Buyer
By:
--------------------------
Name:
Title:
IF AN ADVISOR:
Print Name of Buyer
Date:
-----------------------
EXHIBIT K
[TEXT OF AMENDMENT TO POOLING AND SERVICING
AGREEMENT PURSUANT TO SECTION 11.01(E) FOR A
LIMITED GUARANTY]
ARTICLE XII
SUBORDINATE CERTIFICATE LOSS COVERAGE; LIMITED GUARANTY
Section 12.01. Subordinate Certificate Loss Coverage; Limited Guaranty.
(a) Subject to subsection (c) below, prior to the later of the third Business
Day prior to each Distribution Date or the related Determination Date, the
Master Servicer shall determine whether it or any Sub-Servicer will be entitled
to any reimbursement pursuant to Section 4.02(a) on such Distribution Date for
Advances or Sub-Servicer Advances previously made, (which will not be Advances
or Sub-Servicer Advances that were made with respect to delinquencies which were
subsequently determined to be Excess Special Hazard Losses, Excess Fraud Losses,
Excess Bankruptcy Losses or Extraordinary Losses) and, if so, the Master
Servicer shall demand payment from Residential Funding of an amount equal to the
amount of any Advances or Sub-Servicer Advances reimbursed pursuant to Section
4.02(a), to the extent such Advances or Sub-Servicer Advances have not been
included in the amount of the Realized Loss in the related Mortgage Loan, and
shall distribute the same to the Class B Certificateholders in the same manner
as if such amount were to be distributed pursuant to Section 4.02(a).
(b) Subject to subsection (c) below, prior to the later of the third
Business Day prior to each Distribution Date or the related Determination Date,
the Master Servicer shall determine whether any Realized Losses (other than
Excess Special Hazard Losses, Excess Bankruptcy Losses, Excess Fraud Losses and
Extraordinary Losses) will be allocated to the Class B Certificates on such
Distribution Date pursuant to Section 4.05, and, if so, the Master Servicer
shall demand payment from Residential Funding of the amount of such Realized
Loss and shall distribute the same to the Class B Certificateholders in the same
manner as if such amount were to be distributed pursuant to Section 4.02(a);
provided, however, that the amount of such demand in respect of any Distribution
Date shall in no event be greater than the sum of (i) the additional amount of
Accrued Certificate Interest that would have been paid for the Class B
Certificateholders on such Distribution Date had such Realized Loss or Losses
not occurred plus (ii) the amount of the reduction in the Certificate Principal
Balances of the Class B Certificates on such Distribution Date due to such
Realized Loss or Losses. Notwithstanding such payment, such Realized Losses
shall be deemed to have been borne by the Certificateholders for purposes of
Section 4.05. Excess Special Hazard Losses, Excess Fraud Losses, Excess
Bankruptcy Losses and Extraordinary Losses allocated to the Class B Certificates
will not be covered by the Subordinate Certificate Loss Obligation.
(c) Demands for payments pursuant to this Section shall be made prior to
the later of the third Business Day prior to each Distribution Date or the
related Determination Date by the Master Servicer with written notice thereof to
the Trustee. The maximum amount that Residential Funding shall be required to
pay pursuant to this Section on any Distribution Date (the "Amount Available")
shall be equal to the lesser of (X) minus the sum of (i) all previous payments
made under subsections (a) and (b) hereof and (ii) all draws under the Limited
Guaranty made in lieu of such payments as described below in subsection (d) and
(Y) the then outstanding Certificate Principal Balances of the Class B
Certificates, or such lower amount as may be established pursuant to Section
12.02. Residential Funding's obligations as described in this Section are
referred to herein as the "Subordinate Certificate Loss Obligation."
(d) The Trustee will promptly notify General Motors Acceptance
Corporation of any failure of Residential Funding to make any payments hereunder
and shall demand payment pursuant to the limited guaranty (the "Limited
Guaranty"), executed by General Motors Acceptance Corporation, of Residential
Funding's obligation to make payments pursuant to this Section, in an amount
equal to the lesser of (i) the Amount Available and (ii) such required payments,
by delivering to General Motors Acceptance Corporation a written demand for
payment by wire transfer, not later than the second Business Day prior to the
Distribution Date for such month, with a copy to the Master Servicer.
(e) All payments made by Residential Funding pursuant to this Section or
amounts paid under the Limited Guaranty shall be deposited directly in the
Certificate Account, for distribution on the Distribution Date for such month to
the Class B Certificateholders.
