CONTIMORTGAGE HOME EQUITY LN TR 1996-1
8-K, 1996-09-20
ASSET-BACKED SECURITIES
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_________________________________________________________________


                      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 (Date of earliest event reported)
                              September 15, 1996


                ContiMortgage Home Equity Loan Trust 1996-1
            (Exact name of registrant as specified in its charter)

                                                      16-1496047 and
    New York                     33-96410             16-1496045
(State or Other Jurisdiction    (Commission)       (I.R.S. Employer
 of Incorporation)              File Number)       Identification No.)


c/o Manufacturers & Traders Trust
One M&T Plaza
Buffalo, New York
Attn: Corporate Trust Department                        14203-2599
(Address of Principal)                                  (Zip Code)


Registrant's telephone number, including area code (716) 842-5589



    __________________________No Change____________________________
        (Former name or former address, if changed since last report)




______________________________________________________________________
Note: Please see page 5 for Exhibit Index                   Page 1

<PAGE>





Item 5.     OTHER EVENTS.

     On September 15, 1996 a scheduled distribution was made from the Trust to
holders  of  the  Class  A  Certificates.    The  information contained in the
Trustee's  Monthly  Servicing  Report  for  the  month  of  August  1996 dated
September  15,  1996  attached  hereto as Exhibit 19 is hereby incorporated by
reference.

     In  addition to the information included in the Trustee's Monthly Report,
the gross servicing compensation paid to the Servicer and Subservicers for the
month of August, 1996 was $232,101.25.



                                                            Page  2

<PAGE>




Item 7.     FINANCIAL STATEMENTS, PRO FORMA FINANCIAL INFORMATION AND
          EXHIBITS.

(a)          Not applicable

(b)          Not applicable

(c)          Exhibits:

  19.  Trustee's Monthly Servicing Report for the month of August,            
  1996




                                                         Page 3

<PAGE>

                                  SIGNATURES

     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 hereunto duly authorized.



                    By:     CONTISECURITIES ASSET FUNDING CORP.,
                            As Depositor


                         By:   /s/    Jerome M. Perelson
                               Name:  Jerome M. Perelson
                               Title: Vice President

                         By:   /s/    Susan E. O'Donovan
                               Name:  Susan E. O'Donovan
                               Title: Vice President




Dated: September 20, 1996





                                                           Page 4
<PAGE>


                                EXHIBIT INDEX



EXHIBIT NO. DESCRIPTION
19.     Trustee's Monthly Servicing Report for the
        Month of August, 1996.





                                                         Page 5




                                Contimortgage Corporation
                        Home Equity Loan Pass-Through Certificates
                                     Series 1996-1

Distribution Period:            15-Sep-96

<TABLE>
<CAPTION>

                            Original           Beginning                                                              Ending
                           Certificate        Certificate        Principal         Interest           Total         Certificate
    CUSIP       Class      Face Value           Balance         Distribution     Distribution      Distribution       Balance
<S>            <C>       <C>               <C>                 <C>                <C>             <C>             <C>      
  21075W-CC7     A-1       182,562,000.00     133,699,306.03     11,671,378.62       635,071.70     12,306,450.32   122,027,927.41
  21075W-CD5     A-2        96,901,000.00      96,900,263.49              0.00       450,586.23        450,586.23    96,900,263.49
  21075W-CE3     A-3        79,097,000.00      79,096,398.81              0.00       382,958.40        382,958.40    79,096,398.81
  21075W-CF0     A-4        49,696,000.00      49,695,622.28              0.00       247,649.85        247,649.85    49,695,622.28
  21075W-CG8     A-5        55,320,000.00      55,319,579.53              0.00       283,512.85        283,512.85    55,319,579.53
  21075W-CH6     A-6        68,447,000.00      68,446,479.76              0.00       381,589.12        381,589.12    68,446,479.76
  21075W-CJ2     A-7        40,977,000.00      40,976,688.56              0.00       239,030.68        239,030.68    40,976,688.56
  21075W-CK9     A-8        57,000,000.00      50,805,583.10      1,958,827.28       260,209.49      2,219,036.77    48,846,755.82
                B-IO                 0.00               0.00              0.00        11,267.95         11,267.95             0.00
                  R                  0.00               0.00              0.00             0.00              0.00             0.00

