OAKWOOD MORTGAGE INVESTORS INC OMI TRUST 1996-B
8-K, 1997-01-22
ASSET-BACKED SECURITIES
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THIS DOCUMENT IS A COPY OF THE FORM 8-K FILED ON AUGUST 29, 1996
PURSUANT TO A RULE 201 TEMPORARY HARDSHIP EXEMPTION.


                       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 15, 1996.
                                                      ----------------
                                OMI Trust 1996-B
            -------------------------------------------------------
               (Exact name of registrant as specified in charter)


     Pennsylvania                 33-99320               Applied for
- -------------------------------------------------------------------------
   (State or other jurisdiction  (Commission           (IRS Employer
    of incorporation)            File Number)       Identification No.)

             c/o PNC Bank, National Association
             Corporate Trust Department
             Attention:  Constantine Hromych
             1700 Market Street
             Philadelphia, Pennsylvania                    19103
- -------------------------------------------------------------------------
               (Address of principal executive offices) (Zip Code)


        Registrant's telephone number, including area code (215) 585-8738
                                                           --------------
 -------------------------------------------------------------------------------
         (Former name or former address, if changed since last report.)



<PAGE>


IN ACCORDANCE WITH RULE 201 OF REGULATION S-T, THIS FORM 8-K IS BEING FILED IN
PAPER PURSUANT TO A TEMPORARY HARDSHIP EXEMPTION.




                       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 15, 1996.
                                                         ---------------

                                OMI Trust 1996-B
 -------------------------------------------------------------------------------

               (Exact name of registrant as specified in charter)


         Pennsylvania                 33-99320               Applied for
 -------------------------------------------------------------------------------
       (State or other jurisdiction  (Commission           (IRS Employer
        of incorporation)            File Number)       Identification No.)

           c/o PNC Bank, National Association
           Corporate Trust Department
           Attention:  Constantine Hromych
           1700 Market Street
           Philadelphia, Pennsylvania                 19103
 -------------------------------------------------------------------------------
           (Address of principal executive offices) (Zip Code)


        Registrant's telephone number, including area code (215) 585-8738
                                                           --------------
     
- -------------------------------------------------------------------------------
         (Former name or former address, if changed since last report.)


<PAGE>







                                OMI TRUST 1996-B

                                    FORM 8-K


ITEM 1.  CHANGES IN CONTROL OF REGISTRANT.

                  Not Applicable.

ITEM 2.  ACQUISITION OR DISPOSITION OF ASSETS.

                  Not Applicable.

ITEM 3.  BANKRUPTCY OR RECEIVERSHIP.

                  Not Applicable.

ITEM 4.  CHANGES IN REGISTRANT'S CERTIFYING ACCOUNTANT.

                  Not Applicable.

ITEM 5.  OTHER EVENTS.

         OMI Trust 1996-B (the "Trust"), the issuer of the Oakwood Mortgage
Investors, Inc. Manufactured Housing Contract Senior/Subordinated Pass-Through
Certificates, Series 1995- B (the "Certificates"), makes monthly distributions
to holders of the Certificates. The latest distribution was made on August 15,
1996. Oakwood Acceptance Corporation, as Servicer for the Trust, has prepared a
monthly Remittance Report and delivered it to the Trustee.

Remittance Report. . . . . . . . . . . . .Exhibit 20.1

ITEM 6.  RESIGNATIONS OF REGISTRANT'S DIRECTORS.

                  Not Applicable.

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

        Exhibits

         20.1  Monthly  Remittance  Report  relating  to the  Distribution  Date
         occurring on August 15, 1996.

ITEM 8.  CHANGE IN FISCAL YEAR.

                  Not Applicable.



<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 thereunto duly authorized.

                                            OMI TRUST 1996-B, Registrant

                                            By:  Oakwood Acceptance Corporation,
                                                     as servicer


August 29, 1996

                                                     ---------------------------
                                                     Douglas R. Muir
                                                     Vice President




<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 thereunto duly authorized.

                                            OMI TRUST 1996-B, Registrant

                                            By:  Oakwood Acceptance Corporation,
                                                     as servicer


August 29, 1996                             /s/ DOUGLAS R. MUIR
                                            -------------------

                                                     Douglas R. Muir
                                                     Vice President











<PAGE>



                                INDEX OF EXHIBITS

                                                            Page of Sequentially
                                                                Numbered Pages
                                                            --------------------

20.1     Monthly Remittance Report relating to Distribution
         Date occurring on August 15, 1996............................ 5-10








<PAGE>


                                INDEX OF EXHIBITS

                                                            Page of Sequentially
                                                                Numbered Pages
                                                            --------------------

20.1     Monthly Remittance Report relating to Distribution
         Date occurring on August 15, 1996.............................


