AMRESCO RESIDENTIAL SECURITIES CORP MORT LOAN TRUST 1996-3
8-K, 1996-08-08
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):
                          June 20, 1996
                                
                                
    AMRESCO Residential Securities Corporation on behalf of:
                                
 AMRESCO Residential Securities Corporation Mortgage Loan Trust
                             1996-3
     (Exact name of registrant as specified in its charter)
                                
                                
                                
                                
                                                      
                                                      
          New York             33-99346.03        Pending
(State or Other Jurisdiction   (Commission    (I.R.S. Employer
      of Incorporation)       File Number)  Identification No.)
              
  c/o Bankers Trust Company                           
     of California, N.A.                              
  3 Park Plaza, 16th Floor                            
     Irvine, California                            92714
                                                      
    (Address of Principal                        (Zip Code)
     Executive Offices)
                                
Registrant's telephone number, including area code (909) 605-7600
                                
                              No Change
  (Former name or former address, if changed since last report)
                                
Page 1
<PAGE>                                

Item 5.   Other Events.
        Information    relating   to   the    distributions    to
Certificateholders for the period from June 28, 1996 to July  25,
1996 (the "Monthly Period") of the AMRESCO Residential Securities
Corporation  Mortgage  Loan  Trust 1996-3  (the  "Registrant"  or
"Trust")   in   respect  of  the  Mortgage  Loan   Asset   Backed
Certificates, Series 1996-3, Class A (the "Certificates")  issued
by  the  Registrant and the performance of the  Trust  (including
distributions of principal and interest, delinquent  balances  of
mortgage  loans, and the subordinated amount remaining), together
with  certain other information relating to the Certificates,  is
contained  in the Monthly Report for the Monthly Period  provided
to  Certificateholders  pursuant to  the  Pooling  and  Servicing
Agreement  dated  as  of June 1, 1996, among AMRESCO  Residential
Securities  Corporation  in its capacity  as  Depositor,  AMRESCO
Residential  Mortgage Corporation in its capacity as the  Seller,
Long Beach Mortgage Company and Advanta Mortgage Corp. USA as the
Servicers,  and  Bankers  Trust Company of  California,  N.A.,  a
national banking association, in its capacity as the trustee.


Item 7.   Exhibit.

      Monthly  Report  for  the Monthly Period  relating  to  the
Certificates issued by the Trust.


                           SIGNATURE


      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:    AMRESCO  Residential  Securities
                                 Corporation

                          By: /s/Ronald B. Kirkland
                             Name:      Ronald B. Kirkland
                             Title:     Vice President and
                                        Chief Accounting Officer



Dated:  August 8, 1996




<PAGE>
                  AMRESCO RESIDENTIAL SECURITIES CORPORATION 
                             MORTGAGE LOAN TRUST             
                                SERIES 1996-3                
                                   REVISED                   
                       STATEMENT TO CERTIFICATEHOLDERS       

<TABLE>
- --------------------------------------------------------------------------------------------------------------------- 
                                          DISTRIBUTIONS IN DOLLARS   
                                 PRIOR                                                                        CURRENT 
              ORIGINAL       PRINCIPAL                                             REALIZED  DEFERRED       PRINCIPAL 
CLASS       FACE VALUE         BALANCE       INTEREST     PRINCIPAL         TOTAL    LOSSES  INTEREST         BALANCE 
- --------------------------------------------------------------------------------------------------------------------- 
<S>      <C>             <C>               <C>         <C>           <C>           <C>       <C>       <C>            
A-1      70,892,000.00   70,892,000.00     383,156.88    888,357.66  1,271,514.54      0.00      0.00   70,003,642.34 
A-2      27,106,000.00   27,106,000.00     158,118.33          0.00    158,118.33      0.00      0.00   27,106,000.00 
A-3      34,146,000.00   34,146,000.00     207,721.50          0.00    207,721.50      0.00      0.00   34,146,000.00 
A-4      17,049,000.00   17,049,000.00     106,201.06          0.00    106,201.06      0.00      0.00   17,049,000.00 
A-5      22,626,000.00   22,626,000.00     142,355.25          0.00    142,355.25      0.00      0.00   22,626,000.00 
A-6      26,857,000.00   26,857,000.00     176,249.06          0.00    176,249.06      0.00      0.00   26,857,000.00 
A-7      26,205,000.00   26,205,000.00     176,337.81          0.00    176,337.81      0.00      0.00   26,205,000.00 
A-8      42,196,000.00   42,196,000.00     237,496.32    377,635.54    615,131.86      0.00      0.00   41,818,364.46 
B-IO              0.00            0.00           0.00          0.00          0.00      0.00      0.00            0.00 
R                 0.00            0.00           0.00          0.00          0.00      0.00      0.00            0.00 




