IMC HOME EQUITY LOAN TRUST 1996-2
8-K, 1996-09-09
ASSET-BACKED SECURITIES
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_________________________________________________________________
                              
                        UNITED STATES
            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)
                       August 26, 1996


              IMC Home Equity Loan Trust 1996-2
   (Exact name of registrant as specified in its charter)

                                                  
                                                   
        New York                   33-96410            13-3888491      
(State or Other Jurisdiction     (Commission)     (I.R.S. Employer
   of Incorporation               File Number)     Identification No.)


c/o Chemical Bank
Structured Finance Services
450 West 33rd Street
New York, New York
                                                     10001-2697     
(Address of Principal)                               (Zip Code)

                                                   
Registrant's telephone number, including area code (212) 946-3185



                               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 August 26, 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 July, 1996 dated 
August 26, 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 July, 1996 was $80,515.88. 






                                                               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 July            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 9, 1996


                                                           Page 4
                                                            

<PAGE>


                        EXHIBIT INDEX



Exhibit No. Description                                          

19.  Trustee's Monthly Servicing Report for the        
     Month of July, 1996.
                         




                                                           Page 5
<PAGE>


                              IMC HOME EQUITY LOAN TRUST       
                           MORTGAGE PASS-THROUGH CERTIFICATES  
                                    SERIES 1996-2      
                                        
                                        
DISTRIBUTION:  26-Aug-96                                            PAGE #    1
                                        
<TABLE>
<CAPTION>                                        
                                        
           ORIGINAL       BEGINNING                                                    ENDING                       ENDING
          CERTIFICATE    CERTIFICATE    PRINCIPAL       INTEREST        TOTAL        CERTIFICATE    SUBORDINATE    PRINCIPAL
 CLASS      BALANCE        BALANCE     DISTRIBUTION   DISTRIBUTION   DISTRIBUTION      BALANCE        AMOUNT        BALANCE
<S>     <C>            <C>            <C>           <C>          <C>            <C>                <C>          <C>
   A-1    62,442,000.00  55,395,905.58  2,782,920.29   305,139.11   3,088,059.40     52,612,985.29       
   A-2    28,489,000.00  28,489,000.00          0.00   160,962.85     160,962.85     28,489,000.00       
   A-3    26,630,000.00  26,630,000.00          0.00   154,897.83     154,897.83     26,630,000.00       
   A-4    10,730,000.00  10,730,000.00          0.00    63,485.83      63,485.83     10,730,000.00       
   A-5    24,786,000.00  24,786,000.00          0.00   151,607.70     151,607.70     24,786,000.00       
   A-6    15,882,000.00  15,882,000.00          0.00   102,571.25     102,571.25     15,882,000.00       
   A-7    16,041,000.00  16,041,000.00          0.00   106,271.63     106,271.63     16,041,000.00  2,383,438.31    177,554,423.60
   A-8    15,000,000.00  13,399,063.08    612,014.64    80,737.17     692,751.81     12,787,048.44    119,130.92     12,906,179.36
   S-I            N/A           N/A            N/A       1,580.24       1,580.24            N/A
   R              N/A           N/A            N/A       2,321.05       2,321.05            N/A       
   TOTALS 200,000,000.00 191,352,968.66 3,394,934.93 1,129,574.66   4,524,509.59    187,958,033.73   2,502,569.23   190,460,602.96
                                    
</TABLE>    


   FACTOR INFORMATION PER $1,000   
               
               
         PRINCIPAL       INTEREST       END. CERT.
  CLASS  DISTRIBUTION   DISTRIBUTION     BALANCE
               
   A-1   44.56808382     4.88676067      842.58968786
   A-2    0.00000000     5.65000000     1000.00000000
   A-3    0.00000000     5.81666654     1000.00000000
   A-4    0.00000000     5.91666636     1000.00000000
   A-5    0.00000000     6.11666667     1000.00000000
   A-6    0.00000000     6.45833333     1000.00000000
   A-7    0.00000000     6.62500031     1000.00000000
   A-8   40.80097600     5.38247800      852.46989624
TOTALS   16.97467465     2.435822989      939.7901687     
                                        
                                        
        PASS THRU RATES       
          
          INIT PASS       CURR PASS
CLASS     THRU RATE       THRU RATE
          
   A-1    6.61000000%    6.61000000%
   A-2    6.78000000%    6.78000000%
   A-3    6.98000000%    6.98000000%
   A-4    7.10000000%    7.10000000%
   A-5    7.34000000%    7.34000000%
   A-6    7.75000000%    7.75000000%
   A-7    7.95000000%    7.95000000%
   A-8    7.23936131%    7.23070000%
          