EXHIBIT 20.1



OAKWOOD MORTGAGE INVESTORS, INC. 1996-B               REPORT DATE:  JULY 5, 1996
OAKWOOD ACCEPTANCE CORP. -  SERVICER                  POOL REPORT # 1
REMITTANCE REPORT                                                    Page 1 of 6
REPORTING MONTH:                      Jul-96
<TABLE>
<CAPTION>


                    Scheduled Principal Balance of Contracts
- --------------------------------------------------------------------------------

Beginning                                                            Ending         Scheduled                 Scheduled             
Principal        Scheduled     Prepaid     Liquidated   Contracts    Principal      Gross         Servicing   Pass Thru  Liquidation
Balance          Principal     Principal   Principal    Repurchased  Balance        Interest        Fee        Interest    Proceeds 
- ------------------------------------------------------------------------------------------------------------------------------------
<S>             <C>         <C>          <C>           <C>          <C>           <C>             <C>         <C>         <C>


215,662,295.02   525,363.62 (1,548,844.75)    0.00         0.00     213,588,086.65  2,010,689.36  179,718.58  1,830,970.78   0.00   
====================================================================================================================================

</TABLE>


               Amount        
  Reserve    Available for   
 Fund Draw   Distribution    
- --------------------------   
                             
                             
                             
     0.00    4,084,897.73    
===========================  
                             

<TABLE>
<CAPTION>


                    Mezzanine Reserve Fund as of Cutoff Date
- --------------------------------------------------------------------------------

Beginning                      Investment    Balance Before      Reserve    Reserve       Balance After
 Balance   Deposits  Distrib.   Interest  Current Distribution   Fund Draw  Fund Deposit  Current Distribution          Excess
- ---------------------------------------------------------------------------------------------------------------------------------
<S>       <C>        <C>        <C>       <C>                    <C>       <C>            <C>                          <C>

0.00         0.00      0.00       0.00           0.00             0.00      431,325.00      431,325.00                  0.00
=================================================================================================================================
</TABLE>





Reserve Fund Required Balance
- ---------------------------------------
Before Current      After Current
Distribution        Distribution
- ---------------------------------------

431,325.00         431,325.00
=======================================


<TABLE>
<CAPTION>



Class B-1 Reserve Fund as of Cutoff Date
Beginning                       Investment    Balance Before      Reserve     Reserve       Balance After
 Balance   Deposits    Distrib.  Interest  Current Distribution   Fund Draw   Fund Deposit  Current Distribution     Excess
- ------------------------------------------------------------------------------------------------------------------------------------
<S>       <C>         <C>        <C>        <C>                  <C>         <C>            <C>                    <C>

0.00        0.00        0.00      0.00               0.00             0.00      323,494.00      323,494.00             0.00
====================================================================================================================================
</TABLE>



Reserve Fund Required Balance
- ---------------------------------------
Before Current      After Current
Distribution        Distribution
- ---------------------------------------

 323,494.00         323,494.00
=======================================

<TABLE>
<CAPTION>

Class B-2 Reserve Fund as of Cutoff Date
Beginning                      Investment    Balance Before      Reserve      Reserve       Balance After
 Balance   Deposits  Distrib.   Interest  Current Distribution   Fund Draw    Fund Deposit  Current Distribution          Excess
- -----------------------------------------------------------------------------------------------------------------------------------
<S>        <C>      <C>       <C>         <C>                   <C>          <C>             <C>                         <C>

 0.00       0.00      0.00       0.00               0.00            0.00      34,632.97       34,632.97                   0.00
===================================================================================================================================
</TABLE>




Reserve Fund Required Balance
- ---------------------------------------
Before Current      After Current
Distribution        Distribution
- ---------------------------------------

215,662.00         215,662.00
=======================================



                               Certificate Account
- --------------------------------------------------------------------------------

Beginning           Deposits                         Investment     Ending
 Balance     Principal    Interest    Distributions  Interest      Balance
- --------------------------------------------------------------------------------

