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Ge Capital Mortgage Services Inc – ‘8-K’ for 5/25/99 – EX-99.8

On:  Tuesday, 6/8/99   ·   For:  5/25/99   ·   Accession #:  792428-99-12   ·   File #:  33-05042

Previous ‘8-K’:  ‘8-K’ on 5/28/99 for 5/25/99   ·   Next:  ‘8-K’ on 6/9/99 for 5/27/99   ·   Latest:  ‘8-K’ on 4/4/01 for 3/26/01

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  As Of                Filer                Filing    For·On·As Docs:Size

 6/08/99  Ge Capital Mortgage Services Inc  8-K:5,7     5/25/99   21:131K

Current Report   —   Form 8-K
Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: 8-K         Current Report                                         3     18K 
 2: EX-99.1     Servicer's Certificate                                 6±    24K 
11: EX-99.10    Distribution Date Statement                            4±    22K 
12: EX-99.11    Servicer's Certificate                                 6±    23K 
13: EX-99.12    Distribution Date Statement                            5±    21K 
14: EX-99.13    Servicer's Certificate                                 6±    25K 
15: EX-99.14    Distribution Date Statement                            4±    20K 
16: EX-99.15    Servicer's Certificate                                 5±    22K 
17: EX-99.16    Distribution Date Statement                            3±    15K 
18: EX-99.17    Servicer's Certificate                                 6±    24K 
19: EX-99.18    Distribution Date Statement                            3±    19K 
20: EX-99.19    Servicer's Certificate                                 6±    25K 
 3: EX-99.2     Distribution Date Statement                            3±    18K 
21: EX-99.20    Distribution Date Statement                            4±    21K 
 4: EX-99.3     Servicer's Certificate                                 5±    23K 
 5: EX-99.4     Distribution Date Statement                            3±    15K 
 6: EX-99.5     Servicer's Certificate                                 5±    23K 
 7: EX-99.6     Distribution Date Statement                            3±    15K 
 8: EX-99.7     Servicer's Certificate                                 6±    25K 
 9: EX-99.8     Distribution Date Statement                            3±    19K 
10: EX-99.9     Servicer's Certificate                                 6±    27K 