                          
          
          
          
          
          
IF THERE ARE ANY QUESTIONS OR PROBLEMS WITH THIS STATEMENT, PLEASE 
CONTACT THE ADMINISTRATOR LISTED BELOW:

          
          
     EILEEN ROONEY  
     THE CHASE MANHATTAN BANK - ASPG
     450 WEST 33RD STREET, 15TH FLOOR
     NEW YORK, NEW YORK 10001
     (212) 946-3185 
          
<PAGE>
          
                        IMC HOME EQUITY LOAN TRUST                     
                  MORTGAGE PASS-THROUGH CERTIFICATES                     
                              SERIES 1996-2                           
                              
                              
DISTRIBUTION:  26-Aug-96                                           PAGE #    2
<TABLE>
<CAPTION>                              
                                                                                GROUP I       GROUP II  
<S>                                                                    <C>                 <C>                             
SECTION 7.08 (1)    BEGINNING CERTIFICATE ACCOUNT                             3,864,957.11   695,420.00     
                              
SECTION 7.08 (2)    CLASS A DISTRIBUTION AMOUNT                               4,520,608.30        
                    CLASS S-I DISTRIBUTION AMOUNT                                 2,321.05       
                              
                                                                                GROUP I       GROUP II  
                              
SECTION 7.08 (3)    SUBORDINATION INCREASE AMOUNT                               588,995.73     28,439.47 
                              
SECTION 7.08 (4)    INSURED PAYMENT                                              0.00 0.00 
                              
SECTION 7.08 (6)    BEGINNING CLASS A CERTIFICATE PRINCIPAL BALANCE         177,953,905.58      
                    CLASS A PRINCIPAL DISTRIBUTION                            2,782,920.29        
                    ENDING CLASS A CERTIFICATE PRINCIPAL BALANCE            187,958,033.73      
                              
SECTION 7.08 (7)    REALIZED LOSSES                                                   0.00      
                              
                                                                                 GROUP I        GROUP II  
                              
SECTION 7.08 (8)    SUBORDINATION REDUCTION AMOUNT                                    0.00         0.00 
                              
SECTION 7.08 (9) (A)PRE-FUNDED AMOUNT PREVIOUSLY USED TO PURCHASE              
                    SUBSEQUENT MORTGAGE LOANS                                         0.00         0.00 
                 (B)PRE-FUNDED AMOUNT DISTRIBUTED AS A CLASS A PRINCIPAL                  
                    DISTRIBUTION AMOUNT                                               0.00         0.00 
                 (C)PRE-FUNDING ACCOUNT EARNINGS TRANSFERRED TO THE             
                    CAPITALIZED INTEREST ACCOUNT                                      0.00         0.00 
                 (D)THE AMOUNTS TRANSFERRED FROM THE CAPITALIZED INTEREST            
                    ACCOUNT TO THE CERTIFICATE ACCOUNT                                0.00      
                    THE AMOUNTS TRANSFERRED FROM THE CAPITALIZED INTEREST            
                    ACCOUNT TO THE DEPOSITOR                                          0.00      
                              
SECTION 7.08 (10)   THE AMOUNT BY WHICH THE SERVICING FEE IS REDUCED   0.00      
                    DUE TO GROUP I UNDERWATER LOANS                                           PER $1000 
SECTION 7.09 (a)(i) CLASS A-1 DISTRIBUTION                                    3,088,059.40        49.45     
     CLASS A-2 DISTRIBUTION                                                     160,962.85         5.65 
     CLASS A-3 DISTRIBUTION                                                     154,897.83         5.82 
     CLASS A-4 DISTRIBUTION                                                      63,485.83         5.92 
     CLASS A-5 DISTRIBUTION                                                     151,607.70         6.12 
     CLASS A-6 DISTRIBUTION                                                     102,571.25         6.46 
     CLASS A-7 DISTRIBUTION                                                     106,271.63         6.63 
     CLASS A-8 DISTRIBUTION                                                     692,751.81        46.18     
     CLASS R DISTRIBUTION                                                         2,321.05       
                              
