FIRSTPLUS INVESTMENT CORP
8-K, 1997-11-13
ASSET-BACKED SECURITIES
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<PAGE>   1
                       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: November 10, 1997
                       (Date of earliest event reported)


                     FIRSTPLUS HOME LOAN OWNER TRUST 1997-2
                    (Issuer with respect to the Securities)

                        FIRSTPLUS INVESTMENT CORPORATION
                   (Originator of the Trust described herein)
             (Exact name of Registrant as specified in its charter)


                 Nevada                333-26527              75-2596063
       (State of Incorporation)   (Commission File No.)    (I.R.S. Employer
                                                           Identification No.)


          3773 Howard Hughes Parkway
              Suite 300N
            Las Vegas, Nevada                                  89109
        (Address of Principal executive offices)             (Zip Code)


       Registrant's Telephone Number, Including Area Code: (702) 866-2236

<PAGE>   2



Item 5.      Other Events.

         Reference is hereby made to Amendment No. 1 to the Registrant's
Registration Statement on Form S-3 (File No. 333-26527) filed with the
Securities and Exchange Commission (the "Commission") on May 22, 1997 (the
"Registration Statement"), pursuant to which the Registrant registered
$5,000,000,000 aggregate principal amount of its asset backed securities,
issuable in various series, for sale in accordance with the provisions of the
Securities Act of 1933, as amended (the "Act"). Reference is also hereby made
to the Prospectus dated June 12, 1997 and the related Prospectus Supplement,
dated June 12, 1997 (collectively, the "Prospectus"), which were previously
filed with the Commission pursuant to Rule 424(b)(5), with respect to the
FIRSTPLUS HOME LOAN OWNER TRUST 1997-2 Asset Backed Notes, Series 1997- 2,
consisting of the following classes of Asset Backed Notes (collectively, the
"Offered Securities"): (i) Class A-1 Notes, Class A-2 Notes, Class A-3 Notes,
Class A-4 Notes, Class A-5 Notes, Class A-6 Notes, Class A-7 Notes, Class A-8
Notes, Class A-9 Notes, Class M-1 Notes, Class M-2 Notes and Class B-1 Notes.

         The Notes were issued pursuant to an Indenture dated as of June 1,
1997 (the "Indenture") between FIRSTPLUS HOME LOAN OWNER TRUST 1997-2 (the
"Issuer" or the "Trust") and First Bank National Association, as Indenture
Trustee and Co-Owner Trustee (the "Indenture Trustee" and "Co-Owner Trustee").
The Notes are secured by the assets of the Trust pursuant to the Indenture.

         The Registrant is filing this Current Report on Form 8-K for the
purpose of filing the Servicer's Monthly Statement (as such term is defined in
the Sale and Servicing Agreement dated as of June 1, 1997 among FIRSTPLUS
INVESTMENT CORPORATION, as Seller, FIRSTPLUS FINANCIAL, INC., as Transferor and
Servicer, FIRSTPLUS HOME LOAN OWNER TRUST 1997-2, as Issuer, and First Bank
National Association, as Indenture Trustee and Co-Owner Trustee) for the month
of November 1997.


Item 7.      Financial Statements and Exhibits.

         (c)     Exhibits

                     Exhibit No.              Description
                     -----------              -----------

                        99.1            Servicer's Monthly Statement 
                                         (November 1997)


                                      -2-
<PAGE>   3


                                   Signatures

         Pursuant to the requirements of the Securities Exchange Act of 1934,
the Registrant has duly caused this Current Report on Form 8-K to be signed on
its behalf by the undersigned hereunto duly authorized.


                                             FIRSTPLUS INVESTMENT CORPORATION



November 10, 1997                            By:  /s/ LEE REDDIN
                                                -----------------------------
                                                Lee Reddin, Vice President

                                      -3-

<PAGE>   4
                                 EXHIBIT INDEX

       EXHIBIT NO.                     DESCRIPTION
       -----------                     -----------
         99.1              Servicer's Monthly Statement (November)



<PAGE>   1
 
              FIRSTPLUS FINANCIAL, INC. (TRANSFEROR AND SERVICER)
                   FIRSTPLUS INVESTMENT CORPORATION (SELLER)
                FIRSTPLUS HOME LOAN OWNER TRUST 1997-2 (ISSUER)
        THE FIRSTPLUS ASSET-BACKED NOTES AND CERTIFICATES SERIES 1997-2
                          AGREEMENT DATED June 1, 1997
 
