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Advanta Mortgage Loan Trust 1999-1 · 8-K · For 9/30/99

Filed On 11/1/99   ·   SEC File 333-52351-05   ·   Accession Number 1095226-99-6

  in   Show  and 
  As Of               Filer                 Filing     On/For/As Docs:Pgs              Issuer               Agent

11/01/99  Advanta Mortgage Loan Tru..1999-1 8-K{5,7}    9/30/99    1:13                                     Advanta Revolvin..1999 B

Current Report   ·   Form 8-K
Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: 8-K         Current Report                                        13±    61K 


Document Table of Contents

Page (sequential) | (alphabetic) Top
 
11st Page
"Item 5. Other Events
"Item 7. Financial Statements, Exhibits


SECURITIES AND EXCHANGE COMMISSION                                              
WASHINGTON, D.C.  20549                                                         

FORM 8-K                                                                        

CURRENT REPORT                                                                  

Pursuant to Section 13 or 15(d) of the Securities Exchange Act of 1934          

Date of Report:                 September 27, 1999                              

ADVANTA Mortgage Loan Trust 1999-1                                              

New York                          333-52351-05                  Pending         

c/o ADVANTA Mortgage Corp., USA                                                 
Attn:  H. John Berens                                                           
10790 Rancho Bernardo Road                                                      
San Diego, CA  92127                                                            

(858) 676-3099                                                                  

Item 5.                         Other Events                                    

Information relating to the distributions to Certificate holders                
for the August 1999 Monthly Period of the Trust in respect of                   
the Mortgage Loan Asset-Backed Certificates, Series 1999-1                      
Class A (the "Certificates") issued by the Registrant and the                   
performance of the Trust (including distributions of principal                  
and interest, delinquent balances of Home Equity Loans,                         
and the Subordinated amount remaining), together with certain other             
information relating to the certificates, is contained in the                   
Monthly Report for the Monthly Period provided to certificateholders            
pursuant to the Pooling and Servicing Agreement (the "Agreement")               
dated as of March 1, 1999 between ADVANTA Mortgage Corp.,                       
USA as Servicer, and Bankers Trust Company, as Trustee.                         

Item 7.                         Financial Statements, Exhibits                  

Exhibit No.                    Exhibit        

                       1. Monthly Report for the August 1999 Monthly
                           period relating to the Mortgage Loan Asset-
                          Backed Certificates Series 1999-1, Class A
                   issued by the ADVANTA Mortgage Loan
Trust 1999-1.   

                             EXHIBIT INDEX

Exhibit                                                                         

1.        Monthly Report for the August 1999 Monthly              
   Period relating to the Mortgage Loan Asset-Backed
    Certificates, Series 1999-1, Class A issued by the
ADVANTA Mortgage Loan Trust 1999-1.           

                         SIGNATURE

Pursuant to the requirements of the Securities Exchange Act                     
of 1934, the Registrant has duly caused this report to be signed                
on its behalf by the undersigned thereunto duly authorized.                     

ADVANTA Mortgage Loan Trust 1999-1                                              

BY:              ADVANTA Mortgage Corp., USA                                    

BY:              /s/ H. John Berens                                             
H. John Berens                                
Senior Vice President                         
Advanta Mortgage                              

October 26, 1999                                                              

                                                        · Enlarge/Download Table
                                                EXHIBIT 1                                               

                 ADVANTA Mortgage Loan Trust 1999-1                                                     

                            Statement to Certificateholders                                             

Distribution in Dollars - Current Period                                                                

                                     Prior                                                              
                    Original       Principal                                       Total        Realized
      Class        Face Value       Balance         Interest      Principal     Distribution     Losses 
                                                                                                        
A-1                  125,000,000        98,253,2           490,4     7,275,942        7,766,39          
A-2                    82,000,00        82,000,0           408,6                         408,6          
A-3                    44,000,00        44,000,0           223,6                         223,6          
A-4                    83,000,00        83,000,0           435,7                         435,7          
A-5                    26,000,00        26,000,0           145,8                         145,8          
A-6                    40,000,00        40,000,0           211,0                         211,0          
A-7                  400,000,000      365,241,95        1,877,83     7,527,830        9,405,66          
B                                                                                                       
BS                                                                                                      
R                                                                                                       