(f) The Company shall have the option, in its sole discretion, to
substitute for either or both of the Limited Guaranty or the Subordinate
Certificate Loss Obligation another instrument in the form of a corporate
guaranty, an irrevocable letter of credit, a surety bond, insurance policy or
similar instrument or a reserve fund; provided that (i) the Company obtains
(subject to the provisions of Section 10.01(f) as if the Company was substituted
for the Master Servicer solely for the purposes of such provision) an Opinion of
Counsel (which need not be an opinion of Independent counsel) to the effect that
obtaining such substitute corporate guaranty, irrevocable letter of credit,
surety bond, insurance policy or similar instrument or reserve fund will not
cause either (a) any federal tax to be imposed on the Trust Fund, including
without limitation, any federal tax imposed on "prohibited transactions" under
Section 860(F)(a)(1) of the Code or on "contributions after the startup date"
under Section 860(G)(d)(1) of the Code or (b) the Trust Fund to fail to qualify
as a REMIC at any time that any Certificate is outstanding, and (ii) no such
substitution shall be made unless (A) the substitute Limited Guaranty or
Subordinate Certificate Loss Obligation is for an initial amount not less than
the then current Amount Available and contains provisions that are in all
material respects equivalent to the original Limited Guaranty or Subordinate
Certificate Loss Obligation (including that no portion of the fees,
reimbursements or other obligations under any such instrument will be borne by
the Trust Fund), (B) the long term debt obligations of any obligor of any
substitute Limited Guaranty or Subordinate Certificate Loss Obligation (if not
supported by the Limited Guaranty) shall be rated at least the lesser of (a) the
rating of the long term debt obligations of General Motors Acceptance
Corporation as of the date of issuance of the Limited Guaranty and (b) the
rating of the long term debt obligations of General Motors Acceptance
Corporation at the date of such substitution and (C) the Company obtains written
confirmation from each nationally recognized credit rating agency that rated the
Class B Certificates at the request of the Company that such substitution shall
not lower the rating on the Class B Certificates below the lesser of (a) the
then-current rating assigned to the Class B Certificates by such rating agency
and (b) the original rating assigned to the Class B Certificates by such rating
agency. Any replacement of the Limited Guaranty or Subordinate Certificate Loss
Obligation pursuant to this Section shall be accompanied by a written Opinion of
Counsel to the substitute guarantor or obligor, addressed to the Master Servicer
K-2
and the Trustee, that such substitute instrument constitutes a legal, valid and
binding obligation of the substitute guarantor or obligor, enforceable in
accordance with its terms, and concerning such other matters as the Master
Servicer and the Trustee shall reasonably request. Neither the Company, the
Master Servicer nor the Trustee shall be obligated to substitute for or replace
the Limited Guaranty or Subordinate Certificate Loss Obligation under any
circumstance.
Section 12.02. Amendments Relating to the Limited Guaranty.
Notwithstanding Sections 11.01 or 12.01: (i) the provisions of this Article XII
may be amended, superseded or deleted, (ii) the Limited Guaranty or Subordinate
Certificate Loss Obligation may be amended, reduced or canceled, and (iii) any
other provision of this Agreement which is related or incidental to the matters
described in this Article XII may be amended in any manner; in each case by
written instrument executed or consented to by the Company and Residential
Funding but without the consent of any Certificateholder and without the consent
of the Master Servicer or the Trustee being required unless any such amendment
would impose any additional obligation on, or otherwise adversely affect the
interests of, the Master Servicer or the Trustee, as applicable; provided that
the Company shall also obtain a letter from each nationally recognized credit
rating agency that rated the Class B Certificates at the request of the Company
to the effect that such amendment, reduction, deletion or cancellation will not
lower the rating on the Class B Certificates below the lesser of (a) the
then-current rating assigned to the Class B Certificates by such rating agency
and (b) the original rating assigned to the Class B Certificates by such rating
agency, unless (A) the Holder of 100% of the Class B Certificates is Residential
Funding or an Affiliate of Residential Funding, or (B) such amendment,
reduction, deletion or cancellation is made in accordance with Section 11.01(e)
and, provided further that the Company obtains (subject to the provisions of
Section 10.01(f) as if the Company was substituted for the Master Servicer
solely for the purposes of such provision), in the case of a material amendment
or supersession (but not a reduction, cancellation or deletion of the Limited
Guaranty or the Subordinate Certificate Loss Obligation), an Opinion of Counsel
(which need not be an opinion of Independent counsel) to the effect that any
such amendment or supersession will not cause either (a) any federal tax to be
imposed on the Trust Fund, including without limitation, any federal tax imposed
on "prohibited transactions" under Section 860F(a)(1) of the Code or on
"contributions after the startup date" under Section 860G(d)(1) of the Code or
(b) the Trust Fund to fail to qualify as a REMIC at any time that any
Certificate is outstanding. A copy of any such instrument shall be provided to
the Trustee and the Master Servicer together with an Opinion of Counsel that
such amendment complies with this Section 12.02.
