FINANCIAL ASSETS SEC CORP MEGO MORT FHA TITLE I LOAN 1996-1
8-K, 1997-06-26
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 25, 1997


                    FINANCIAL ASSET SECURITIES CORP.,               
               (as depositor under the Pooling and Servicing
              Agreement, dated as of March 1, 1996, providing
           for the issuance of Financial Asset Securities Corp.,
               Mego Mortgage FHA Title I Loan Trust 1996-1,
                FHA Title I Loan Asset-Backed Certificates,
                              Series 1996-1).

          (Exact name of registrant as specified in its charter)



              Delaware              33-99018-03            41-1836604   
(State or Other Jurisdiction              (Commission        (I.R.S.
Employer
of Incorporation)                   File Number)       Identification No.)


600 Steamboat Road
Greenwich, Connecticut                                  06830   
(Address of Principal Executive Offices)               (Zip Code)



Registrant's telephone number, including area code:     (203) 625-2700

Item 5.       Other Events

              On behalf of Mego Mortgage FHA Title I Loan
              Trust 1996-1, FHA Title I Loan Asset-Backed
              Certificates, Series 1996-1, a Trust created
              pursuant to the Pooling and Servicing
              Agreement, dated March 1, 1996, by First Trust
              of New York, National Association, as trustee for
              the Trust, the Trustee has caused to be filed with
              the Commission, the Monthly Report dated June
              25, 1997.  The Monthly Report is filed pursuant
              to and in accordance with (1) numerous no-
              action letters (2) current Commission policy in
              the area.  The filing of the Monthly Report will
              occur subsequent to each monthly distribution to
              the holders of the  Certificates, Due September
              25, 2017.

              A.    Monthly Report Information:
                    Aggregate distribution information for the current
                    distribution date June 25, 1997.
              
                    Principal     Interest      Ending Balance      

       Cede & Co $1,535,117.63    $443,345.30   $65,809,378.65
              
              
              B.    No delinquency in payment under the Certificate
                    Guaranty Insurance Policy has occurred.

              C.    Have any deficiencies occurred?   NO.
                           Date:
                           Amount:

              D.    Were any amounts paid or are any amounts payable
                    under the Certificate Guaranty Insurance Policy?   NO
                           Amount:

              E.    Are there any developments with respect to the
                    Certificate Insurance Guaranty Policy?   NONE.
              
              F.    Item 1: Legal Proceedings:         NONE

              G.    Item 2: Changes in Securities:     NONE
       
              H     Item 4: Submission of Matters to a Vote of
                    Certificatholders:  NONE

              I.    Item 5: Other Information - Form 10-Q, Part II - Items
                    1,2,4,5 if applicable:  NOT APPLICABLE



Item 7. Monthly Statements and Exhibits

        Exhibit No.

              1.    Monthly Distribution Report dated June 25, 1997.


              MEGO MORTGAGE CORPORATION
     FHA TITLE I LOAN ASSET-BACKED CERTIFICATES
                  SERIES 1996-1


                  CERTIFICATE HOLDERS' REPORT
Distribution Date:  25-Jun-97



       Beginning                                           Ending
      Certificate  Principal    Interest      Total      Certificate
Class   Balance   DistributionDistribution Distribution    Balance

 A-1  29001496.28  1535117.63   158299.83    1693417.46  27466378.65
 A-2  21580000.00        0.00   124085.00     124085.00  21580000.00
 A-3  16763000.00        0.00   104768.75     104768.75  16763000.00
  S   67430059.68 NA             56191.72      56191.72  65838040.10
  R            NA NA                 0.00          0.00 NA


Total 67344496.28  1535117.63   443345.30    1978462.93  65809378.65

           AMOUNTS PER $1,000 UNIT

                                              Ending       Current
       Principal    Interest     Total     Certificate  Pass-Through
ClassDistribution DistributionDistribution   Balance    Interest Rate