SECTION 7.09 (a)(ii)     GROUP I CLASS A PRINCIPAL DISTRIBUTION                 
                                            INSTALLMENT PRINCIPAL COLLECTED    133, 776.37         0.72 
                                            PRINCIPAL PREPAYMENTS             2,060,148.19        11.14     
                                            SUBORDINATION INCREASE AMOUNT       588,995.73         3.18 
                                            PRIN PREPAY FROM PRE-FUND ACCT            0.00         0.00 
                                            OTHER                                     0.00         0.00 
                              
     GROUP II CLASS A-8 PRINCIPAL DISTRIBUTION              
                                            INSTALLMENT PRINCIPAL COLLECTED       5,704.90         0.38 
                                            PRINCIPAL PREPAYMENTS               577,870.27        38.52     
                                            SUBORDINATION INCREASE AMOUNT        28,439.47         1.90 
                                            PRIN PREPAY FROM PRE-FUND ACCT            0.00         0.00 
                                            OTHER                                     0.00         0.00 
                              
SECTION 7.09 (a)(iv)     
     CLASS A-1 CARRYFORWARD                                                           0.00      
     CLASS A-2 CARRYFORWARD                                                           0.00      
     CLASS A-3 CARRYFORWARD                                                           0.00      
     CLASS A-4 CARRYFORWARD                                                           0.00      
     CLASS A-5 CARRYFORWARD                                                           0.00      
     CLASS A-6 CARRYFORWARD                                                           0.00      
     CLASS A-7 CARRYFORWARD                                                           0.00      
     CLASS A-8 CARRYFORWARD                                                           0.00      
     CLASS S-I CARRYFORWARD                                                           0.00      
                              
SECTION 7.09 (a)(v) 
     INSURED PAYMENT INCLUDED IN CLASS A DISTRIBUTION                                 0.00      
     INSURED PAYMENT INCLUDED IN CLASS S-I DISTRIBUTION                               0.00  
                              
</TABLE>
                              
(C) COPYRIGHT 1995, CHEMICAL BANKING CORPORATION                 
<PAGE>

                        
                              IMC HOME EQUITY LOAN TRUST                     
                          MORTGAGE PASS-THROUGH CERTIFICATES  
                                    SERIES 1996-2                           
                              
                              
DISTRIBUTION:  26-Aug-96                                           PAGE #    3

<TABLE>
<CAPTION>                              
                           
                                                                               GROUP I       GROUP II
<S>                                                                    <C>                 <C>
SECTION 7.09 (a)(vi)     
     ENDING AGGREGATE LOAN BALANCE                                          177,554,423.60  12,906,179.36 
                              
     ENDING NUMBER OF LOANS                                                           2818            155  

     ENDING CERTIFICATE BALANCE:                                                              PER $1000    
                                   CLASS A-1                                 52,612,985.29    842.5896879  
                                   CLASS A-2                                 28,489,000.00           1000 
                                   CLASS A-3                                 26,630,000.00           1000 
                                   CLASS A-4                                 10,730,000.00           1000 
                                   CLASS A-5                                 24,786,000.00           1000 
                                   CLASS A-6                                 15,882,000.00           1000 
                                   CLASS A-7                                 16,041,000.00           1000 
                                   CLASS A-8                                 12,787,048.44    852.4698965

SECTION 7.09 (a)(vii)                                                           GROUP I         GROUP II  
                              
     SUBORDINATED AMOUNT                                                              0.00           0.00
SECTION 7.09 (a)(ix)     
     SUBORDINATION DEFICIT                                                            0.00           0.00                     
     SUBSTITUTION AMOUNTS INCLUDED IN DISTRIBUTION                                    0.00      

SECTION 7.09 (a)(x) 
     LOAN PURCHASE PRICE AMTS INCLUDED IN DISTRIBUTION                                0.00
                              
                              
SECTION 7.09 (a)(xii)    
     WEIGHTED AVERAGE COUPON RATE                                               11.641400%     10.434900%     
                              
                              
SECTION 7.09 (a)(xiii)   
     WEIGHTED GROSS MARGIN OF THE HOME EQUITY LOANS IN GROUP II                  4.596600%      
                              
                              
SECTION 7.09 (a)(xiv)    
     LARGEST MORTGAGE LOAN BALANCE OUTSTANDING                                  524,481.77     356,820.85     
                              
                              
SECTION 7.09 (b)(i) REMAINING PRE-FUNDED AMOUNT                                       0.00           0.00 

</TABLE>

     NUMBER AND AGGREGATE PRINCIPAL BALANCES OF DELINQUENT MORTGAGE LOANS:*

                              
     GROUP I                       
                              
     CATEGORY     COUNT   AGG. PRIN. BAL.     PERCENTAGE          
     30-59 DAYS     51     3,879,372.06         2.16%          
     60-89 DAYS     22     1,443,017.50         0.80%          
     90 + DAYS      27     2,538,526.17         1.41%          
                              