Totals               800,000,000      738,495,21        3,793,15   14,803,773.      18,596,925          
                                                                · Download Table

                                    Current               
                    Deferred       Principal              
      Class         Interest        Balance               
                                                          
A-1                                     90,977,313.40     
A-2                                     82,000,000.00     
A-3                                     44,000,000.00     
A-4                                     83,000,000.00     
A-5                                     26,000,000.00     
A-6                                     40,000,000.00     
A-7                                   357,714,126.77      
B                                                        -
BS                                                       -
R                                                        -

Totals                                723,691,440.17      
                                                        · Enlarge/Download Table
Interest Accrual Detail         Current Period Factor Information per $1,000 of Original Face                

                                                                               Orig. Principal     Prior     
                     Period         Period                                     (with Notional)   Principal   
      Class         Starting         Ending          Method          Cusip         Balance        Balance    
                                                                                                             
A-1                                                   F-30/360      00755WGF7      125,000,000.       786.026
A-2                                                   F-30/360      00755WGG5        82,000,000    1,000.0000
A-3                                                   F-30/360      00755WGH3        44,000,000    1,000.0000
A-4                                                   F-30/360      00755WGJ9        83,000,000    1,000.0000
A-5                                                   A-30/360      00755WGK6        26,000,000    1,000.0000
A-6                                                   F-30/360      00755WGL4        40,000,000    1,000.0000
A-7                      8/25/99         9/26/99     A-Act/360      00755WGM2      400,000,000.       913.104
B                                                                                                            
BS                                                                                                           
R                                                                                                            
                                                                · Download Table

                                                        Current          
                                          Total        Principal         
     Class  Interest     Principal     Distribution     Balance          
                                                                         
A-1                   3.           58.           62.1       727.818507   
A-2                   4.                          4.9    1,000.000000    
A-3                   5.                          5.0    1,000.000000    
A-4                   5.                          5.2    1,000.000000    
A-5                   5.                          5.6    1,000.000000    
A-6                   5.                          5.2    1,000.000000    
A-7                   4.           18.           23.5       894.285317   
B                                                                       -
BS                                                                      -
R                                                                       -
                                                        · Enlarge/Download Table
Distribution in Dollars - To Date                                                                          

                    Original                     Unscheduled     Scheduled       Total          Total      
      Class        Face Value      Interest       Principal      Principal     Principal     Distribution  
                                                                                                           
A-1                  125,000,000        3,390,8      30,607,529     3,415,157     34,022,686    37,413,523.
A-2                    82,000,00        2,451,7                                                   2,451,799
A-3                    44,000,00        1,342,0                                                   1,342,000
A-4                    83,000,00        2,614,5                                                   2,614,500
A-5                    26,000,00           874,                                                      874,90
A-6                    40,000,00        1,266,0                                                   1,266,000
A-7                  400,000,000       11,543,1      40,647,763     1,638,109     42,285,873    53,829,063.
B                                                                                                          
BS                                                                                                         
R                                          910,                                                      910,90

Totals               800,000,000       24,394,1      71,255,292     5,053,266     76,308,559   100,702,690.
                                                                · Download Table

                                                    Current              
                    Realized        Deferred       Principal             
      Class          Losses         Interest        Balance              
                                                                         
A-1                                                   90,977,313.41      
A-2                                                   82,000,000.00      
A-3                                                   44,000,000.00      
A-4                                                   83,000,000.00      
A-5                                                   26,000,000.00      
A-6                                                   40,000,000.00      
A-7                                                 357,714,126.77       
B                                                                       -
BS                                                                      -
R                                                                       -

Totals                                              723,691,440.18       
                                                        · Enlarge/Download Table
Interest Detail                                                                               

                  Pass      Prior Principal                    Non-       Prior    Unscheduled
                 Through    (with Notional)   Accrued        Supported    Unpaid    Interest  
      Class       Rate          Balance       Interest      Interest SF  Interest  Adjustments
                                                                                              