- -----------------------------------------------------------------------------------------------------------------------  
TOTALS  267,077,000.00  267,077,000.00   1,587,636.21  1,265,993.20  2,853,629.41      0.00      0.00  265,811,006.80    
- -----------------------------------------------------------------------------------------------------------------------  

- -----------------------------------------------------------------------------------------------------------------------  
                      FACTOR INFORMATION PER $1000 OF ORIGINAL FACE                                   PASS-THROUGH       
                                 PRIOR                                                 CURRENT             RATES         
                             PRINCIPAL                                               PRINCIPAL  
CLASS            CUSIP         BALANCE       INTEREST     PRINCIPAL       TOTAL        BALANCE       CURRENT       NEXT  
- -----------------------------------------------------------------------------------------------------------------------  
A-1          03215PAJ8    1,000.000000       5.404797     12.531141   17.935938       987.468859   5.559220%   5.547500% 
A-2          03215PAK5    1,000.000000       5.833333      0.000000    5.833333     1,000.000000   7.000000%   7.000000% 
A-3          03215PAL3    1,000.000000       6.083333      0.000000    6.083333     1,000.000000   7.300000%   7.300000% 
A-4          03215PAM1    1,000.000000       6.229167      0.000000    6.229167     1,000.000000   7.475000%   7.475000% 
A-5          03215PAN9    1,000.000000       6.291667      0.000000    6.291667     1,000.000000   7.550000%   7.550000% 
A-6          03215PAP4    1,000.000000       6.562500      0.000000    6.562500     1,000.000000   7.875000%   7.875000% 
A-7          03215PAQ2    1,000.000000       6.729167      0.000000    6.729167     1,000.000000   8.075000%   8.075000% 
A-8          03215PAR0    1,000.000000       5.628408      8.949558   14.577966       991.050442   5.789220%   5.777500% 
B-IO                          0.000000       0.000000      0.000000    0.000000         0.000000   0.000000%   0.000000% 
R                             0.000000       0.000000      0.000000    0.000000         0.000000   0.000000%   0.000000% 

- -----------------------------------------------------------------------------------------------------------------------  
DEPOSITOR:             AMRESCO Residential Securities Corporation         ADMINISTRATOR:          Timothy Lewis          
SERVICERS:               Long Beach Mortgage/Advanta Mortgage                                 Bankers Trust Company      
LEAD UNDERWRITER:          Prudential Securities Incorporated                                     3 Park Plaza           
RECORD DATE:                          June 28, 1996                                             Irvine, CA 92714         
DISTRIBUTION DATE:                    July 25, 1996                  FACTOR INFORMATION:         (800) 735-7777          
- -----------------------------------------------------------------------------------------------------------------------  
                                                   Page 1 of 4                 -C- COPYRIGHT 1996 Bankers Trust Company  

</TABLE>

<PAGE>
                  AMRESCO RESIDENTIAL SECURITIES CORPORATION 
                             MORTGAGE LOAN TRUST             
                                SERIES 1996-3                
                                   REVISED                   
                       STATEMENT TO CERTIFICATEHOLDERS       

<TABLE>
- -------------------------------------------------------------------------------------------------------------------- 
DISTRIBUTION DATE:      July 25, 1996
- -------------------------------------------------------------------------------------------------------------------- 
<S>                          <C>              <C>              <C>                        <C>           <C>          
                                                                                          GROUP 1         GROUP 2    
                                                                                          -------         -------    
SERVICER ADVANCES:                                                                        416,310.07       76,025.22 