                      SERVICER'S MONTHLY REMITTANCE REPORT

<TABLE>
<CAPTION>
 
- -----------------------------------------------------------------------------------------------------------------------
                                           Principal          Current      Principal          Principal                 
                         Original        Balance Before        Pass        Remittance           Carry         Interest  
     Class              Face Value        Distribution        Through   (Including Turbo)      Forward       Remittance 
- -----------------------------------------------------------------------------------------------------------------------
  <S>                <C>                 <C>              <C>             <C>            <C>             <C>           
      A-1             53,220,000.00       23,780,795.97           6.34%   9,578,117.03            0.00       125,641.87 
      A-2            103,860,000.00      103,860,000.00           6.31%           0.00            0.00       546,130.50 
      A-3             84,010,000.00       84,010,000.00           6.52%           0.00            0.00       456,454.33 
      A-4             80,400,000.00       80,400,000.00           6.64%           0.00            0.00       444,880.00 
      A-5             64,750,000.00       64,750,000.00           6.82%           0.00            0.00       367,995.83 
      A-6             46,400,000.00       46,400,000.00           6.88%           0.00            0.00       266,026.67 
      A-7             54,900,000.00       54,900,000.00           7.54%           0.00            0.00       344,955.00 
      A-8             49,230,000.00       49,230,000.00           7.58%           0.00            0.00       310,969.50 
      A-9             46,355,000.00       46,355,000.00           7.82%           0.00            0.00       302,080.08 
      M-1             78,750,000.00       78,750,000.00           7.60%           0.00            0.00       498,750.00 
      M-2             39,375,000.00       39,375,000.00           7.59%           0.00            0.00       249,046.88 
      B-1             31,875,000.00       31,875,000.00           7.93%           0.00            0.00       210,640.63 
B-2(Certificates)     16,875,000.00       16,875,000.00           8.54%           0.00            0.00       120,093.75 
       R                       0.00       13,293,481.42           0.00            0.00            0.00             0.00 

     Totals          750,000,000.00      733,854,277.39                   9,578,117.03                     4,423,665.04
</TABLE>


<TABLE>
<CAPTION>

- -------------------------------------------------------------------------------------------------------------
                         Interest
                          Carry        Total            Over      Allocated          Ending          Pool
     Class               Forward     Distribution    Collateral     Losses          Balance         Factor
- -------------------------------------------------------------------------------------------------------------
<S>                    <C>           <C>            <C>                <C>      <C>               <C>
      A-1                      0.00  9,703,758.90            0.00      0.00      14,202,678.94     26.686732%
      A-2                      0.00    546,130.50            0.00      0.00     103,860,000.00    100.000000%
      A-3                      0.00    456,454.33            0.00      0.00      84,010,000.00    100.000000%
      A-4                      0.00    444,880.00            0.00      0.00      80,400,000.00    100.000000%
      A-5                      0.00    367,995.83            0.00      0.00      64,750,000.00    100.000000%
      A-6                      0.00    266,026.67            0.00      0.00      46,400,000.00    100.000000%
      A-7                      0.00    344,955.00            0.00      0.00      54,900,000.00    100.000000%
      A-8                      0.00    310,969.50            0.00      0.00      49,230,000.00    100.000000%
      A-9                      0.00    302,080.08            0.00      0.00      46,355,000.00    100.000000%
      M-1                      0.00    498,750.00            0.00      0.00      78,750,000.00    100.000000%
      M-2                      0.00    249,046.88            0.00      0.00      39,375,000.00    100.000000%
      B-1                      0.00    210,640.63            0.00      0.00      31,875,000.00    100.000000%
B-2(Certificates)              0.00    120,093.75            0.00      0.00      16,875,000.00    100.000000%
       R                                     0.00    3,793,579.84      0.00      17,087,061.26 

     Totals                         13,821,782.07                               728,069,740.20
</TABLE>