A-1                 5.99000%        98,253,2         490,4                                    
A-2                 5.98000%        82,000,0         408,6                                    
A-3                 6.10000%        44,000,0         223,6                                    
A-4                 6.30000%        83,000,0         435,7                                    
A-5                 6.73000%        26,000,0         145,8                                    
A-6                 6.33000%        40,000,0         211,0                                    
A-7                 5.60875%      365,241,95      1,877,83                                    
B                                                                                             
BS                                                                                            
R                                                                                             

Totals                            738,495,21      3,793,15                                    
                                                                · Download Table

                                    Paid or         Current              
                     Optimal        Deferred         Unpaid              
      Class         Interest        Interest        Interest             
                                                                         
A-1                        490,4            490,                        -
A-2                        408,6            408,                        -
A-3                        223,6            223,                        -
A-4                        435,7            435,                        -
A-5                        145,8            145,                        -
A-6                        211,0            211,                        -
A-7                      1,877,8         1,877,8                        -
B                                                                       -
BS                                                                      -
R                                                                       -

Totals                   3,793,1         3,793,1                        -
                                                                · Download Table
Collection Account Report                                                     

Summary                                Adjustable     Fixed         Total     
                                                                              
Principal Collections                      6,543,485     6,157,25  12,700,742.
Principal Withdrawals                                                         
Principal Other Accounts                                                      
TOTAL PRINCIPAL                            6,543,485     6,157,25  12,700,742.

Interest Collected                         3,016,717   3193836.52    6,210,554
Interest Withdrawals                                                         (
Interest Other Accounts                          5,4      5296.01         10,7
Fees                                         (159,95       (164,9      (324,93
TOTAL INTEREST                             2,862,183     3,034,00    5,896,183

TOTAL AVAILABLE TO CERTIFICATEHOLDERS      9,405,669     9,191,25  18,596,925.
                                                                · Download Table
Principal - Collections                                                  

                                  Adjustable     Fixed         Total     
                                                                         
Scheduled Principal                      326,90        671,5       998,43
Curtailments                                                             
Prepayments in Full                   6,216,581     5,485,72  11,702,305.
Repurchased Principal Amounts                                            
Substitution Principal Amount                                            
Liquidations                                                             
Insurance Principal                                                      
Other Principal                                                          
Total Realized Loss of Principal                                         

TOTAL PRINCIPAL COLLECTED             6,543,485     6,157,25  12,700,742.
                                                                · Download Table
Collection Account Report                               

Principal - Withdrawals         Adjustable  Fixed  Total
                                                        

SPACE INTENTIONALLY LEFT BLANK                          
                                                                · Download Table

Principal - Other Accounts                Adjustable  Fixed  Total
                                                                  

Amounts Remaining in Pre-Funding Account                          
                                                                · Download Table

Interest - Collections          Adjustable     Fixed        Total     
                                                                      
Scheduled Interest                  3,055,343     3,231,91   6,287,255
Repurchased Interest                                                  
Substitution Interest Amount                                          
Liquidation Interest                                                  
Insurance Interest                                                    
Other Interest                                                        

Delinquent Interest                   (796,74       (823,4  (1,620,154
Interest Advanced                      758,12        785,3   1,543,452
Prepayment Interest Shortfalls              (          (1,        (1,7
Compensating Interest                                   1,         1,7
Civil Relief Act Shortfalls                                           

TOTAL INTEREST  COLLECTED           3,016,717     3,193,83   6,210,554
                                                                · Download Table
Collection Account Report                                

Interest - Withdrawals           Adjustable  Fixed  Total
                                                         
Current Nonrecoverable Advances                          

TOTAL INTEREST WITHDRAWALS                               
                                                                · Download Table

Interest - Other Accounts         Adjustable     Fixed      Total     
                                                                      
Capitalized Interest Requirement                                      
Pre-Funding Account Earnings                                          
Certificate Account Earnings                5,4         5,        10,7
Capitalized Interest Account                                          
                                                                · Download Table

Interest - Fees           Adjustable     Fixed        Total     
                                                                
Current Servicing Fees           115,82        119,8      235,65
Trustee Fee Amount                  2,3           2,         4,8
Insurance Premium Amount           41,7         42,6        84,4

