HOUSEHOLD REVOLVING HOME EQUITY LOAN TRUST 1995-2
8-K, 1997-02-24
ASSET-BACKED SECURITIES
Previous: BERGER INSTITUTIONAL PRODUCTS TRUST, 24F-2NT, 1997-02-24
Next: VAN WAGONER FUNDS INC, N-30D, 1997-02-24











              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          February 20, 1997                         
     

                                   
                   REVOLVING HOME EQUITY LOAN TRUST 1995-2      
   (Exact name of registrant as specified in Department of the
          Treasury, Internal Revenue Service Form SS-4)


                 HOUSEHOLD FINANCE CORPORATION                 
(Servicer of the Trust)
(Exact name as specified in Servicer's charter)


       Delaware              0-20695            Not Applicable
 (State or other juris-  (Commission File Number  (IRS Employer
diction of incorporation     of Registrant)      Identification
of Master Servicer)                                Number of
                                                  Registrant)


       2700 Sanders Road, Prospect Heights, Illinois  60070     
     (Address of principal executive offices of      (Zip Code)
                 Master Servicer)


Servicer's telephone number, including area code 847/564-5000  





                                 Exhibit Index appears on page 3 <PAGE>
Item 7.  FINANCIAL STATEMENTS AND EXHIBITS

    (c)  Exhibits

          99(a)     Monthly Servicing Report to Trustee dated
                    February 20, 1997 pursuant to Section 3.04(b)
                    of the Pooling and Servicing Agreement dated
                    as of November 1, 1995 (the "Pooling and
                    Servicing Agreement") among HFC Revolving
                    Corporation, as Seller, Household Finance
                    Corporation, as Servicer, and First National
                    Bank of Chicago, as Trustee, with respect to
                    the Class A Certificates, Series 1995-2.











                           SIGNATURE


     Pursuant to the requirements of the Securities Exchange Act
of 1934, the Servicer has duly caused this report to be signed on
behalf of the Revolving Home Equity Loan Trust 1995-2 by the
undersigned hereunto duly authorized.



                    HOUSEHOLD FINANCE CORPORATION,
                    as Servicer of and on behalf of the

                    REVOLVING HOME EQUITY LOAN TRUST 1995-2
                                (Registrant)




                      By:   /s/ J. W. Blenke                  
                            J. W. Blenke 
                            Authorized Representative
Dated:    February 21, 1997

                              - 2 -<PAGE>
                          EXHIBIT INDEX




Exhibit
Number    Exhibit                                                 Page



          99(a)     Monthly Servicing Report to Trustee dated February
                    20, 1997 pursuant to Section 3.04(b) of the
                    Pooling and Servicing Agreement dated as of
                    November 1, 1995 (the "Pooling and Servicing
                    Agreement") among HFC Revolving Corporation, as
                    Seller, Household Finance Corporation, as
                    Servicer, and First National Bank of Chicago, as
                    Trustee, with respect to the Class A Certificates,
                    Series 1995-2.



















                                 - 3 -

HE95-2.8k

Household Finance Corporation
Household Revolving Home Equity Loan 
Revolving Home Equity Loan Asset Backed Certificates - Series
1995-2
P & S Agreement Date:              Nov 1, 1995
Original Settlement Date:           Nov 21, 1995
Series Number of Class A-1 Certificates:     441919AG2
Series Number of Class A-2 Certificates:     N/A
Original Sale Balance:             $637,660,000

Servicer Certificate (Page 1 of 3)
Distribution Date:                                           
02/20/97

Investor Certificateholder Floating Allocation Percentage       
97.47%
Investor Certificateholder Fixed Allocation Percentage          
97.90%

Aggregate Amount of  Collections                        
18,285,813.54
     Aggregate Amount of  Interest Collections           
5,629,915.59
     Aggregate Amount of  Principal Collections         
12,655,897.95

Int. Collections Alloc. to Investor                      
5,487,726.44
Class A Principal Collections                           
11,423,964.20
Seller Interest Collections                                
142,189.15
Seller Principal Collections                             
1,231,933.75
Weighted Average Loan Rate                                      
13.84%
Net Loan Rate                                                   
12.84%
Weighted Average Maximum Loan Rate                              
18.78%
Class A-1 Certificate Rate                                     
5.6953%
Maximum Investor Certificate Rate                             
12.9500%
Class A-1 Certificate Interest Distributed               
2,352,464.99
Class A-1 Investor Certificate Interest Shortfall before         
0.00
Unpaid Class A-1 Certificate Interest Shortfall Received         
0.00
Unpaid Class A-1 Certificate Interest Shortfall Remaining        
0.00
Unpaid Class A-1 Carryover Interest Amount                       
0.00
Maximum Principal Dist. Amount (MPDA)                   
12,390,124.09
Alternative Principal Dist. Amount (APDA)               
11,423,964.20
Rapid Amortization Period? (Y=1, N=0)                            
0.00
Scheduled Principal  Distribution Amount (SPDA)         
11,423,964.20
Principal  allocable to Class A-1                       
11,423,964.20
                                                     
