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- Alternative Formats (Word, et al.)
- Accrual of Original Issue Discount
- Accrued Interest Securities
- Adjustment to Servicing Compensation in Connection with Certain Prepaid Mortgage Loans
- Administrative Matters
- Advances
- Affiliations and Certain Relationships Among Transaction Parties
- Agency Securities
- Agreements, The
- Allocation of Losses
- Allocation of the Income of the REMIC to the Residual Certificates
- Amendment
- Anti-Deficiency Legislation and Other Limitations on Lenders
- Applicability of Usury Laws
- Application of Liquidation Proceeds
- [Applied Realized Loss Amounts
- A. Regular Securities
- Assignment of the Mortgage Loans
- Assignment of Trust Fund Assets
- Available Funds
- Available Information
- Backup Withholding
- Bankruptcy Bonds
- Book-Entry Certificates
- Book-Entry Notes
- Book-Entry Securities
- B. Residual Certificates
- [Calculation of One-Month LIBOR
- [Carryover Reserve Fund
- Categories of Classes of Securities
- Certain Legal Aspects of the Mortgage Loans
- Certain Matters Regarding the Servicer and the Depositor
- Certain Matters Regarding the Servicer, the Depositor and the Seller
- Certain Matters related to the Servicer, the Depositor and the Sellers
- Certain Modifications and Refinancings
- Characterization of the Notes as Indebtedness
- [Class 2-AV] Notes
- Class 3-AV Notes
- [[Class AF-5B] Note Guaranty Insurance Policy
- [Class BV]
- Classification of the Issuing Entity as a Partnership or a Corporation
- Class [ ] Insurer, The
- Class [ ] Policy, The
- Collection Procedures
- Cooperative Loans
- Cooperatives
- Credit Enhancement
- Cross Support
- Debt Securities
- Decrement Tables
- Decrement Tables; Weighted Average Lives
- Deferred Interest
- Definitions related to Interest Calculations and Distributions
- Definitions related to Principal Calculations and Distributions
- Denominations
- Deposit Agreements
- Depositor, The
- Deposits to the Collection Account
- Deposits to the Distribution Account
- Description of the Certificates
- Description of the Notes
- Description of the Securities
- Disqualified Organizations
- Distributions
- Distributions of Interest
- Distributions of Principal
- Distributions on Securities
- D. Non-U.S. Persons
- Due-on-sale Clauses
- Environmental Risks
- ERISA Considerations
- Events of Default
- Evidence as to Compliance
- Excess Inclusions
- Exhibits
- [Experts]
- Fees and Expenses
- Final Trust Reporting Regulations
- Financial Information
- Financial Instruments
- Foreclosure and Repossession
- Foreign Investors
- General
- General Definitions
- Global Clearance, Settlement and Tax Documentation Procedures
- Glossary of Terms
- Hazard Insurance
- Important Notice About Information in This Prospectus and Each Accompanying Prospectus Supplement
- Incorporation of Certain Documents by Reference; Reports Filed with the SEC
- Indemnification of Directors and Officers
- Indenture
- Indenture Trustee, The
- Index of Defined Terms
- Index of Principal Terms
- Indices Applicable to Floating Rate and Inverse Floating Rate Classes
- Insurance Policies, Surety Bonds and Guaranties
- Interest
- Investments of Amounts Held in Accounts
- Issuing Entity
- Issuing Entity, The
- Last Scheduled Distribution Date
- Legal Investment
- Legal Matters
- Legal Proceedings
- Letter of Credit
- LIBO Method
- List of Securityholders
- Loan Group [1]
- Loan Group [2] and Loan Group [3]
- Mandatory Auction
- Market Discount
- Material Federal Income Tax Consequences
- Maturity Date
- Method of Distribution
- Mortgage Loan Program
- Mortgage Loans -- General, The
- Mortgage Loans, The
- Mortgage Pool Insurance Policies
- Mortgage Pool, The
- Noneconomic Residual Certificates
- Non-Interest Expenses of the REMIC
- Non-PO Formula Principal Amount
- Non-U.S. Persons
- Notional Amount Certificates
- Offered Notes
- Optional Termination
- Original Issue Discount
- Original Issue Discount and Premium
- Other Expenses of Issuance and Distribution*