TOTAL FEES                       159,95        164,9      324,93
                                                                · Download Table
Credit Enhancement Report                                

Accounts                         Adjustable  Fixed  Total
                                                         

 SPACE INTENTIONALLY LEFT BLANK                          
                                                                · Download Table

Insurance               Adjustable  Fixed  Total
                                                
Total Insured Payments                          
                                                        · Enlarge/Download Table

Structural Features                                               Adjustable        Fixed           Total    
                                                                                                             
Specified Overcollateralization Amount                           25,800,000.00   14,000,000.00  39,800,000.00
Current Overcollateralization Amount                              6,425,801.25    6,845,697.12  13,271,498.37
Overcollateralization Deficiency Amount                          20,358,543.66    8,272,988.80  28,631,532.46
Overcollateralization Deficit Amount                                                                         
Overcollateralization Increase Amount                               984,344.91    1,118,685.93   2,103,030.84
Overcollateralization Reduction Amount                                                                       

Components of Change in Overcollateralization*                                                               
Excess Interest Generated by Pool                                   978,926.55    1,113,389.92   2,092,316.47
Certificate Account Interest Earnings                                 5,418.36        5,296.01      10,714.37
Additional Principal                                                                                         
TOTAL                                                                    984,34   1,118,685.93   2,103,030.84
*(NOTE: If at specified amount, components will not equal increase amount)                                   
                                                        · Enlarge/Download Table
Collateral Report                                                                     

Collateral                                Adjustable        Fixed           Total     
                                                                                      
     Loan Count:                                                                      
Original                                         3,794           5,598          9,392 
Prior                                            4,013           6,051         10,064 
Prefunding                                                                            
Scheduled Paid Offs                                                                   
Full Voluntary Prepayments                                                            
Repurchases                                                                           
Liquidations                                                                          
Current                                                                               

Principal Balance                                                                     
Original                                358,638,192.19  354,898,989.56 713,537,181.75 
Prior                                   370,683,413.91  378,980,267.34 749,663,681.25 
Prefunding                                                                            
Scheduled Principal                        (326,904.26)    (671,533.11)   (998,437.37)
Partial and Full Voluntary Prepayments       (6,216,581       (5,485,72   (11,702,305.
Repurchases                                                                           
Liquidations                                                                          
Current                                    364,139,928.    372,823,010.   736,962,938.
                                                        · Enlarge/Download Table

Prefunding                                               Adjustable       Fixed           Total    
                                                                                                   
PRE-FUNDING ACCOUNT                                                                                

Original Pre-Funded Amount                              41,361,807.81  45,101,010.44  86,462,818.25
Balance of Subsequent Mortgage Loans Added This Period                                             
Pre-Funding Account Earnings                                                                       
Withdrawal Account Earnings                                                                        
Pre-Funding Account Ending Balance                                                                 

CAPITALIZED INTEREST ACCOUNT                                                                       

Original Capitalized Interest Deposit                      431,226.00     473,750.00     904,976.00
Capitalized Interest Requirement                                                                   
Capitalized Interest Account Earnings                                                              
Capitalized Interest Account Ending Balance                                                        
                                                        · Enlarge/Download Table
Collateral Report                                                                            

Characteristics                                        Adjustable     Fixed        Total     
                                                                                             
Weighted Average Coupon Original                           9.990174%   10.330135%  10.159264%
Weighted Average Coupon Prior                              9.904780%   10.246858%  10.077273%
Weighted Average Coupon Current                            9.890953%   10.233500%  10.064122%
Weighted Average Months to Maturity Original                    351          252         302 
Weighted Average Months to Maturity Prior                       347          250         298 
Weighted Average Months to Maturity Current                     345          249         296 
Weighted Average Remaining Amortization Term Original           351          298         325 
Weighted Average Remaining Amortization Term Prior              347          291         319 
Weighted Average Remaining Amortization Term Current            346          290         317 
Weighted Average Seasoning Original                            3.99         3.76        3.87 
Weighted Average Seasoning Prior                               7.58         7.35        7.46 
Weighted Average Seasoning Current                             8.57         8.35        8.46 
Note:  Original information refers to deal issue                                             
                                                                · Download Table
Collateral Report                                                                  