K-3
EXHIBIT L
[FORM OF LIMITED GUARANTY]
LIMITED GUARANTY
RESIDENTIAL FUNDING MORTGAGE SECURITIES I, INC.
Mortgage Pass-Through Certificates
Series ________
___________, 20____
[Trustee]
Attention: Residential Funding Corporation Series ________
Ladies and Gentlemen:
WHEREAS, Residential Funding Corporation, a Delaware corporation
("Residential Funding"), an indirect wholly-owned subsidiary of General Motors
Acceptance Corporation, a New York corporation ("GMAC"), plans to incur certain
obligations as described under Section 12.01 of the Series Supplement, dated as
of ________________, to the Standard Terms of Pooling and Servicing Agreement
dated as of ________________ (together, the "Servicing Agreement"), among
Residential Funding Mortgage Securities I, Inc. (the "Company"), Residential
Funding and __________ (the "Trustee") as amended by Amendment No. thereto,
dated as of , with respect to the Mortgage Pass-Through Certificates, Series
________ (the "Certificates"); and
WHEREAS, pursuant to Section 12.01 of the Servicing Agreement,
Residential Funding agrees to make payments to the Holders of the Class B
Certificates with respect to certain losses on the Mortgage Loans as described
in the Servicing Agreement; and
WHEREAS, GMAC desires to provide certain assurances with respect to the
ability of Residential Funding to secure sufficient funds and faithfully to
perform its Subordinate Certificate Loss Obligation;
NOW THEREFORE, in consideration of the premises herein contained and
certain other good and valuable consideration, the receipt of which is xxxxxx
acknowledged, GMAC agrees as follows:
1. Provision of Funds. (a) GMAC agrees to contribute and deposit in the
Certificate Account on behalf of Residential Funding (or otherwise provide to
Residential Funding, or to cause to be made available to Residential Funding),
either directly or through a subsidiary, in any case prior to the related
Distribution Date, such moneys as may be required by Residential Funding to
perform its Subordinate Certificate Loss Obligation when and as the same arises
from time to time upon the demand of the Trustee in accordance with Section
12.01 of the Servicing Agreement.
(b) The agreement set forth in the preceding clause (a) shall be
absolute, irrevocable and unconditional and shall not be affected by the
transfer by GMAC or any other person of all or any part of its or their interest
in Residential Funding, by any insolvency, bankruptcy, dissolution or other
proceeding affecting Residential Funding or any other person, by any defense or
right of counterclaim, set-off or recoupment that GMAC may have against
Residential Funding or any other person or by any other fact or circumstance.
Notwithstanding the foregoing, GMAC's obligations under clause (a) shall
terminate upon the earlier of (x) substitution for this Limited Guaranty
pursuant to Section 12.01(f) of the Servicing Agreement, or (y) the termination
of the Trust Fund pursuant to the Servicing Agreement.
2. Waiver. GMAC hereby waives any failure or delay on the part of
Residential Funding, the Trustee or any other person in asserting or enforcing
any rights or in making any claims or demands hereunder. Any defective or
partial exercise of any such rights shall not preclude any other or further
exercise of that or any other such right. GMAC further waives demand,
presentment, notice of default, protest, notice of acceptance and any other
notices with respect to this Limited Guaranty, including, without limitation,
those of action or nonaction on the part of Residential Funding or the Trustee.
3. Modification, Amendment and Termination. This Limited Guaranty may be
modified, amended or terminated only by the written agreement of GMAC and the
Trustee and only if such modification, amendment or termination is permitted
under Section 12.02 of the Servicing Agreement. The obligations of GMAC under
this Limited Guaranty shall continue and remain in effect so long as the
Servicing Agreement is not modified or amended in any way that might affect the
obligations of GMAC under this Limited Guaranty without the prior written
consent of GMAC.