- Other Taxes
- Over-Collateralization
- [Overcollateralization Provisions]
- Ownership of the Owner Trust Certificate
- Ownership of the Residual Certificates
- Owner Trust Certificate
- Owner Trustee
- Owner Trustee, The
- Payments on Mortgage Loans; Accounts
- Payments on Trust Fund Assets; Deposits to Security Account
- Possible Classification of the Issuing Entity as a Taxable Mortgage Pool
- Pre-Funding
- Pre-Funding Account
- Premium
- Prepayment Charges
- Prepayment Considerations and Risks
- Prepayment Model
- Prepayments and Yields for the Offered Notes
- Prepayment Standards or Models
- Prime Rate
- Principal
- Priority of Distributions Among Certificates
- Private Mortgage-Backed Securities
- Prohibited Transactions
- Prohibited Transactions and Other Taxes
- Qualifications of Sellers
- Rating
- Rating Agencies
- Ratings
- Realization upon Defaulted Mortgage Loans
- Record Date
- REMIC Securities
- Reports to Certificateholders
- Reports to Noteholders
- Reports to Securityholders
- Representations by Seller; Repurchases, etc
- Representations by Sellers; Repurchases
- Reserve Fund
- Residual Certificates
- Restrictions on Investment, Suitability Requirements
- Restrictions on Transfer of the Class A-R Certificates
- Rights of Redemption
- Risk Factors
- Sale or Exchange of Residual Certificates
- Seller, The
- Senior Notes
- Senior Principal Distribution Amount
- Sensitivity of the Class A-X Certificates
- Sensitivity of the Class PO Certificates
- Servicemembers Civil Relief Act
- Servicer, The
- Servicing and Other Compensation and Payment of Expenses
- Servicing Compensation and Payment of Expenses
- Servicing of Mortgage Loans
- Servicing of the Mortgage Loans
- [Servicing The Private Mortgage-Backed Securities]
- Special Hazard Insurance Policies
- Sponsor, The
- State Tax Considerations
- Static Pool Data
- Subordinated Certificates, The
- Subordinated Principal Distribution Amount
- Subordination
- Subsequent Recoveries
- Substitution of Trust Fund Assets
- Summary
- Summary of Transaction Parties
- Surety Provider, The
- Table of Contents
- Taxation of Debt Securities
- Taxation of Interest Income of Beneficial Owners of Notes
- Taxation of the Regular Certificates
- Taxation of the Residual Certificates
- Tax Characterization of the Trust Fund as a Partnership
- Tax Consequences to Holders of the Certificates
- Tax Consequences to Holders of the Notes
- Tax-Exempt Investors
- Tax-Related Restrictions on Transfers of Residual Certificates
- Tax Status as a Grantor Trust
- Termination of the Issuing Entity; Optional Termination
- Termination; Optional Termination
- The Agreements
- [The Certificate Guaranty Insurance Policy and the Certificate Insurer
- [The [Class AF-5B] Insurer
- The Class [ ] Insurer
- The Class [ ] Policy
- [The Corridor Contracts]
- The Depositor
- The Indenture Trustee
- The Issuing Entity
- The Mortgage Loans
- The Mortgage Loans -- General
- The Mortgage Pool
- [the Note guaranty insurance policy and the Note insurer
- The Owner Trustee
- The Seller
- The Servicer
- The Sponsor
- The Subordinated Certificates
- The Surety Provider
- The Trust Administrator
- The Trustee
- Treatment of Realized Losses
- Trust Administrator
- Trust Administrator, The
- Trustee, The
- Undertakings
- Underwriting Process
- Underwriting Standards
- Use of Proceeds
- [Voting Rights
- Weighted Average Lives of the Offered Certificates
- Withdrawals from the Collection Account
- Withdrawals from the Distribution Account
- Yield
- Yield and Prepayment Considerations
- Yield, Prepayment and Maturity Considerations
- [Yield Supplement Amounts]
|
1 | 1st Page – Filing Submission
|
4 | Table of Contents
|
8 | Summary
|
" | Issuing Entity
|
" | The Class [ ] Insurer
|
" | Rating Agencies
|
9 | Pre-Funding
|
" | The Mortgage Loans
|
11 | Description of the Certificates
|
13 | Record Date
|
" | Denominations
|
" | Method of Distribution
|
14 | Fees and Expenses
|
16 | Optional Termination
|
" | Advances
|
17 | Credit Enhancement