Arm Characteristics                               Adjustable     Fixed        Total
                                                                                   
Weighted Average Margin Original                         6.149%                    
Weighted Average Margin Prior                            6.000%                    
Weighted Average Margin Current                          6.000%                    
Weighted Average Max Rate Original                      16.848%      10.330%       
Weighted Average Max Rate Prior                         17.000%      10.000%       
Weighted Average Max Rate Current                       17.000%      10.000%       
Weighted Average Min Rate Original                       9.093%       9.830%       
Weighted Average Min Rate Prior                          9.000%      10.000%       
Weighted Average Min Rate Current                        9.000%      10.000%       
Weighted Average Cap Up Original                         1.103%                    
Weighted Average Cap Up Prior                            1.000%                    
Weighted Average Cap Up Current                          1.000%                    
Weighted Average Cap Down Original                       1.103%                    
Weighted Average Cap Down Prior                          1.000%                    
Weighted Average Cap Down Current                        1.000%                    
Note:  Original information refers to deal issue                                   
                                                        · Enlarge/Download Table

Servicing Fees / Advances                                Adjustable     Fixed        Total     
                                                                                               
Current Servicing Fees                                          115,82        119,8      235,65
Delinquent Servicing Fees                                         38,6         38,0        76,7
TOTAL SERVICING FEES                                            154,45        157,9      312,35

Total Servicing Fees                                            154,45        157,9      312,35
Compensating Interest                                                (          (1,        (1,7
Delinquent Servicing Fees                                        (38,6        (38,0       (76,7
COLLECTED SERVING FEES                                          115,51        118,3      233,86

Prepayment Interest Shortfall                                                    1,         1,7

Total Advanced Interest                                         758,12        785,3   1,543,452

Current Nonrecoverable Advances                                              154.67      154.67

Unreimbursed Delq / Servicing Advances Paid to Servicer                                        
                                                                · Download Table

Additional Collateral Information  Adjustable  Fixed  Total
                                                           

SPACE INTENTIONALLY LEFT BLANK                             
                                                        · Enlarge/Download Table
Delinquency Report - Total                                                                                  

                                    Current        1 Payment      2 Payments     3+ Payments      Total     
                                                                                                            
DELINQUENT       Balance                              20,089,921      5,713,219        1,142,52  26,945,661.
                 % Balance                                 2.73%          0.78%           0.16%        3.67%
                 # Loans                                                                                    
                 % # Loans                                 3.08%          0.97%           0.29%        4.34%
FORECLOSURE      Balance                    325,           209,7      1,229,815      16,675,176  18,439,986.
                 % Balance                 0.04%           0.03%          0.17%           2.26%        2.50%
                 # Loans                                                                                    
                 % # Loans                 0.04%           0.03%          0.16%           2.29%        2.52%
BANKRUPTCY       Balance                 2,428,4           262,3         493,23        3,296,55    6,480,527
                 % Balance                 0.33%           0.04%          0.07%           0.45%        0.89%
                 # Loans                                                                                    
                 % # Loans                 0.31%           0.03%          0.07%           0.48%        0.89%
REO              Balance                                                                  453,2       453,23
                 % Balance                 0.00%           0.00%          0.00%           0.06%        0.06%
                 # Loans                                                                                    
                 % # Loans                 0.00%           0.00%          0.00%           0.09%        0.09%
TOTAL            Balance                 2,753,6      20,562,018      7,436,271      21,567,485  52,319,412.
                 % Balance                 0.37%           2.80%          1.02%           2.93%        7.12%
                 # Loans                                                                                    
                 % # Loans                 0.35%           3.14%          1.20%           3.15%        7.84%
Note: Current=0-29 days, 1 payment=30-59 days, 2 payments=60-89 days, 3+payments=90+                        
                                                        · Enlarge/Download Table
Delinquency Report - Fixed Group                                                                            