          Total Class      630,000,000.00     574,939,921.56     13,630,205.90     2,880,608.32     16,510,814.22   561,309,715.66
          *  Portion of Class B-IO/R distribution which represents investment earnings on Certificate Acct.:             11,267.95

</TABLE>
<TABLE>
<CAPTION>

                            Notional           Notional          Principal         Interest           Total            Notional
                Class        Amount             Amount          Distribution     Distribution      Distribution         Amount
<S>            <C>       <C>               <C>                 <C>                <C>             <C>              <C>      
  21075W-CL7    A-9IO      573,000,000.00     524,134,338.46              0.00       589,651.13        589,651.13   512,462,959.84

</TABLE>

<TABLE>
<CAPTION>

                    AMOUNTS PER $1,000 UNIT                                                   PASS THROUGH RATES
                                                                            Ending
                         Principal       Interest          Total          Certificate               Original Pass    Current Pass
    CUSIP       Class   Distribution    Distribution     Distribution       Balance         Class      Thru Rate     Thru Rate
<S>             <C>     <C>            <C>             <C>              <C>                <C>        <C>            <C>
  21075W-CC7     A-1     63.93104052     3.47866314       67.40970366     668.41909822        A-1       5.70000%       5.70000%
  21075W-CD5     A-2      0.00000000     4.64996471        4.64996471     999.99239936        A-2       5.58000%       5.58000%
  21075W-CE3     A-3      0.00000000     4.84162990        4.84162990     999.99239933        A-3       5.81000%       5.81000%
  21075W-CF0     A-4      0.00000000     4.98329544        4.98329544     999.99239939        A-4       5.98000%       5.98000%
  21075W-CG8     A-5      0.00000000     5.12496114        5.12496114     999.99239931        A-5       6.15000%       6.15000%
  21075W-CH6     A-6      0.00000000     5.57495756        5.57495756     999.99239937        A-6       6.69000%       6.69000%
  21075W-CJ2     A-7      0.00000000     5.83328892        5.83328892     999.99239964        A-7       7.00000%       7.00000%
  21075W-CK9     A-8     34.36539088     4.56507877       38.93046965     856.96062842       A-8 *      5.65250%       5.76188%
                                                                                             A-9IO      1.35000%       1.35000%
                Total    21.63524746     4.57239416       26.20764162     890.96780263
                                                                           * Based on a LIBOR of:                      5.42188%

                                                                                     Ending
                              Principal           Interest            Total          Notional
                Class        Distribution        Distribution      Distribution       Amount
  21075W-CL7    A-9IO          0.00000000         1.02905956        1.02905956     894.35071525

</TABLE>

PLEASE DIRECT ANY QUESTIONS OR COMMENTS TO THE FOLLOWING ADMINISTRATOR:

                              Neil Witoff
                              M & T Corporate Trust Department
                              One M & T Plaza-7th Floor
                              Buffalo, NY 14240




<PAGE>

                                Contimortgage Corporation
                        Home Equity Loan Pass-Through Certificates
                                     Series 1996-1


Distribution Period:            15-Sep-96

<TABLE>
<CAPTION>
                                                                                      Fixed Group     Adj. Group
                   Total Principal          Scheduled                                Subordination   Subordination
SEC. 7.09 (a) (ii) Distribution             Principal     Prepayments   Liquidations  Incr./(Red.)    Incr./(Red.)    Total
<S>               <C>                     <C>            <C>            <C>          <C>            <C>           <C>
                   Class A-1                  456,507.25   9,719,101.63         0.00  1,495,769.74           0.00  11,671,378.62
                     Per $1000 Unit           2.50056008    53.23726531   0.00000000    8.19321513     0.00000000    63.93104052
                   Class A-2                        0.00           0.00         0.00          0.00           0.00           0.00
                     Per $1000 Unit           0.00000000     0.00000000   0.00000000    0.00000000     0.00000000     0.00000000
                   Class A-3                        0.00           0.00         0.00          0.00           0.00           0.00
                     Per $1000 Unit           0.00000000     0.00000000   0.00000000    0.00000000     0.00000000     0.00000000
                   Class A-4                        0.00           0.00         0.00          0.00           0.00           0.00
                     Per $1000 Unit           0.00000000     0.00000000   0.00000000    0.00000000     0.00000000     0.00000000
                   Class A-5                        0.00           0.00         0.00          0.00           0.00           0.00
                     Per $1000 Unit           0.00000000     0.00000000   0.00000000    0.00000000     0.00000000     0.00000000
                   Class A-6                        0.00           0.00         0.00          0.00           0.00           0.00
                     Per $1000 Unit           0.00000000     0.00000000   0.00000000    0.00000000     0.00000000     0.00000000
                   Class A-7                        0.00           0.00         0.00          0.00           0.00           0.00
                     Per $1000 Unit           0.00000000     0.00000000   0.00000000    0.00000000     0.00000000     0.00000000
                   Class A-8                   18,940.52   1,741,480.51         0.00          0.00     198,406.25   1,958,827.28
                     Per $1000 Unit           0.33228982    30.55228965   0.00000000    0.00000000     3.48081140    34.36539088
                   Class A Certs              475,447.77  11,460,582.14         0.00  1,495,769.74     198,406.25  13,630,205.90
                     Per $1000 Unit           0.75467900    18.19140022   0.00000000    2.37423768     0.31493056    21.63524746