SPDA deposited to Funding Account                                
0.00
Accelerated Principal Distribution Amount                        
0.00
APDA allocable to Class A-1                                      
0.00
Reimbursement to Credit Enhancer                                 
0.00

Spread Trigger hit?                                      No

Reduction in Certificate Principal Balance
    due to Current Class A-1 Liquidation Loss Amount       
688,979.03

                                                         
Cumulative Investor Liquidation Loss Amount                
688,979.03

Total Principal allocable to A-1                        
12,112,943.23
                                                         

Beginning Class A-1 Certificate Principal Balance       
495,663,622.11
                                                         
Ending Class A-1 Certificate Principal Balance          
483,550,678.88
Pool Factor (PF)                                            
0.7583205
<PAGE>
Servicer Certificate (Page 2 of  3)
Distribution Date:                                           
02/20/97
Retransfer Deposit Amount                                        
0.00
Servicing Fees Distributed                                 
415,764.16
Beg. Accrued and Unpaid Inv. Servicing Fees                      
0.00
Accrued and Unpaid Inv. Servicing Fees Recv'd                    
0.00
End. Accrued and Unpaid Inv. Servicing Fees                      
0.00
Aggregate Investor Liquidation Loss Amount                 
688,979.03
Investor Loss Reduction Amount                                   
0.00
Beginning Pool Balance                                  
511,843,949.28
Ending Pool Balance                                     
499,711,357.83
Beginning Invested Amount                               
498,916,991.11
Ending Invested Amount                                  
486,804,047.88
Beginning Seller Principal Balance                      
12,926,958.17
Ending Seller Principal Balance                         
12,907,309.95
Additional Balances                                      
1,231,933.75
Beginning Funding Account Balance                                
0.00
Ending Funding Account Balance                                   
0.00
Ending Funding Account Balance % (before any purchase of         
0.00%
Ending Funding Account Balance % (after purchase of Subse        
0.00%
Principal Balance of Subsequent Funding Loans Purchased i        
0.00
Principal Collections to purchase Additional Balances and        
0.00
Beginning  Pre-Funding Account Balance                           
0.00
Ending Pre-Funding Account Balance                               
0.00
Pre-Funding Earnings                                             
0.00
Beginning Capitalized Interest Account                           
0.00
Capital Interest Requirement (Transferred to Collection A        
0.00
Ending Capitalized Interest Account                              
0.00
Beginning Spread Account Balance                         
6,506,737.00
Ending Spread Account Balance                            
6,506,737.00
Beginning Seller Interest                                      
2.5256%
Ending Seller's Interest                                       
2.5830%
Delinquency & REO Status
   60 - 89 days (Del Stat 2)
     No. of Accounts                                              
223
     Trust Balance                                       
7,112,950.27
   90+ days (Del Stat 3+)
     No. of Accounts                                              
371
     Trust Balance                                      
13,554,416.94
   270+ days (Del Stat 9+)
     No. of Accounts                                              
 95
     Trust Balance                                       
3,837,777.01
   REO
     No. of Accounts                                              
 10
     Trust Balance                                         
409,678.31
Rapid Amortization Event ?                               No
   Failure to make payment within 5 Business Days of RequNo
   Failure to perform covenant relating to Trust's SecuriNo
   Failure to perform other covenants as described in theNo
   Breach of Representation or Warranty ?                No
   Bankruptcy, Insolvency or Receivership relating to SelNo
   Subject to Investment Company Act of 1940 Regulation ?No
   Servicing Termination ?                               No
   Aggregate of Credit Enhancement Draw Amounts exceed 1%No
<PAGE>
Servicer Certificate (Page 3 of  3)

Distribution Date:                                           
02/20/97

Event of Default ?                                       No
   Failure by Servicer to make payment within 5 Bus. DaysNo
   Failure by Servicer to perform covenant relating to TrNo
   Failure by Servicer to perform other covenants as descNo
   Bankruptcy, Insolvency or Receivership relating to MasNo
   Trigger Event ?                                       No