                                    Current        1 Payment      2 Payments     3+ Payments      Total     
                                                                                                            
DELINQUENT       Balance                                9,109,77      2,608,814           523,6  12,242,222.
                 % Balance                                 2.44%          0.70%           0.14%        3.28%
                 # Loans                                                                                    
                 % # Loans                                 2.79%          0.89%           0.34%        4.02%
FORECLOSURE      Balance                    144,                         491,57        5,281,99    5,918,135
                 % Balance                 0.04%           0.00%          0.13%           1.42%        1.59%
                 # Loans                                                                                    
                 % # Loans                 0.03%           0.00%          0.13%           1.53%        1.69%
BANKRUPTCY       Balance                 1,672,7           134,6         237,76        1,583,20    3,628,360
                 % Balance                 0.45%           0.04%          0.06%           0.42%        0.97%
                 # Loans                                                                                    
                 % # Loans                 0.37%           0.03%          0.07%           0.42%        0.89%
REO              Balance                                                -                 249,1       249,17
                 % Balance                 0.00%           0.00%          0.00%           0.07%        0.07%
                 # Loans                                                  -                                 
                 % # Loans                 0.00%           0.00%          0.00%           0.08%        0.08%
TOTAL            Balance                 1,817,2        9,244,44      3,338,161        7,638,00  22,037,896.
                 % Balance                 0.49%           2.48%          0.89%           2.05%        5.91%
                 # Loans                                                                                    
                 % # Loans                 0.40%           2.82%          1.09%           2.37%        6.68%
Note: Current=0-29 days, 1 payment=30-59 days, 2 payments=60-89 days, 3+payments=90+                        
                                                        · Enlarge/Download Table
Delinquency Report - Adjustable Group                                                                       

                                    Current        1 Payment      2 Payments     3+ Payments      Total     
                                                                                                            
DELINQUENT       Balance                              10,980,145      3,104,404           618,8  14,703,438.
                 % Balance                                 3.02%          0.85%           0.17%        4.04%
                 # Loans                                                                                    
                 % # Loans                                 3.52%          1.09%           0.23%        4.84%
FORECLOSURE      Balance                    180,           209,7         738,23      11,393,180  12,521,851.
                 % Balance                 0.05%           0.06%          0.20%           3.13%        3.44%
                 # Loans                                                                                    
                 % # Loans                 0.05%           0.08%          0.20%           3.44%        3.77%
BANKRUPTCY       Balance                    755,           127,6         255,46        1,713,34    2,852,167
                 % Balance                 0.21%           0.04%          0.07%           0.47%        0.79%
                 # Loans                                                                                    
                 % # Loans                 0.23%           0.03%          0.08%           0.58%        0.92%
REO              Balance                                                                  204,0       204,05
                 % Balance                 0.00%           0.00%          0.00%           0.06%        0.06%
                 # Loans                                                                                    
                 % # Loans                 0.00%           0.00%          0.00%           0.10%        0.10%
TOTAL            Balance                    936,      11,317,578      4,098,110      13,929,477  30,281,515.
                 % Balance                 0.26%           3.12%          1.12%           3.83%        8.33%
                 # Loans                                                                                    
                 % # Loans                 0.28%           3.63%          1.37%           4.35%        9.63%
Note: Current=0-29 days, 1 payment=30-59 days, 2 payments=60-89 days, 3+payments=90+                        
                                                                · Download Table
Prepayment Report - Voluntary Prepayments                                         

Voluntary Prepayments                      Adjustable     Fixed         Total     
                                                                                  
Current                                                                           
Number of Paid in Full Loans                          63           95          158
Number of Repurchased Loans                                                       
Total Number of Loans Prepaid in Full                 63           95          158

Paid in Full Balance                           6,216,581     5,485,72  11,702,305.
Repurchase Loans Balance                                                          
Curtailments Amount                                                               
Total Prepayment Amount                        6,216,581     5,485,72  11,702,305.

Cumulative                                                                        
Number of Paid in Full Loans                         331          424          755
Number of Repurchased Loans                            1            2            3
Total Number of Loans Prepaid in Full                332          426          758

Paid in Full Balance                         34,164,000.   23,697,169  57,861,170.
Repurchase Loans Balance                             5,5         61,7         67,3
Curtailments Amount                                (24,2          (7,        (31,4
Total Prepayment Amount                      34,145,373.   23,751,707  57,897,080.