</TABLE>
<TABLE>
<CAPTION>

<S>                   <C>                                                                          <C>  
SEC. 7.09 (a) (iv)     Total Class A Carry-Forward Amount                                                    0.00
                         Class A-1 Carry-Forward Amount                                                      0.00
                         Class A-2 Carry-Forward Amount                                                      0.00
                         Class A-3 Carry-Forward Amount                                                      0.00
                         Class A-4 Carry-Forward Amount                                                      0.00
                         Class A-5 Carry-Forward Amount                                                      0.00
                         Class A-6 Carry-Forward Amount                                                      0.00
                         Class A-7 Carry-Forward Amount                                                      0.00
                         Class A-8 Carry-Forward Amount                                                      0.00
                         Class A-9IO Carry-Forward Amount                                                    0.00

SEC. 7.09 (a) (v)      Class A Insured Payment                                                               0.00

</TABLE>
<TABLE>
<CAPTION>

                                                                             Fixed Group        Adj. Group          Total
<S>                   <C>                                                     <C>                 <C>            <C>      
SEC. 7.09 (a) (vii)    Outstanding Group Loan Balance:                       523,058,211.74      50,281,074.00    573,339,285.74

SEC. 7.09 (a) (viii)   Subordinated Amount                                    10,595,251.90       1,434,318.18
                       Subordination Deficit                                           0.00               0.00

SEC. 7.09 (a) (ix)     Code Section 6049(d)(7)(C) Information-Required Market Discount Information Provided at Calendar Year End.

                                                                               Fixed Group        Adj. Group
SEC. 7.09 (a) (x)      Loan Purchase Prices                                       83,750.77               0.00
                       Substitution Amounts                                            0.00               0.00

SEC. 7.09 (a) (xi)     Weighted Average Coupon                                      11.1848%           11.1690%

SEC. 7.09 (a) (xiii)   Largest Loan Balance Outstanding                          418,520.17         323,153.54

</TABLE>
<TABLE>
<CAPTION>

SEC. 7.09 (b) (ii) 
           & (iii)     Delinquencies            Period             Number        Percentage *     Prin. Balance      Percentage *
                         <S>               <C>                 <C>                <C>             <C>               <C>      
                                              30-59 Days                   267          3.15640%    13,834,352.65         2.64490%
                           Fixed Group        60-89 Days                    85          1.00485%     4,957,009.49         0.94770%
                                               90+ Days                    211          2.49438%    12,609,053.44         2.41064%
                                              30-59 Days                    30          4.76190%     2,007,735.43         3.99302%
                           Adj. Group         60-89 Days                     4          0.63492%       375,212.47         0.74623%
                                               90+ Days                     17          2.69841%     1,020,346.71         2.02929%
                                          Total Fixed                     8459        100.00000%   523,058,211.74       100.00000%
                                          Total Adjust.                    630        100.00000%    50,281,074.00       100.00000%
                                          * Based upon each respective Group's loan count and balance.
                                                               Fixed Grp. No.   Fixed Grp. Bal.   Adj. Group No.    Adj. Group Bal.

SEC. 7.09 (b) (iv)     Loans in Foreclosure (LIF):                         146     8,183,671.06                11       640,580.14
                       Newly Commenced LIF:                                 46     2,536,527.11                 2       162,271.24
SEC. 7.09(b)(v)(a)     Loans in Bankruptcy                                  44     3,106,893.04                 3       236,648.70
SEC. 7.09(b)(v)(b)     Balloon Loans                                      4121   316,872,167.57                 1        35,529.79
SEC. 7.09 (b) (vi&vii) REO Properties                                        3       310,075.00                 0             0.00
SEC. 7.09 (b) (viii)   Cumulative Losses                                               2,397.00                               0.00

</TABLE>

                                                                   Page 2

<PAGE>

                                Contimortgage Corporation
                        Home Equity Loan Pass-Through Certificates
                                     Series 1996-1

Distribution Period:            15-Sep-96

<TABLE>
<CAPTION>

<S>                  <C>                                                                         <C>      
SEC. 7.08(b)(1)&(5)    Amount on Deposit in the Certificate Account                                 17,157,884.76
                         Class A-1 Allocation                                                       12,306,450.32
                         Class A-2 Allocation                                                          450,586.23
                         Class A-3 Allocation                                                          382,958.40
                         Class A-4 Allocation                                                          247,649.85
                         Class A-5 Allocation                                                          283,512.85
                         Class A-6 Allocation                                                          381,589.12
                         Class A-7 Allocation                                                          239,030.68
                         Class A-8 Allocation                                                        2,219,036.77
                         Class A-9IO Allocation                                                        589,651.13

SEC. 7.08(b)(2)        Class A Distribution Amount                                                  17,100,465.35

SEC. 7.08(b)(3)&(5)    Subordination Increase/(Reduction) Amount                                     1,694,175.99
                         Class A-1 Allocation                                                        1,495,769.74
                         Class A-2 Allocation                                                                0.00
                         Class A-3 Allocation                                                                0.00
                         Class A-4 Allocation                                                                0.00
                         Class A-5 Allocation                                                                0.00
                         Class A-6 Allocation                                                                0.00
                         Class A-7 Allocation                                                                0.00
                         Class A-8 Allocation                                                          198,406.25

SEC. 7.08(b)(4)&(5)    Insured Payment                                                                       0.00
                         Class A-1 Allocation                                                                0.00
                         Class A-2 Allocation                                                                0.00
                         Class A-3 Allocation                                                                0.00
                         Class A-4 Allocation                                                                0.00
                         Class A-5 Allocation                                                                0.00
                         Class A-6 Allocation                                                                0.00
                         Class A-7 Allocation                                                                0.00
                         Class A-8 Allocation                                                                0.00
                         Class A-9IO Allocation                                                              0.00

</TABLE>

SEC. 7.08(b)(6)

<TABLE>
<CAPTION>

                                                                 Beginning         Principal          Ending
                                                 Class           Balance *       Distribution       Balance *
                                              <S>             <C>               <C>              <C>              
                                                  A-1           133,699,306.03    11,671,378.62    122,027,927.41
                                                  A-2            96,900,263.49             0.00     96,900,263.49
                                                  A-3            79,096,398.81             0.00     79,096,398.81
                                                  A-4            49,695,622.28             0.00     49,695,622.28
                                                  A-5            55,319,579.53             0.00     55,319,579.53
                                                  A-6            68,446,479.76             0.00     68,446,479.76
                                                  A-7            40,976,688.56             0.00     40,976,688.56
                                                  A-8            50,805,583.10     1,958,827.28     48,846,755.82
                                                 A-9IO          524,134,338.46               NA    512,462,959.84
                                                * Denotes Notional Amounts for Class A-9IO.
</TABLE>

<TABLE>
<CAPTION>

<S>                  <C>                                                                                <C>      
SEC. 7.08(b)(7)        Current Period Realized Losses (Recoveries)                                         496.15

SEC. 7.08(b)(8)        Subordination Reduction Amount                                                        0.00

</TABLE>

<PAGE>

                                Contimortgage Corporation
                        Home Equity Loan Pass-Through Certificates
                                     Series 1996-1


Distribution Period:            15-Sep-96
                                                             REO Status
<TABLE>
<CAPTION>

SEC. 7.09 (b) (vi&vii)                          Loan Number        Book Value       Status
                                                   <S>            <C>             <C>          
                                                     1812817        $98,000.00     REO List Pend
                                                     1781939        $95,200.00     FC Attorney
                                                     2062255       $116,875.00     REO Eviction


</TABLE>



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