4. Successor. Except as otherwise expressly provided herein, the
guarantee herein set forth shall be binding upon GMAC and its respective
successors.
5. Governing Law. This Limited Guaranty shall be governed by the laws of
the State of New York.
6. Authorization and Reliance. GMAC understands that a copy of this
Limited Guaranty shall be delivered to the Trustee in connection with the
execution of Amendment No. 1 to the Servicing Agreement and GMAC hereby
authorizes the Company and the Trustee to rely on the covenants and agreements
set forth herein.
7. Definitions. Capitalized terms used but not otherwise defined herein
shall have the meaning given them in the Servicing Agreement.
8. Counterparts. This Limited Guaranty may be executed in any number of
counterparts, each of which shall be deemed to be an original and such
counterparts shall constitute but one and the same instrument.
L-2
IN WITNESS WHEREOF, GMAC has caused this Limited Guaranty to be executed
and delivered by its respective officers thereunto duly authorized as of the day
and year first above written.
GENERAL MOTORS ACCEPTANCE CORPORATION
By:
----------------------------------------
Name:
Title:
Acknowledged by:
[Trustee], as Trustee
By:
--------------------------
Name:
Title:
RESIDENTIAL FUNDING MORTGAGE SECURITIES I, INC.
By:
--------------------------
Name:
Title:
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EXHIBIT M
FORM OF LENDER CERTIFICATION FOR ASSIGNMENT OF MORTGAGE LOAN
_____________, 20______
Residential Funding Mortgage Securities I, Inc.
0000 Xxxxxxxxxx Xxxx Xxxxxxxxx
Xxxxx 000
Xxxxxxxxxxx, Xxxxxxxxx 00000
[Trustee]
Attention: Residential Funding Corporation Series ________
Re: Mortgage Pass-Through Certificates, Series ________
Assignment of Mortgage Loan
Ladies and Gentlemen:
This letter is delivered to you in connection with the assignment by
___________ (the "Trustee") to _____________________ (the "Lender") of
__________________(the "Mortgage Loan") pursuant to Section 3.13(d) of the
Series Supplement, dated as of ________________, to the Standard Terms of
Pooling and Servicing Agreement dated as of ________________ (together, the
"Pooling and Servicing Agreement") among Residential Funding Mortgage Securities
I, Inc., as seller (the "Company"), Residential Funding Corporation, as master
servicer, and the Trustee. All terms used herein and not otherwise defined shall
have the meanings set forth in the Pooling and Servicing Agreement. The Lender
hereby certifies, represents and warrants to, and covenants with, the Master
Servicer and the Trustee that:
the Mortgage Loan is secured by Mortgaged Property located in a
jurisdiction in which an assignment in lieu of satisfaction is required to
preserve lien priority, minimize or avoid mortgage recording taxes or otherwise
comply with, or facilitate a refinancing under, the laws of such jurisdiction;
the substance of the assignment is, and is intended to be, a refinancing
of such Mortgage Loan and the form of the transaction is solely to comply with,
or facilitate the transaction under, such local laws;
the Mortgage Loan following the proposed assignment will be modified to
have a rate of interest at least 0.25 percent below or above the rate of
interest on such Mortgage Loan prior to such proposed assignment; and such
assignment is at the request of the borrower under the related Mortgage Loan.
Very truly yours,
(Lender)
By:
--------------------------
Name:
Title:
M-1
EXHIBIT N
FORM OF REQUEST FOR EXCHANGE
[Date]
U.S. Bank National Association
U.S. Bank Corporate Trust Services
00 Xxxxxxxxxx Xxxxxx
XX-XX-XX0X
Xx. Xxxx, XX 00000-0000
Re: Residential Funding Mortgage Securities I, Inc.
Mortgage Pass-Through Certificates, Series [________]
Residential Funding Corporation, as the Holder of a ____% Percentage
Interest of the [Class/Subclass] of Class A-V Certificates, hereby requests the
Trustee to exchange the above-referenced Certificates for the Subclasses
referred to below:
1. Class A-V Certificates, corresponding to the following
Uncertificated REMIC Regular Interests: [List numbers
corresponding to the related loans and Pool Strip Rates from the
Mortgage Loan Schedule]. The Initial Subclass Notional Amount and
the initial Pass-Through Rate on the Class A-V Certificates will
be $___________ and _____%, respectively.
[2. Repeat as appropriate.]