Policy Fee Distributed to Credit Enhancer (Paid directly N/A
Premium Distributed to Credit Enhancer                           
0.00
Amount Distributed to Seller                             
1,374,122.90
Master Servicer Credit Facility Amount                           
0.00
Guaranteed Principal Distribution Amount                         
0.00
Credit Enhancement Draw Amount                                   
0.00
Spread Account Draw Amount                                       
0.00
Capitalized Interest Account Draw                                
0.00
Amount re-imbursed to Credit Enhancer (5.01(a)(vi))              
0.00
Amount paid to Trustee                                           
0.00
Cumulative Draw under Policy                                     
0.00
Net Yield                                                        
5.19%


Total  Available Funds
     Aggregate Amount of Collections                    
18,285,813.54
     Deposit for principal not used to purchase subsequen        
0.00
     Interest Earnings on the Pre-Funding Account                
0.00
     Deposit from Capitalized Interest Account                   
0.00
     Total                                              
18,285,813.54


Application of Available Funds
     Servicing Fee                                         
415,764.16
     Prinicpal and Interest to Class A-1                
14,465,408.22
                                                         
     Seller's portion of Principal and Interest          
1,374,122.90
     Funds deposited into Funding Account (Net)                  
0.00
     Funds deposited into Spread  Account                        
0.00
     Excess funds released to Seller                     
2,030,518.26
     Total                                              
18,285,813.54


OFFICERS'S CERTIFICATE
All computations reflected in this Servicer Certificate were
made in conformity with the Pooling and Servicing Agreement.

The attached Servicing Certificate is true and correct in all 
material respects.


A Servicing Officer
<PAGE>
Statement to Certificateholders (Page 1 of 2)

Distribution Date:                                           
02/20/97

INVESTOR CERTIFICATES DISTRIBUTION SUMMARY (PER $1000)

Class A Certificateholder Floating Allocation Percentage      
97.4744%
Class A Certificateholder Fixed Allocation Percentage         
97.9000%

Beginning Class A-1 Certificate Balance                 
495,663,622.11
                                                         

Class A-1 Certificate Rate                                   
5.695310%
                                                         
Class A-1 Certificate Interest Distributed                   
3.689215
                                                         
Class A-1 Certificate Interest Shortfall Distributed         
0.000000
                                                         
Remaining Unpaid Class A-1 Certificate Interest Shortfall    
0.000000
                                                         

Rapid Amortization Event ?                               No
Class A-1 Certificate Principal Distributed                 
18.995928
                                                         
   Maximum Principal Distribution Amount                    
19.430612
   Scheduled Principal  Distribution Amount (SPDA)          
17.915447
   Accelerated Principal Distribution Amount                 
0.000000
   Aggregate Investor Liquidation Loss Amount Distributed    
1.080480

Total Amount Distributed to Certificateholders              
21.604663

Principal Collections deposited into Funding Account             
0.00
Ending Funding Account Balance                                   
0.00

Ending Class A-1 Certificate Balance                    
483,550,678.88
                                                         

Class A-1 Factor                                            
0.7583205

Pool Factor (PF)                                            
0.7583205

Unreimbursed Liquidation Loss Amount                            
$0.00
Accrued Interest on Unreimbursed Liquidation Loss Amount        
$0.00
Accrued & Unpaid Interest on Unreimbursed Liquidation Los       
$0.00

Class A Servicing Fee                                      
415,764.16

Beginning Invested Amount                               
498,916,991.11
Ending Invested Amount                                  
486,804,047.88
Beginning Pool Balance                                  
511,843,949.28
Ending Pool Balance                                     
499,711,357.83

Spread Account Draw Amount                                       
0.00
Credit Enhancement Draw Amount                                   
0.00

Statement to Certificateholders (Page 2 of 2)

Distribution Date:                                           
02/20/97

DELINQUENCY & REO STATUS

   60 - 89 days (Del Stat 2)
     No. of Accounts                                              
223
     Trust Balance                                       
7,112,950.27

   90+ days (Del Stat 3+)
     No. of Accounts                                              
371
     Trust Balance                                      
13,554,416.94

   REO
     No. of Accounts                                              
 10
     Trust Balance                                         
409,678.31

Aggregate Liquidation Loss Amount for Liquidated Loans     
533,468.43

Class A-1 Certificate Rate for Next Distribution Date    To be
updated
                                                         

Amount of any Draws on the Policy                                
0.00

Subsequent Mortgage Loans
     No. of Accounts                                             
0.00
     Trust Balance                                               
0.00

Pre-Funded Amount (Ending)                                       
0.00

Subsequent Pre-Funding Mortgage Loans
     No. of Accounts                                              
  0
     Trust Balance                                               
0.00



© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission