Filed On 11/1/99 · SEC File 333-52351-05 · Accession Number 1095226-99-6
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
Document/Exhibit Description Pages Size
1: 8-K Current Report 13± 61K
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
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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
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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
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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
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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 -
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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.
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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
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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
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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 -
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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.
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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.
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Collection Account Report
Principal - Withdrawals Adjustable Fixed Total
SPACE INTENTIONALLY LEFT BLANK
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Principal - Other Accounts Adjustable Fixed Total
Amounts Remaining in Pre-Funding Account
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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
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Collection Account Report
Interest - Withdrawals Adjustable Fixed Total
Current Nonrecoverable Advances
TOTAL INTEREST WITHDRAWALS
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Interest - Other Accounts Adjustable Fixed Total
Capitalized Interest Requirement
Pre-Funding Account Earnings
Certificate Account Earnings 5,4 5, 10,7
Capitalized Interest Account
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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
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Credit Enhancement Report
Accounts Adjustable Fixed Total
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Insurance Adjustable Fixed Total
Total Insured Payments
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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)
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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.
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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
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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
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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
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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
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Additional Collateral Information Adjustable Fixed Total
SPACE INTENTIONALLY LEFT BLANK
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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+
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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+
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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+
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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
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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%
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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
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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%
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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 Ended | | 9/30/99 |
| | 10/26/99 |
| Filed On / Filed As Of | | 11/1/99 | | 8-K |
| |
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