<TABLE>
<CAPTION>

AMOUNTS PER 1,000       Principal
                      Balance Before  Principal     Interest       Total            End       
     CLASS    CUSIP    Distribution   Remittance   Remittance   Distribution      Balance     
- -------------------------------------------------------------------------------------------
<S>   <C>              <C>            <C>          <C>           <C>            <C>       
      A-1               446.839458    179.972135   2.360802      182.332937      266.867323
      A-2              1000.000000      0.000000   5.258333       5.258333      1000.000000
      A-3              1000.000000      0.000000   5.433333       5.433333      1000.000000
      A-4              1000.000000      0.000000   5.533333       5.533333      1000.000000
      A-5              1000.000000      0.000000   5.683333       5.683333      1000.000000
      A-6              1000.000000      0.000000   5.733333       5.733333      1000.000000
      A-7              1000.000000      0.000000   6.283333       6.283333      1000.000000
      A-8              1000.000000      0.000000   6.316667       6.316667      1000.000000
      A-9              1000.000000      0.000000   6.516667       6.516667      1000.000000
      M-1              1000.000000      0.000000   6.333333       6.333333      1000.000000
      M-2              1000.000000      0.000000   6.325000       6.325000      1000.000000
      B-1              1000.000000      0.000000   6.608333       6.608333      1000.000000
B-2(Certificates)      1000.000000      0.000000   7.116667       7.116667      1000.000000
</TABLE>

                          Original weighted average securities rate =    7.04%
                           Current weighted average securities rate =    7.08%

                                   Determination Date   November 5, 1997
                                  Distribution Date    November 10, 1997
<PAGE>   2

             FIRSTPLUS FINANCIAL, INC. (TRANSFEROR AND SERVICER)
                  FIRSTPLUS INVESTMENT CORPORATION (SELLER)
               FIRSTPLUS HOME LOAN OWNER TRUST 1997-2 (ISSUER)
       THE FIRSTPLUS ASSET-BACKED NOTES AND CERTIFICATES SERIES 1997-2
                         AGREEMENT DATED June 1, 1997

                     SERVICER'S MONTHLY REMITTANCE REPORT
- ----------------------------------------------------------------------------
<TABLE>
<CAPTION>



COLLECTIONS ON THE MORTGAGE LOANS:

                                                                                 Interest         Principal        Total
                                                                               ------------     ------------   ------------
<S>                                                                            <C>              <C>            <C>       
Scheduled Monthly Payments                                                     7,574,703.17     1,415,499.13    8,990,202.30
Recovery of Delinquent Scheduled Payments                                         78,906.94        28,217.97      107,124.91
Principal Prepayments                                                            823,356.95     4,340,820.09    5,164,177.04
Foreclosure Collections                                                                0.00             0.00            0.00
Prefunding Account Deposit                                                             0.00             0.00            0.00

Available Collection Amount                                                    8,476,967.06     5,784,537.19   14,261,504.25

FEES:

Servicing Fee                                                                                                    458,658.92
Trustee Fee                                                                                                        1,528.86
Owner Trustee Fee                                                                                                      0.00

Total Fees:                                                                                                      460,187.78

OVERCOLLATERALIZATION INFORMATION*:

Original Overcollateralization Amount                                                                                  0.00
Current Overcollateralization Amount                                                                          17,087,061.26
Required Overcollateralization Amount                                                                         31,875,000.00

AMOUNT IN PREFUNDING ACCOUNT:                                                                                          0.00

CAPITALIZED INTEREST ACCOUNT INFORMATION:
Amount  Remaining in Capitalized  Interest Account                                                                     0.00
Amount to be Disbursed from Capitalized Interest Account to Note Distribution Account                                  0.00

COLLATERAL INFORMATION:
Beginning Weighted Average Remaining Maturity                                                                           226
Ending Weighted Average Remaining Maturity                                                                              226
Beginning Weighted Average Coupon                                                                                    13.740%
Ending Weighted Average Coupon                                                                                       13.740%
Beginning Number of Loans                                                                                            23,990
Ending Number of Loans                                                                                               23,820
Beginning Unpaid Principle Balance of Home Loans                                                             733,854,277.39
Ending Unpaid Principle Balance of Home Loans                                                                728,069,740.20
Loans Paid in Full                                                                                                      170
</TABLE>