The Subclasses requested above will represent in the aggregate all of
the Uncertificated REMIC Regular Interests represented by the Class A-V
Certificates surrendered for exchange.
The capitalized terms used but not defined herein shall have the
meanings set forth in the Pooling and Servicing Agreement, dated as of _______,
among Residential Funding Mortgage Securities I, Inc., Residential Funding
Corporation and U.S. Bank National Association, as trustee.
RESIDENTIAL FUNDING
CORPORATION
By:
--------------------------
Name:
Title:
N-1
EXHIBIT O
FORM OF FORM 10-K CERTIFICATE
I, [identify the certifying individual], certify 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 or servicing reports
filed in respect of periods included in the year covered by that annual report,
of the trust (the "Trust") created pursuant to the Pooling and Servicing
Agreement dated __________ (the "Agreement") among Residential Funding Mortgage
Securities I, Inc. (the "Company"), Residential Funding Corporation (the "Master
Servicer") and U.S. Bank National Association (the "Trustee");
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 Master Servicer under the Agreement for inclusion
in these reports is included in these reports;
4. I am responsible for reviewing the activities performed by the Master
Servicer under the Agreement and based upon my knowledge and the annual
compliance review required under the Agreement, and except as disclosed in the
report, the Master Servicer has fulfilled its obligations under the Agreement;
and
5. The reports disclose all significant deficiencies relating to the
Master Servicer's compliance with the minimum servicing standards based upon the
report provided by an independent public accountant, after conducting a review
in compliance with the Uniform Single Attestation Program for Mortgage Bankers
as set forth in the Agreement, that is included in these reports.
In giving the certifications above, I have reasonably relied on the
information provided to me by the following unaffiliated parties: [the Trustee].
Date:____________
_________________________________*
[Signature]
Name:
Title:
* - to be signed by the senior officer in charge of the servicing functions of
the Master Servicer
O-1
EXHIBIT P
FORM OF BACK-UP CERTIFICATION TO FORM 10-K CERTIFICATE
The undersigned, a Responsible Officer of U.S. Bank National Association
(the "Trustee") certifies that:
1. The Trustee has performed all of the duties specifically required to
be performed by it pursuant to the provisions of the Pooling and Servicing
Agreement dated _________ (the "Agreement") by and among Residential Funding
Mortgage Securities I, Inc. (the "Company"), Residential Funding Corporation
(the "Master Servicer") and Trustee in accordance with the standards set forth
therein.
2. Based on my knowledge, the list of Certificateholders as shown on the
Certificate Register as of the end of each calendar year that is provided by the
Trustee pursuant to Section 4.03(f)(I) of the Agreement is accurate as of the
last day of the 20___ calendar year.
Capitalized terms used and not defined herein shall have the meanings
given such terms in the Agreement.
IN WITNESS THEREOF, I have duly executed this certificate as of
____________, 20___
Name:_________________
Title:
P-1
EXHIBIT Q
INFORMATION TO BE PROVIDED BY THE MASTER SERVICER TO THE RATING AGENCIES
RELATING TO REPORTABLE MODIFIED MORTGAGE LOANS
Account number
Transaction Identifier
Unpaid Principal Balance prior to Modification
Next Due Date
Monthly Principal and Interest Payment
Total Servicing Advances
Current Interest Rate
Original Maturity Date
Original Term to Maturity (Months)
Remaining Term to Maturity (Months)
Trial Modification Indicator
Mortgagor Equity Contribution
Total Servicer Advances
Trial Modification Term (Months)
Trial Modification Start Date
Trial Modification End Date
Trial Modification Period Principal and Interest Payment
Trial Modification Interest Rate
Trial Modification Term
Rate Reduction Indicator
Interest Rate Post Modification
Rate Reduction Start Date
Rate Reduction End Date
Rate Reduction Term
Term Modified Indicator
Modified Amortization Period
Modified Final Maturity Date
Total Advances Written Off
Unpaid Principal Balance Written Off
Other Past Due Amounts Written Off
Write Off Date
Unpaid Principal Balance Post Write Off
Capitalization Indicator
Mortgagor Contribution
Total Capitalized Amount
Modification Close Date
Unpaid Principal Balance Post Capitalization Modification
Next Payment Due Date per Modification Plan
Principal and Interest Payment Post Modification
Interest Rate Post Modification
Payment Made Post Capitalization
Delinquency Status to Modification Plan
Q-1