SPACE INTENTIONALLY LEFT BLANK                                                    
                                                                · Download Table
Prepayment Report - Voluntary Prepayments                                        

Voluntary Prepayment Rates                 Adjustable     Fixed        Total     
                                                                                 
SMM                                                1.68%        1.45%       1.56%
3 Months Average SMM                               1.89%        1.35%       1.62%
12 Months Average SMM                                                            
Average SMM Since Cut-Off                          1.49%        1.03%       1.26%

CPR                                               18.38%       16.08%      17.23%
3 Months Average CPR                              20.48%       15.08%      17.81%
12 Months Average CPR                                                            
Average CPR Since Cut-Off                         16.53%       11.69%      14.13%

PSA                                             1072.53%      962.75%    1018.22%
3 Months Average PSA Approximation              1350.57%     1026.07%    1192.53%
12 Months Average PSA Approximation                                              
Average PSA Since Cut-Off Approximation         1341.21%      986.40%    1169.20%
                                                        · Enlarge/Download Table
Realized Loss Report - Collateral                                                                        

Collateral Realized Losses                                        Adjustable        Fixed      Total     
                                                                                                         
Current                                                                                                  
Number of Loan Liquidated                                                                                
Collateral Realized Loss / (Gain) Amount                                                                 
Net Liquidation Proceeds                                                                                 

Cumulative                                                                                               
Number of Loans Liquidated                                                                               
Collateral Realized Loss / (Gain) Amount                                                                 
Net Liquidation Proceeds                                                   58,4                      58,4

Note: Collateral realized losses may include adjustments to loans liquidated in prior periods.           

SPACE INTENTIONALLY LEFT BLANK                                                                           
                                                        · Enlarge/Download Table
Realized Loss Report - Collateral                                                        

Default Speeds                                     Adjustable     Fixed        Total     
                                                                                         
MDR                                                        0.00%        0.00%       0.00%
3 Months Average MDR                                       0.01%        0.00%       0.00%
12 Months Average MDR                                                                    
Average MDR Since Cut-Off                                  0.00%        0.00%       0.00%

CDR                                                        0.00%        0.00%       0.00%
3 Months Average CDR                                       0.06%        0.00%       0.03%
12 Months Average CDR                                                                    
Average CDR Since Cut-Off                                  0.03%        0.00%       0.02%

SDA                                                        0.00%        0.00%       0.00%
3 Months Average SDA Approximation                         0.40%        0.00%       0.20%
12 Months Average SDA Approximation                                                      
Average SDA Since Cut-Off Approximation                    0.25%        0.00%       0.12%

Loss Severity Approximation for Current Period                                           
3 Months Average Loss Severity Approximation               0.00%        0.00%       0.00%
12 Months Average Loss Severity Approximation                                            
Average Loss Severity Approximation Since Cut-Off          0.00%        0.00%       0.00%
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Triggers, Adj. Rate Cert. And Miscellaneous Report                              

Trigger Events                                      Adjustable  Fixed  Total    
                                                                                
Has Servicer Termination Loss Trigger Occurred?                               No
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Adjustable Rate Certificate Information                   Adjustable  Fixed  Total     
                                                                                       
Next Pass-Through Rates for Adjustable Rate Certificates                               
Class A-5                                                                     6.730000%
Class A-7                                                                     5.652500%
                                                        · Enlarge/Download Table

Additional Information                                          Adjustable  Fixed  Total
                                                                                        
CLASS A-7 SUPPLEMENTAL INTEREST ACCOUNT                                                 

Class A-7 Supplemental Interest Amount                                                  
Class A-7 Supplemental Interest Shortfall Carry-Forward Amount                          
Class A-7 Supplemental Interest Shortfall Amount                                        
Deposit to C1 A-7 Supp Int Acct (Class B Distribution)                                  
Payment to Supplemental interest Right                                                  
Class A-7 Supplemental Interest Account Ending Balance                                  


Dates Referenced Herein   and   Documents Incorporated By Reference

This 8-K Filing   Date   Other Filings
3/1/99
9/27/99
For The Period Ended9/30/99
10/26/99
Filed On / Filed As Of11/1/998-K
 
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