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- Alternative Formats (Word, et al.)
- Adjustment to Servicing Compensation in Connection with Certain Prepaid Mortgage Loans
- Advances
- Agreements, The
- Amendment
- Annex I
- Annex Ii
- Anti-Deficiency Legislation and Other Limitations on Lenders
- Applicability of Usury Laws
- Assignment of Mortgage-Backed Securities
- Assignment of the Mortgage Loans
- Assignment of the Trust Fund Assets
- Available Funds
- Available Information
- Backup Withholding with Respect to REMIC Certificates
- Basis Risk
- Basis Rules, Net Losses and Distributions
- Book-Entry Certificates
- Book-Entry Registration of Securities
- Calculation of One-Month Libor
- Categories of Classes of Securities
- Certain Legal Aspects of the Loans
- Certain Matters Regarding the Master Servicer and the Depositor
- Certain Modifications and Refinancings
- Certificate Insurer
- Certificate Insurer's Credit Ratings, The
- Certificate Insurer, The
- Characterization of Investments in Grantor Trust Certificates
- Class A Certificates
- Collection Procedures
- Consumer Protection Laws
- Cooperative Loans
- Cooperatives
- Credit Enhancement
- Cross-Collateralization
- CUT-OFF date
- Decrement Tables
- Default Management Services
- Defaults in Delinquent Payments
- Deposit Agreements
- Depositor, The
- Derivative Transactions
- Description of the Certificates
- Description of the Securities
- Distributions
- Distributions of Interest and Principal
- Distributions of Principal
- Distributions on Securities
- Due-On-Sale Clauses
- Environmental Risks
- Erisa Considerations
- Events of Default; Rights Upon Event of Default
- Evidence as to Compliance
- Excess Reserve Fund Account
- Experts
- Federal Income Tax Consequences
- Financial Information
- Financial Instruments
- Foreclosure and Repossession
- Foreign Investors in REMIC Certificates
- General
- Global Clearance, Settlement and Tax Documentation Procedures
- Glossary
- Grantor Trust Funds
- Grantor Trust Reporting
- Hazard Insurance
- Home Improvement Contracts
- If Stripped Bond Rules Apply
- If Stripped Bond Rules Do Not Apply
- Important Notice About Information in this Prospectus and Each Accompanying Prospectus Supplement
- Incorporation of Certain Documents by Reference
- Index of Defined Terms
- Index of Principal Terms
- Indices Applicable to Floating Rate and Inverse Floating Rate Classes
- Installment Contracts
- Insurance Policies, Surety Bonds and Guaranties
- Interest Rate Swap Agreement
- Interest Rate Swap Agreement, the Swap Provider and the Swap Account
- Junior Mortgages and Rights of Senior Mortgagees
- Last Scheduled Distribution Date
- Legal Investment
- Legal Matters
- Letter of Credit
- LIBO Method
- Libor
- Loan Program
- Loans, The
- Lot Loans
- Mandatory Auction
- Market Discount
- Master Servicer, The
- Method of Distribution
- Mortgage-Backed Securities
- Mortgage Loans
- Mortgage Loan Statistics
- Mortgage Pool, The
- Noneconomic REMIC Residual Certificates
- Optional Termination
- Original Issue Discount
- Other Loan Provisions and Lender Requirements
- Over-Collateralization
- Overcollateralization Provisions
- Partnership Trust Funds
- Payments on Mortgage Loans; Accounts
- Payments on Trust Fund Assets; Deposits to Security Account
- Policy, The
- Pool Insurance Policies
- Possible Pass-Through of Miscellaneous Itemized Deductions
- Premium
- Prepayment Charges And Late Payment Fees
- Prepayment Considerations and Risks
- Prime Rate
- Priority of Additional Advances
- Qualifications of Sellers
- Rating
- Ratings
- Realization Upon Defaulted Loans
- REMICs
- Reports to Securityholders
- Representations by Sellers; Repurchases
- Reserve Accounts
- Rights of Redemption
- Risk Factors
- Sales of Grantor Trust Certificates
- Sales of REMIC Certificates
- Servicemembers Civil Relief Act
- Servicing and Other Compensation and Payment of Expenses
- Servicing Compensation and Payment of Expenses
- Servicing of Mortgage Loans
- State
- Subordinated Certificates
- Subordination
- Sub-Servicing by Sellers
- Substitution of Trust Fund Assets
- Summary
- Surety Provider, The
- Swap Provider
- Table of Contents
- Taxable Income of the REMIC
- Taxation of Owners of Grantor Trust Fractional Interest Certificates
- Taxation of Owners of REMIC Regular Certificates
- Taxation of Owners of REMIC Residual Certificates
- Termination; Optional Termination
- The Agreements
- The Certificate Insurer
- The Certificate Insurer's Credit Ratings
- The Depositor
- The Loans
- The Master Servicer
- The Mortgage Pool
- The Policy
- The Surety Provider
- The Title I Program
- The Trustee
- The Trust Fund
- Title I Program, The
- Trustee, The
- Trust Fund, The
- Underwriting Standards
- Use of Proceeds
- Weighted Average Lives of the Class A Certificates and the Subordinated Certificates
- Yield and Prepayment Considerations
- Yield, Prepayment and Maturity Considerations
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1 | 1st Page - Filing Submission
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2 | Table of Contents
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5 | Summary
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" | CUT-OFF date
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" | Certificate Insurer
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" | Swap Provider
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7 | Mortgage Loans
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8 | Optional Termination
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" | Advances
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" | Credit Enhancement
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" | The Policy
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9 | Interest Rate Swap Agreement
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10 | Ratings
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" | Erisa Considerations
|
" | Legal Investment
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11 | Risk Factors
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19 | Environmental Risks
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20 | The Mortgage Pool
|
" | General
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21 | Mortgage Loan Statistics
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22 | Assignment of the Mortgage Loans
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23 | Underwriting Standards
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25 | Servicing of Mortgage Loans
|
" | The Master Servicer
|
27 | Servicing Compensation and Payment of Expenses
|
" | Adjustment to Servicing Compensation in Connection with Certain Prepaid Mortgage Loans
|
28 | Certain Modifications and Refinancings
|
" | Default Management Services
|
" | Description of the Certificates
|
29 | Book-Entry Certificates
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30 | Payments on Mortgage Loans; Accounts
|
31 | Distributions
|
" | Distributions of Interest and Principal
|
37 | Interest Rate Swap Agreement, the Swap Provider and the Swap Account
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40 | Glossary
|
43 | Calculation of One-Month Libor
|
44 | Excess Reserve Fund Account
|
" | Overcollateralization Provisions
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45 | The Trustee
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46 | The Certificate Insurer
|
47 | The Certificate Insurer's Credit Ratings
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48 | Yield, Prepayment and Maturity Considerations
|
" | Defaults in Delinquent Payments
|
" | Prepayment Considerations and Risks
|
49 | Basis Risk
|
" | Class A Certificates
|
50 | Subordinated Certificates
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54 | Weighted Average Lives of the Class A Certificates and the Subordinated Certificates
|
" | Decrement Tables
|
56 | Last Scheduled Distribution Date
|
57 | Use of Proceeds
|
" | Federal Income Tax Consequences
|
60 | Method of Distribution
|
61 | Legal Matters
|
62 | Experts
|
63 | Index of Defined Terms
|
67 | Annex I
|
" | Global Clearance, Settlement and Tax Documentation Procedures
|
71 | Annex Ii
|
75 | State
|
83 | Important Notice About Information in this Prospectus and Each Accompanying Prospectus Supplement
|
105 | The Trust Fund
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107 | The Loans
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110 | Lot Loans
|
" | Home Improvement Contracts
|
111 | Mortgage-Backed Securities
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113 | Substitution of Trust Fund Assets
|
" | Available Information
|
114 | Incorporation of Certain Documents by Reference
|
" | Reports to Securityholders
|
115 | The Depositor
|
" | Loan Program
|
116 | Qualifications of Sellers
|
117 | Representations by Sellers; Repurchases
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118 | Description of the Securities
|
121 | Distributions on Securities
|
" | Available Funds
|
122 | Distributions of Principal
|
123 | Mandatory Auction
|
125 | Categories of Classes of Securities
|
128 | Indices Applicable to Floating Rate and Inverse Floating Rate Classes
|
" | Libor
|
" | LIBO Method
|
131 | Prime Rate
|
" | Derivative Transactions
|
132 | Book-Entry Registration of Securities
|
136 | Subordination
|
137 | Letter of Credit
|
" | Insurance Policies, Surety Bonds and Guaranties
|
138 | Over-Collateralization
|
" | Reserve Accounts
|
139 | Pool Insurance Policies
|
140 | Financial Instruments
|
" | Deposit Agreements
|
" | Cross-Collateralization
|
141 | Yield and Prepayment Considerations
|
144 | The Agreements
|
" | Assignment of the Trust Fund Assets
|
146 | Assignment of Mortgage-Backed Securities
|
" | Payments on Trust Fund Assets; Deposits to Security Account
|
149 | Sub-Servicing by Sellers
|
" | Collection Procedures
|
150 | The Surety Provider
|
151 | Hazard Insurance
|
153 | Realization Upon Defaulted Loans
|
154 | Servicing and Other Compensation and Payment of Expenses
|
" | Evidence as to Compliance
|
155 | Certain Matters Regarding the Master Servicer and the Depositor
|
156 | Events of Default; Rights Upon Event of Default
|
158 | Amendment
|
160 | Termination; Optional Termination
|
161 | Certain Legal Aspects of the Loans
|
162 | Cooperatives
|
" | Foreclosure and Repossession
|
163 | Cooperative Loans
|
166 | Rights of Redemption
|
" | Anti-Deficiency Legislation and Other Limitations on Lenders
|
167 | Due-On-Sale Clauses
|
168 | Prepayment Charges And Late Payment Fees
|
" | Applicability of Usury Laws
|
169 | Consumer Protection Laws
|
170 | Installment Contracts
|
" | Servicemembers Civil Relief Act
|
171 | Junior Mortgages and Rights of Senior Mortgagees
|
" | Other Loan Provisions and Lender Requirements
|
" | Priority of Additional Advances
|
172 | The Title I Program
|
179 | REMICs
|
181 | Taxation of Owners of REMIC Regular Certificates
|
" | Original Issue Discount
|
183 | Market Discount
|
185 | Premium
|
" | Taxation of Owners of REMIC Residual Certificates
|
187 | Taxable Income of the REMIC
|
188 | Basis Rules, Net Losses and Distributions
|
190 | Noneconomic REMIC Residual Certificates
|
191 | Possible Pass-Through of Miscellaneous Itemized Deductions
|
192 | Sales of REMIC Certificates
|
196 | Backup Withholding with Respect to REMIC Certificates
|
" | Foreign Investors in REMIC Certificates
|
198 | Grantor Trust Funds
|
" | Characterization of Investments in Grantor Trust Certificates
|
199 | Taxation of Owners of Grantor Trust Fractional Interest Certificates
|
200 | If Stripped Bond Rules Apply
|
201 | If Stripped Bond Rules Do Not Apply
|
206 | Sales of Grantor Trust Certificates
|
" | Grantor Trust Reporting
|
207 | Partnership Trust Funds
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218 | Financial Information
|
" | Rating
|
220 | Index of Principal Terms
|