ACCRUED SERVICING FEE FOR THE CURRENT PERIOD:                                              88,196.63       15,825.69 
PLUS ADDITIONAL SERVICING COMPENSATION:                                                         0.00            0.00 
                                                                                           ---------       --------- 
TOTAL SERVICING FEES DUE MASTER SERVICER:                                                  88,196.63       15,825.69 

 LESS: AMOUNTS TO COVER INTEREST SHORTFALLS:                                                  639.92          235.41 
 LESS: DELINQUENT SERVICE FEES:                                                            20,868.97        3,764.21 
                                                                                           ---------       --------- 
COLLECTED SERVICING FEES FOR CURRENT PERIOD:                                               66,687.74       11,826.07 
                                                                                            0.249695        0.044280 
- -------------------------------------------------------------------------------------------------------------------- 
DELINQUENT AND                                                                               LOANS          LOANS    
FORECLOSURE LOAN              30 TO 59         60 TO 89         90 PLUS                        IN             IN     
INFORMATION*                    DAYS             DAYS            DAYS                     BANKRUPTCY     FORECLOSURE 
- -------------------------------------------------------------------------------------------------------------------- 
GROUP 1 (Fixed Rate)                                                                                                 
- --------------------
PRINCIPAL BALANCE            4,171,374.40       508,626.26        85,360.16               191,434.58       85,400.00 
NUMBER OF LOANS                        52                5                1                        2               1 
                                    1.85%            0.23%            0.04%                    0.09%           0.04% 
- -------------------------------------------------------------------------------------------------------------------- 
GROUP 2 (Adjustable Rate) 
- ------------------------- 
PRINCIPAL BALANCE              729,028.29       102,237.04       351,466.60               74,980.80      269,100.00 
NUMBER OF LOANS                         8                2                5                       1               4 
                                    1.74%            0.24%             0.84%                  0.18%           0.64% 
- -------------------------------------------------------------------------------------------------------------------- 

  TOTAL
- -----------------  
PRINCIPAL BALANCE            4,900,402.69       610,863.30       436,826.76              266,415.38      354,500.00 
NUMBER OF LOANS                        60                7                6                       3               5 
                                    1.84%            0.23%            0.16%                   0.10%           0.13% 
- -------------------------------------------------------------------------------------------------------------------- 
*Delinquencies are inclusive of Foreclosures and Bankruptcies


REALIZED LOSS INFORMATION:
                                           -------------------------------------------------------------------- 
                                                                                 GROUP 1    GROUP 2    TOTAL    
                                                                             ---------------------------------- 

                                           PRIOR REALIZED LOSSES:                      0.00       0.00     0.00 
                                             PLUS: CURRENT REALIZED LOSSES             0.00       0.00     0.00 
                                                                             ---------------------------------- 
                                           CUMULATIVE REALIZED LOSSES:                 0.00       0.00     0.00 
                                                                             ---------------------------------- 
                                                                             ---------------------------------- 

                                           -------------------------------------------------------------------- 


                                                 Page 2 of 4                -C- COPYRIGHT 1996 Bankers Trust Company 


</TABLE>

<PAGE>
                  AMRESCO RESIDENTIAL SECURITIES CORPORATION 
                             MORTGAGE LOAN TRUST             
                                SERIES 1996-3                
                                   REVISED                   
                       STATEMENT TO CERTIFICATEHOLDERS       


<TABLE>
- --------------------------------------------------------------------------------------------------------------------
DISTRIBUTION DATE:      July 25, 1996 
- --------------------------------------------------------------------------------------------------------------------

                                                                         GROUP 1           GROUP 2 
                                                                  --------------     ------------- 
<S>                                                                    <C>                 <C>
BEGINNING NUMBER OF LOANS:                                                  2092               387 
ENDING NUMBER OF LOANS:                                                     2085               384 

BEGINNING PRINCIPAL BALANCE OF POOL:                              212,505,851.34     38,797,666.04 
ENDING PRINCIPAL BALANCE OF POOL:                                 224,926,962.72     41,887,553.72 
  GROUP FACTOR:                                                       99.743293%        99.265096% 