<TABLE>
<CAPTION>

DELINQUENCIES:
                                                                                    #                 $               % of $
                                                                                   ---           ------------         ------
<S>                                                                                <C>           <C>                  <C>
30-59 Days                                                                         141           3,970,625.00         0.5411%
60-89 Days                                                                         67            2,024,730.00         0.2759%
Over 90                                                                            98            3,005,625.00         0.4096%
Total                                                                              306           9,000,980.00         1.2265%
LIQUIDATED LOANS:
</TABLE>

<TABLE>
<CAPTION>
                                                                                Principal          Interest
<S>                                                                               <C>                <C> 
Liquidation Proceeds                                                              0.00               0.00
Write-Offs                                                                        0.00               0.00
Net Losses                                                                        0.00               0.00

</TABLE>

 * Assumes entire prefunded account is used to purchase home loans

<PAGE>   3

CAPITALIZED INTEREST:

<TABLE>
<S>                                                                         <C> 
Beginning balance:                                                          0.00
Capitalized interest acct requirement (projected interest shortfall)        0.00


Less amount to be released to residual interest                             0.00
Holder on July 10 pursuant to section 5.03(d)

Less amount to be distributed to note payment account                       0.00
Account on July 6 required by section 5.03(a)

Plus               Account earnings posted in due period                    0.00
                   Prefunding account earnings posted in due period         0.00

Ending balance on distribution date                                         0.00
</TABLE>

<PAGE>   4
BACKUP CALCULATIONS:
 
DEPOSIT TO NOTE PAYMENT ACCOUNT*:

<TABLE>
<S>                                                               <C>          
Available Collection Amount                                       14,261,504.25
Cap Interest Release pursuant to Section 5.03 A                            0.00
Remaining Prefunding Balance after end of funding period                   0.00
Note Payment  Account Earnings                                        20,465.60
Total Deposits                                                    14,281,969.85

Note Payment  Account balance                                     14,281,969.85
</TABLE>

* Collection Account earnings paid to servicer as apart of
Servicing Compensation were


WITHDRAWS FROM NOTE PAYMENT ACCOUNT:

To retain in the note payment account or deposit into the
certificate distribution account for payment on the payment
date as applicable pursuant to section 5.01 (c) paragraphs

<TABLE>
<CAPTION>

                                                                                                     Remaining Balance
                                                                                                     -----------------
<S>                                                                        <C>                          <C>          
Servicing Fee                                                              458,658.92                   13,823,310.93
Indenture Trustee Fee                                                        1,528.86                   13,821,782.07
Owner Trustee Fee                                                                0.00                   13,821,782.07
Senior Noteholders Interest Payment Amount                               3,165,133.78                   10,656,648.29
Class M-1 Noteholders Interest Payment Amount                              498,750.00                   10,157,898.29
Class M-2 Noteholders Interest Payment Amount                              249,046.88                    9,908,851.41
Class B-1 Noteholders Interest Payment Amount                              210,640.63                    9,698,210.78
Class B-2 Certificateholders Distributable  Amount                         120,093.75                    9,578,117.03
Senior Note Regular Prinicipal Payment Amount                            5,784,537.19                    3,793,579.84
Class M-1 Regular Prinicipal Payment Amount                                      0.00                    3,793,579.84
Class M-2 Regular Prinicipal Payment Amount                                      0.00                    3,793,579.84
Class B-1 Regular Prinicipal Payment Amount                                      0.00                    3,793,579.84
Class B-2 Certificateholders  Regular Prinicipal Distributable Amount            0.00                    3,793,579.84
Class M-1 Deffered Amount                                                        0.00                    3,793,579.84
Class M-2 Deffered Amount                                                        0.00                    3,793,579.84
Class B-1 Deffered Amount                                                        0.00                    3,793,579.84
Class B-2 Certificateholders Loss Reimbursement Deficiency Amount                0.00                    3,793,579.84
Servicing Advance Reimbursement Amount                                           0.00                    3,793,579.84
Overcollateralization Deficency amount to Senior Note Holder             3,793,579.84                            0.00
Overcollateralization Deficency amount to Class M-1 Notes                        0.00                            0.00
Overcollateralization Deficency amount to Class M-2 Notes                        0.00                            0.00
Overcollateralization Deficency amount to Class B-1 Notes                        0.00                            0.00
Overcollateralization Deficency amount to Class B-2 Certificates                 0.00                            0.00
Remaining Amount to Certificate Account for payment to Class R                   0.00                            0.00
on the payment Date
</TABLE>


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