|
" | Subordination
|
18 | Allocation of Losses
|
19 | ERISA Considerations
|
" | Legal Investment
|
20 | Summary of Transaction Parties
|
21 | Risk Factors
|
27 | The Mortgage Pool
|
" | General
|
40 | Assignment of the Mortgage Loans
|
42 | The Seller
|
43 | Underwriting Process
|
46 | Representations by Seller; Repurchases, etc
|
47 | Servicing of Mortgage Loans
|
" | The Servicer
|
49 | Servicing Compensation and Payment of Expenses
|
" | Adjustment to Servicing Compensation in Connection with Certain Prepaid Mortgage Loans
|
51 | Certain Modifications and Refinancings
|
" | [Servicing The Private Mortgage-Backed Securities]
|
" | The Sponsor
|
52 | Static Pool Data
|
53 | The Trustee
|
55 | [The Certificate Guaranty Insurance Policy and the Certificate Insurer
|
" | Affiliations and Certain Relationships Among Transaction Parties
|
58 | Notional Amount Certificates
|
59 | Book-Entry Certificates
|
63 | Payments on Mortgage Loans; Accounts
|
64 | Investments of Amounts Held in Accounts
|
68 | Distributions
|
" | Priority of Distributions Among Certificates
|
69 | Interest
|
71 | [Yield Supplement Amounts]
|
" | Principal
|
72 | Non-PO Formula Principal Amount
|
" | Senior Principal Distribution Amount
|
75 | Subordinated Principal Distribution Amount
|
77 | Residual Certificates
|
81 | Reports to Certificateholders
|
" | [Voting Rights
|
" | Termination of the Issuing Entity; Optional Termination
|
82 | Certain Matters Regarding the Servicer, the Depositor and the Seller
|
83 | Ownership of the Residual Certificates
|
" | Restrictions on Transfer of the Class A-R Certificates
|
" | Restrictions on Investment, Suitability Requirements
|
84 | Yield, Prepayment and Maturity Considerations
|
" | Prepayment Considerations and Risks
|
86 | Sensitivity of the Class A-X Certificates
|
87 | Sensitivity of the Class PO Certificates
|
88 | Weighted Average Lives of the Offered Certificates
|
89 | Decrement Tables
|
91 | Last Scheduled Distribution Date
|
" | The Subordinated Certificates
|
94 | The Class [ ] Policy
|
" | Legal Proceedings
|
" | Material Federal Income Tax Consequences
|
" | Taxation of the Regular Certificates
|
95 | Taxation of the Residual Certificates
|
99 | Use of Proceeds
|
" | Legal Matters
|
" | Ratings
|
108 | Owner Trustee
|
" | Trust Administrator
|
" | Indenture
|
111 | Description of the Notes
|
" | Offered Notes
|
117 | Class 3-AV Notes
|
" | Loan Group [1]
|
119 | Loan Group [2] and Loan Group [3]
|
122 | [The Corridor Contracts]
|
153 | Servicing of the Mortgage Loans
|
157 | The Depositor
|
158 | The Issuing Entity
|
" | The Indenture Trustee
|
160 | The Owner Trustee
|
161 | The Trust Administrator
|
" | [the Note guaranty insurance policy and the Note insurer
|
162 | [Class 2-AV] Notes
|
" | Senior Notes
|
164 | Book-Entry Notes
|
" | Glossary of Terms
|
" | General Definitions
|
166 | Definitions related to Interest Calculations and Distributions
|
169 | Definitions related to Principal Calculations and Distributions
|
177 | Deposits to the Collection Account
|
178 | Withdrawals from the Collection Account
|
179 | Deposits to the Distribution Account
|
180 | Withdrawals from the Distribution Account
|
181 | [Carryover Reserve Fund
|
186 | Distributions of Interest
|
192 | Owner Trust Certificate
|
" | [Overcollateralization Provisions]
|
201 | [Calculation of One-Month LIBOR
|
" | [Applied Realized Loss Amounts
|
202 | [[Class AF-5B] Note Guaranty Insurance Policy
|
206 | [The [Class AF-5B] Insurer
|
" | Reports to Noteholders
|
207 | Certain Matters related to the Servicer, the Depositor and the Sellers
|
" | Ownership of the Owner Trust Certificate
|
209 | Prepayments and Yields for the Offered Notes
|
210 | Maturity Date
|
" | Prepayment Model
|
211 | Decrement Tables; Weighted Average Lives
|
221 | [Class BV]
|
222 | Characterization of the Notes as Indebtedness
|
" | Classification of the Issuing Entity as a Partnership or a Corporation
|
223 | Possible Classification of the Issuing Entity as a Taxable Mortgage Pool
|
" | Taxation of Interest Income of Beneficial Owners of Notes
|
224 | Foreign Investors
|
" | Backup Withholding
|
225 | Other Taxes
|
226 | Prohibited Transactions
|
229 | [Experts]
|
231 | Index of Defined Terms
|
238 | Important Notice About Information in This Prospectus and Each Accompanying Prospectus Supplement
|
254 | The Mortgage Loans -- General
|
260 | Agency Securities
|
264 | Private Mortgage-Backed Securities
|
266 | Substitution of Trust Fund Assets
|
" | Available Information
|
" | Incorporation of Certain Documents by Reference; Reports Filed with the SEC
|
267 | Reports to Securityholders
|
269 | Mortgage Loan Program
|
" | Underwriting Standards
|
270 | Qualifications of Sellers
|
" | Representations by Sellers; Repurchases
|
272 | Description of the Securities
|
274 | Distributions on Securities
|
275 | Available Funds
|
" | Distributions of Principal
|
277 | Mandatory Auction
|
" | Categories of Classes of Securities
|
279 | Indices Applicable to Floating Rate and Inverse Floating Rate Classes
|
280 | LIBO Method
|
282 | Prime Rate
|
283 | Book-Entry Securities
|
287 | Global Clearance, Settlement and Tax Documentation Procedures
|
291 | Letter of Credit
|
" | Mortgage Pool Insurance Policies
|
293 | Special Hazard Insurance Policies
|
" | Bankruptcy Bonds
|
294 | Reserve Fund
|
" | Cross Support
|
" | Insurance Policies, Surety Bonds and Guaranties
|
295 | Over-Collateralization
|
" | Financial Instruments
|
296 | Deposit Agreements
|
" | Yield and Prepayment Considerations
|
298 | Prepayment Standards or Models
|
299 | Yield
|
" | The Agreements
|
" | Assignment of Trust Fund Assets
|
301 | Payments on Trust Fund Assets; Deposits to Security Account
|
303 | Pre-Funding Account
|
304 | Collection Procedures
|
305 | The Surety Provider
|
" | Hazard Insurance
|
306 | Realization upon Defaulted Mortgage Loans
|
309 | Application of Liquidation Proceeds
|
" | Servicing and Other Compensation and Payment of Expenses
|
310 | Evidence as to Compliance
|
311 | List of Securityholders
|
" | Certain Matters Regarding the Servicer and the Depositor
|
312 | Events of Default
|
314 | Amendment
|
315 | Termination; Optional Termination
|
316 | Certain Legal Aspects of the Mortgage Loans
|
317 | Cooperatives
|
" | Foreclosure and Repossession
|
318 | Cooperative Loans
|
319 | Rights of Redemption
|
" | Anti-Deficiency Legislation and Other Limitations on Lenders
|
320 | Environmental Risks
|
322 | Due-on-sale Clauses
|
" | Prepayment Charges
|
" | Applicability of Usury Laws
|
" | Servicemembers Civil Relief Act
|
323 | Debt Securities
|
" | Taxation of Debt Securities
|
" | Original Issue Discount and Premium
|
327 | Market Discount
|
328 | Premium
|
" | Deferred Interest
|
329 | Accrued Interest Securities
|
" | Treatment of Realized Losses
|
" | Subsequent Recoveries
|
" | Non-U.S. Persons
|
330 | REMIC Securities
|
331 | A. Regular Securities
|
" | Non-Interest Expenses of the REMIC
|
" | B. Residual Certificates
|
" | Allocation of the Income of the REMIC to the Residual Certificates
|
333 | Excess Inclusions
|
334 | Sale or Exchange of Residual Certificates
|
335 | Prohibited Transactions and Other Taxes
|
" | Administrative Matters
|
" | Tax-Exempt Investors
|
" | Tax-Related Restrictions on Transfers of Residual Certificates
|
336 | Disqualified Organizations
|
" | Noneconomic Residual Certificates
|
337 | Tax Status as a Grantor Trust
|
339 | Original Issue Discount
|
342 | Accrual of Original Issue Discount
|
343 | D. Non-U.S. Persons
|
345 | Final Trust Reporting Regulations
|
" | Tax Characterization of the Trust Fund as a Partnership
|
" | Tax Consequences to Holders of the Notes
|
347 | Tax Consequences to Holders of the Certificates
|
351 | State Tax Considerations
|
357 | Financial Information
|
" | Rating
|
358 | Index of Principal Terms
|
359 | Item 14. Other Expenses of Issuance and Distribution*
|
" | Item 15. Indemnification of Directors and Officers
|
360 | Item 16. Exhibits
|
" | Item 17. Undertakings
|