 A-1  33.79083491  3.48447788 37.27531279  604.58680718       6.5500%
 A-2   0.00000000  5.75000000  5.75000000 1000.00000000       6.9000%
 A-3   0.00000000  6.25000000  6.25000000 1000.00000000       7.5000%
S (a)  0.00000000  0.66740971  0.66740971  781.98259786       1.0000%


                  Trustee's Certificate
     Pooling and Servicing Agreement Dated March 21, 1996

i) Interest from Mortgagors / Master Servicer                         802927.03
   Interest from Purchased Loans                                           0.00
   Interest from Defaulted Mortgage Loans                               2511.05
                                                                      805438.08

   Principal Collections (Regular Installments)                       131288.21
   Principal Collections (Curtailments and Paid in Fulls)             795109.83
   Principal from Purchased Loans                                          0.00
   Principal from Defaulted Mortgage Loans                            401480.06
                                                                     1327878.10

   Collected Amount                                                  2133316.18
   Deposits Pursuant to Sec. 4.03 (e) - Reserve Account Deposits           0.00
   Amount Deposited Pursuant to Section 2.04 (d)  Substitutions         4445.99
   Distribution Amount                                               2137762.17
   Insured Payments                                                        0.00
   Amount Available                                                  2137762.17

ii)  Pool Balance Information:
     Beginning Pool Balance                 67430059.68
     less: Principal Collections              926398.04
     less: Principal Losses                        0.00
     Ending Pool Balance                    66503661.64

                                              Before        After
iii)  Class A Factors:                    Distributions Distributions
          Class A-1                          0.63837764   0.60458681
          Class A-2                          1.00000000   1.00000000
          Class A-3                          1.00000000   1.00000000

                                             Computed    Distributed
                                              Amount       Amount     Shortfall
iv)  Class A Monthly Interest Amount          387153.58    387153.58       0.00
     Class A Principal Distribution Amount   3091151.96   1535117.63 1556034.33
      (limited to the Overcolleralization Amount)
      Class A Distribution of
       Distributable Excess Spread                 0.00         0.00       0.00
         Class A Guaranteed Distribution           0.00         0.00       0.00

v)   Excess Spread                                                         0.00
     Distributable Excess Spread                                           0.00

vi)  FHA Premium Account Deposit                                       13863.89
      Servicer Fee                                                     70239.65
      Master Servicer Fee                                               4495.34
      Master Servicer Reimbursement                                    47710.69
      Trustee Fee                                                       2247.67
      Premium                                                          20742.00
      Reimbursement Amount distributed to the Certificate Insurer          0.00
      Successor Master Servicer Fees                                       0.00
      Priority Expenses                                                    0.00
      Excess Claim Amount                                                  0.00


vii)  Collateral Performance Percentages
        30+ Delinquency Percentage (Rolling Three Month)                10.3584%
        60+ Delinquency Percentage (Rolling Three Month)                 5.3319%
        Annual Default Percentage (Three Month Average)                 10.9730%
        Cumulative Default Percentage                                    7.2148%


viii)  Overcollateralization Information:
         OC Multiple                                                       2.50
         Required OC Amount                                          7366952.31
         Overcollateralization Amount (before distributions)           85563.40
         Overcollateralization Amount (after distributions)           694282.99


ix)  Default Information:
                                                      Current Period Cumulative
           Principal Balance of Defaulted Loans            665621.54 5749600.17
           Principal Balance of Credit Support Multiple    665621.54 5749600.17


x)   FHA Insurance Information:

         Trust Designated Insurance Amount  (at the Cut-off Date)    8419374.00

                     Number      Number      Balance       Balance
                  Current Peri Cumulative Current Period Cumulative
    Claims Filed           27         218     558016.37   4140392.82
    Claims Pending         23          NA     448659.80           NA
    Claims Paid            23          83     401065.62   1435194.16


                                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 thereunto duly authorized.

                    FINANCIAL ASSET SECURITIES CORPORATION
                    



                           By 
                           Name:  Lynn Steiner
                           Title: Assistant Vice President, First Trust
                                  of New York, National Association


Dated:        June 30, 1997



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