EX-99.8   —   Distribution Date Statement



Exhibit 99.08 GE CAPITAL MORTGAGE SERVICES, INC. DISTRIBUTION DATE STATEMENT May, 1999 Series 1999-03, REMIC Multi-Class Pass-Through Certificates Pursuant to the Pooling and Servicing Agreement dated as of March 1, 1999 (the "Agreement") between GE Capital Mortgage Services, Inc. (the "Company") and State Street Bank (the "Trustee"), governing the Certificates referred to above, the Company hereby certifies to the Trustee: Weighted average coupon % 7.167719 --------------------- Weighted average maturity 353.60 --------------------- A. Amount of distribution allocable to principal and interest: The amounts below are for a Single Certificate of $1,000: 1. Principal Principal Per Prepayments Per Interest Per Class Certificate Certificate Certificate Payout Rate ----- ----------- ----------- ----------- ----------- R $ 0.00000000 $ 0.00000000 $ 0.00000000 %0.00000000 PO $ 1.08465299 $ 0.12973134 $ 0.00000000 %0.00000000 A1 $ 14.20687425 $ 13.06973545 $ 5.33115478 %6.49999997 A2 $ 0.00000000 $ 0.00000000 $ 5.41666606 %6.49999927 A3 $ 0.00000000 $ 0.00000000 $ 4.71875022 %5.66250026 A4 $ 0.00000000 $ 0.00000000 $ 6.90826609 %8.28991931 A5 $ 0.00000000 $ 0.00000000 $ 5.41666660 %6.49999992 A6 $ 0.00000000 $ 0.00000000 $ 5.41666667 %6.50000000 A7 $ 0.00000000 $ 0.00000000 $ 5.41666667 %6.50000000 A8 $ 0.00000000 $ 0.00000000 $ 5.41666500 %6.49999800 A9 $ 0.00000000 $ 0.00000000 $ 5.41666500 %6.49999800 A10 $ 0.00000000 $ 0.00000000 $ 5.62500203 %6.75000244 A11 $ 0.00000000 $ 0.00000000 $ 5.62500000 %6.75000000 A12 $ 0.00000000 $ 0.00000000 $ 5.62500000 %6.75000000 A13 $ 0.00000000 $ 0.00000000 $ 5.62500000 %6.75000000 A14 $ 0.00000000 $ 0.00000000 $ 5.62500000 %6.75000000 A15 $ 11.63106724 $ 10.70009976 $ 5.34665874 %6.50000004 A16 $ 12.91043926 $ 11.87706911 $ 5.33895805 %6.49999994 A17 $ 43.51390049 $ 40.03098523 $ 5.15475452 %6.50000018 A18 $ 0.00000000 $ 0.00000000 $ 5.41666680 %6.50000016 S $ 0.00000000 $ 0.00000000 $ 0.37177192 %0.45128877 M $ 0.82600767 $ 0.00000000 $ 5.41221748 %6.49999963 B1 $ 0.82600917 $ 0.00000000 $ 5.41221671 %6.49999872 B2 $ 0.82600987 $ 0.00000000 $ 5.41221615 %6.49999803 B3 $ 0.82600784 $ 0.00000000 $ 5.41221805 %6.50000032 B4 $ 0.82600480 $ 0.00000000 $ 5.41221756 %6.49999975 B5 $ 0.82600694 $ 0.00000000 $ 5.41221966 %6.50000225 2. Unanticipated Recoveries: $ 0.00 --------------- B. Accrual Amount 1. Accrual Amount Class N/A $ N/A 2. The amount of servicing compensation received by the Company during the month preceding the month of distribution: $ 101,909.90 ----------- C. The amounts below are for the aggregate of all Certificates: 1. The Pool Scheduled Principal Balance: $ 489,713,755.32 --------------- 2. The aggregate number of Mortgage Loans included in the Pool Scheduled Principal Balance set forth above: 1,420 --------------- 3. Beginning Aggregate Class Ending Aggregate Ending Certificate Principal Class Certificate Single Certificate Class Balance Principal Balance Balance Cusip ----- ------- ----------------- ------- ----- R $ 0.00 $ 0.00 $ 0.00 36157RG66 PO $ 706,384.07 $ 705,616.97 $ 997.72 GEC9903PO A1 $ 131,884,567.92 $ 129,980,846.77 $ 970.01 36157RE43 A2 $ 5,456,000.00 $ 5,456,000.00 $ 1,000.00 36157RE50 A3 $ 21,053,083.00 $ 21,053,083.00 $ 1,000.00 36157RE68 A4 $ 8,475,917.00 $ 8,475,917.00 $ 1,000.00 36157RE76 A5 $ 50,000,000.00 $ 50,000,000.00 $ 1,000.00 36157RE84 A6 $ 3,000,000.00 $ 3,000,000.00 $ 1,000.00 36157RE92 A7 $ 3,000,000.00 $ 3,000,000.00 $ 1,000.00 36157RF26 A8 $ 2,000,000.00 $ 2,000,000.00 $ 1,000.00 36157RF34 A9 $ 2,000,000.00 $ 2,000,000.00 $ 1,000.00 36157RF42 A10 $ 2,461,000.00 $ 2,461,000.00 $ 1,000.00 36157RF59 A11 $ 1,968,000.00 $ 1,968,000.00 $ 1,000.00 36157RF67 A12 $ 1,968,000.00 $ 1,968,000.00 $ 1,000.00 36157RF75 A13 $ 1,968,000.00 $ 1,968,000.00 $ 1,000.00 36157RF83 A14 $ 1,478,000.00 $ 1,478,000.00 $ 1,000.00 36157RF91 A15 $ 125,358,582.57 $ 123,881,437.03 $ 975.44 36157RG25 A16 $ 75,327,606.28 $ 74,340,938.87 $ 972.74 36157RG33 A17 $ 11,533,009.53 $ 11,005,664.56 $ 908.13 36157RG41 A18 $ 25,000,000.00 $ 25,000,000.00 $ 1,000.00 36157RG58 S $ 468,506,258.00 $ 463,623,624.39 $ 978.26 GEC99003S M $ 9,243,901.45 $ 9,236,259.63 $ 998.35 36157RG74 B1 $ 3,747,519.51 $ 3,744,421.49 $ 998.35 36157RG82 B2 $ 2,248,451.76 $ 2,246,592.99 $ 998.35 36157RG90 B3 $ 2,498,346.34 $ 2,496,280.99 $ 998.35 36157RM85 B4 $ 999,378.50 $ 998,552.33 $ 998.35 36157RM93 B5 $ 1,250,172.49 $ 1,249,138.99 $ 998.35 36157RN27 D. The aggregate number and aggregate Principal Balances of Mortgage Loans which, as of the close of business on the last day of the month preceding the related Determination Date, were delinquent: 1. 30-59 days Number 8 Principal Balance $ 2,568,887.58 -------- ------------- 2. 60-89 days Number 3 Principal Balance $ 814,074.58 -------- ------------- 3. 90 days or more Number 0 Principal Balance $ 0.00 -------- ------------- 4. In Foreclosure Number 0 Principal Balance $ 0.00 -------- ------------- 5. Real Estate Owned Number 0 Principal Balance $ 0.00 -------- ------------- 6. The Scheduled Principal Balance of any Mortgage Loan replaced pursuant to the Pooling And Servicing Agreement: $ 0.00 ----------- 7. The Certificate Interest Rate applicable to the Interest Accrual Period relating to such Distribution Date applicable to any floating index certificate: Certificate Interest Class Rates A3 % 5.66250026 A4 % 8.28991931 E. Other Information: 1. Special Hazard Loss Amount: $ 0.00 -------------- 2. Bankruptcy Loss Amount: $ 0.00 -------------- 3. Fraud Loss Amount: $ 0.00 -------------- 4. Certificate Interest Rate of the Class S Certificate:% 0.00000000 ------------

Dates Referenced Herein   and   Documents Incorporated by Reference

This ‘8-K’ Filing    Date    Other Filings
6/10/998-K
Filed on:6/8/99
For Period End:5/25/998-K
3/1/99
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Filing Submission 0000792428-99-000012   –   Alternative Formats (Word / Rich Text, HTML, Plain Text, et al.)

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