     GROUP II                      
                              
     CATEGORY     COUNT   AGG. PRIN. BAL.     PERCENTAGE          
     30-59 DAYS      3      215,705.45          1.60%          
     60-89 DAYS      0            0.00          0.00%          
     90 + DAYS       0            0.00          0.00%          
                              
                              
                              
     AGGREGATE                     

     CATEGORY     COUNT   AGG. PRIN. BAL.     PERCENTAGE
     30-59 DAYS     54     4,095,077.51          2.12%          
     60-89 DAYS     22     1,443,017.50          0.75%          
     90 + DAYS      27     2,538,526.17          1.31%          
                              
     *The number and aggrgate principal balance of delinquent 
      loans includes loans in foreclosure and bankruptcy   
                              
                              
<PAGE>
                              
                              
                              IMC HOME EQUITY LOAN TRUST                     
                        MORTGAGE PASS-THROUGH CERTIFICATES  
                                    SERIES 1996-2                             
                              
                              
                              
DISTRIBUTION:    26-Aug-96                                     PAGE #    4
                              
<TABLE>
<CAPTION>                              
                              
                                                                             GROUP I        GROUP II       TOTAL
<S>                                                                     <C>              <C>          <C>                           
SECTION 7.09 (b)(ii)  NUMBER OF LOANS IN FORECLOSURE                            11              0            11

                      AGGREGATE PRINCIPAL BALANCE OF LOANS IN FORCLOSURE   1,146,824.53         0.00     1,146,824.53

                      NUMBER OF LOANS IN FORECLOSURE THAT WERE COMMENCED         8              0              8
                      IN THE PRIOR MONTH                 

                      AGGREGATE PRINCIPAL BALANCE OF LOANS IN FORECLOSURE    707,824.53         0.00       707,824.53
                      THAT WERE COMMENCED IN THE PRIOR MONTH            

SECTION 7.09 (b)(iii) NUMBER OF LOANS IN BANKRUPTCY                             11              0             11

                      AGGREGATE PRINCIPAL BALANCE OF LOANS IN BANKRUPTCY     684,656.35          0.00      684,656.35

                      NUMBER OF LOANS THAT ARE "BALLOON" LOANS                1,255             1             1256

                      AGG PRIN BALANCE OF LOANS THAT ARE "BALLOON LOANS"  97,475,999.00     30,595.98   97,506,594.98

SECTION 7.09 (b)(iv)  NUMBER OF REO PROPERTIES                                   0               0              0

                      AGGREGATE PRINCIPAL BALANCE OF REO PROPERTIES                0.00        0.00              0.00

SECTION 7.09 (b)(v)   BOOK VALUE OF REO PROPERTY                                   0.00        0.00              0.00 

SECTION 7.09 (b)(vi)  CUMULATIVE LOSS PERCENTAGE                            0.00000000%    0.00000000%    0.00000000%

                      CUMULATIVE REALIZED LOSSES                                   0.00        0.00              0.00

                      CURRENT PERIOD REALIZED LOSSES                               0.00        0.00              0.00

                      ANNUAL LOSS PERCENTAGE (ROLLING 6 MONTH)              0.00000000%    0.00000000%    0.00000000%

                      ANNUAL LOSS PERCENTAGE (ROLLING 12 MONTH)             0.00000000%    0.00000000%    0.00000000%

SECTION 7.09 (b)(vii) 60 + DELINQUENCY PERCENTAGE                           1.07805634%    0.00000000%    1.00332271%
                           
        
</TABLE>                   
                           
                           
                              
(C) COPYRIGHT 1995, CHEMICAL BANKING CORPORATION  


<PAGE>

                           IMC HOME EQUITY LOAN TRUST                     
                     MORTGAGE PASS-THROUGH CERTIFICATES                       
                                 SERIES 1996-2                             
                              
                              
DISTRIBUTION:    26-Aug-96                     
                              
                              
                              
                              
                              
                              
                              
          RANGE                SMM        CPR       
          JULY                 1.15%     12.93%         
          JUNE                 0.92%     10.47%         
          MAY                  1.17%     13.12%         
          APRIL                0.59%      6.89%          
                              
                              
                              
                              
   (C) COPYRIGHT 1995, CHEMICAL BANKING CORPORATION                   


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