LARGEST LOAN BALANCE                                                  496,557.53        486,628.67 

WEIGHTED AVERAGE TERM TO MATURITY:                                           323               324 

CURRENT WEIGHTED AVERAGE MORTGAGE RATE:                                9.870806%         9.923927% 
NEXT WEIGHTED AVERAGE MORTGAGE RATE:                                   9.869264%         9.911381% 

PRINCIPAL PREPAYMENTS:
  NUMBER OF LOANS (IF PAID IN FULL):                                           7                 3 
  PRINCIPAL BALANCE:                                                  460,891.64        297,510.96 
  AMOUNT PER $1000 CERTIFICATE:                                         6.501321         10.975834 

PREPAYMENT INTEREST SHORTFALL AMOUNT INCLUDED IN DISTRIBUTION:            639.92            235.41 
NONCOVERED PREPAYMENT INTEREST SHORTFALL FOR THIS DISTRIBUTION:             0.00              0.00 

REO PROPERTY INFORMATION:
  BOOK VALUE OF REAL ESTATE ACQUIRED THROUGH FORECLOSURE:                   0.00              0.00 
  AGGREGATE PRINCIPAL BALANCE OF REO LOANS:                                 0.00              0.00 
  NUMBER OF REO LOANS:                                                         0                 0 
 
AVAILABLE FUNDS:                                                    2,238,718.91        615,172.27 

INSURED PAYMENT:                                                            0.00              0.00 

CLASS A PRINCIPAL DISTRIBUTION BREAKDOWN:
  SCHEDULED PRINCIPAL:                                                118,020.55         12,632.65 
  PRINCIPAL PREPAYMENTS:                                              437,385.64        286,786.76 
  CURTAILMENTS:                                                        23,506.00         10,724.20 
  SUBORDINATION INCREASE AMOUNT:                                      309,445.47         67,491.93 
  PRE-FUNDED AMOUNTS DISTRIBUTED AS PREPAYMENTS:                            0.00              0.00 
                                                                    ------------        ---------- 
  TOTALS:                                                             888,357.66        377,635.54 

REMAINING PRE-FUNDING AMOUNT AVAILABLE:                                     0.00              0.00 


- -------------------------------------------------------------------------------------------------- 
                              Page 3 of 4                 -C- COPYRIGHT 1996 Bankers Trust Company 

</TABLE>

<PAGE>

                  AMRESCO RESIDENTIAL SECURITIES CORPORATION 
                             MORTGAGE LOAN TRUST             
                                SERIES 1996-3                
                                   REVISED                   
                      STATEMENT TO CERTIFICATEHOLDERS        


<TABLE>
- --------------------------------------------------------------------------------------------------------------------
DISTRIBUTION DATE:      July 25, 1996 
- --------------------------------------------------------------------------------------------------------------------

                                                                         GROUP 1           GROUP 2 
                                                                    ------------      ------------ 
<S>                                                                    <C>                 <C>     
SUBORDINATION AMOUNTS:
  SUBORDINATED AMOUNT:                                                624,874.91          1,697.33 
  REQUIRED SUBORDINATION AMOUNT:                                    6,201,410.91      1,012,743.98 
  EXCESS SUBORDINATION AMOUNT:                                              0.00              0.00 
  SUBORDINATION DEFICIT:                                                    0.00              0.00 
 
UNREIMBURSED MONTHLY ADVANCES:                                              0.00              0.00 

CUMULATIVE LOSS PERCENTAGE                                             0.000000%         0.000000% 
90+DELINQUENCY PERCENTAGE                                              0.012650%         0.279691% 

INSURER PREMIUM AMOUNT:                                                     0.00              0.00 
TRUSTEE FEE AMOUNT:                                                       221.36             40.41 

INTEREST ADJUSTMENT TO SCHEDULED INTEREST                                   0.00              0.00 

ONE-MONTH LIBOR ON THE MOST RECENT ONE-MONTH LIBOR DEETERMINATION DATE:                  5.464840% 
(NOT APPLICABLE FOR FIRST PAYMENT DATE)




- -------------------------------------------------------------------------------------------------- 
                              Page 4 of 4                 -C- COPYRIGHT 1996 Bankers Trust Company 

</TABLE>






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