0.00        1,647,664.38  441,202.20       0.00      2,716.04   2,091,582.62
================================================================================


                P&I Advances at Distribution Date
- ----------------------------------------------------------

Beginning   Recovered     Current            Ending
 Balance     Advances     Advances           Balance
- ----------------------------------------------------------


0.00           0.00        9,412.84          9,412.84
==========================================================


<PAGE>



OAKWOOD MORTGAGE INVESTORS, INC. 1996-B
OAKWOOD ACCEPTANCE CORP. -  SERVICER                   REPORT DATE: JULY 5, 1996
REMITTANCE REPORT                                      POOL REPORT #1
REPORTING MONTH:                                  Jul-96             Page 2 of 6
<TABLE>
<CAPTION>


Class B Crossover Test                                                               Test Met?
- -----------------------------------------------------------------                    ---------------
<S>                                                                     <C>        <C>   

(a) Remittance date on or after January 2001                                               N

(b) Average 60 day Delinquency rate (less than symbol)=           5%                       N
 
(c) Average 30 day Delinquency rate (less than symbol)=           7%                       N

(d) Cumulative losses do not exceed the following
percent of the intitial principal balance of all Certificates

                   Aug. 1996 -Aug. 1997       4%                                           N
                   Jan 2001 -Aug. 2002        7%                                           N
                   Aug. 2002 - Jan. 2003      8%                                           N
                   Jan, 2003 -                9%                                           N


(e) Current realized loss ratio (less than symbol)=            2.75%                    Y

(f) Are class B principal balances plus Accelerated
     Principal Distributions (greater than symbol) =          22.750%
     of stated scheduled pool balance

                Beginning B-1 balance                                     17,253,000.00
                Beginning B-2 balance                                     10,783,295.00
                Beginning Accelerated Principal Distribution                       0.00
                                                                   --------------------
                                                                          28,036,295.00
                Divided by beginning pool
                balance                                                  215,662,295.02
                                                                   --------------------
                                                                                 13.000%  N
                                                                   ====================

</TABLE>



Average 60 day delinquency ratio:

                            Over 60s           Pool Balance            %
                       --------------------------------------------------------

Current Mo                              0.00          213,588,086.65 0.00%
1st Preceding Mo                        0.00                    0.00 0.00%
2nd Preceding Mo                        0.00                    0.00 0.00%
                                                       Divided by       3
                                                                  -------------
                                                                     0.00%
                                                                  =============

Average 30 day delinquency ratio:


                            Over 30s           Pool Balance            %
                       --------------------------------------------------------

Current Mo                        999,968.22          213,588,086.65 0.47%
1st Preceding Mo                        0.00                    0.00 0.00%
2nd Preceding Mo                        0.00                    0.00 0.00%
                                                       Divided by      3
                                                                  -------------
                                                                     0.00%
                                                                  =============

Cumulative loss ratio:

                        Cumulative losses                    0.00
                                          ------------------------
Divided by Initial Certificate Principal           215,662,295.00   0.000%
                                                                  =============



Current realized loss ratio:
                       Liquidation                 Pool
                             Losses               Balance
                       -------------------------------------------

Current Mo                              0.00          215,662,295.02
1st Preceding Mo                        0.00                    0.00
2nd Preceding Mo                        0.00                    0.00
                                                                     0.000%
                                                                  =============




<PAGE>




OAKWOOD MORTGAGE INVESTORS, INC. 1996-B
OAKWOOD ACCEPTANCE CORP. -  SERVICER                 REPORT DATE:  JULY 5, 1996
REMITTANCE REPORT                                    POOL REPORT # 1
REPORTING MONTH:                                Jul-96             Page 3 of 6



<TABLE>
<CAPTION>
                                                                  Delinquency Analysis                                          
                                                                                                                 Active Repos   
                                           31 to 59 days   60 to 89 days  90 days and Over   Total Delinq.       Outstanding    
              No. of      Principal           Principal        Principal      Principal         Principal         Principal     
              Loans       Balance         #   Balance       #   Balance    #  Balance      #    Balance      #     Balance      
              ------------------------------------------------------------------------------------------------------------------
<S>           <C>       <C>             <C>   <C>        <C>    <C>        <C>  <C>      <C>  <C>           <C>   <C>          


Excluding Repos   7,882  213,573,689.60  41    985,571.17   0     0.00     0     0.00      41  985,571.17   1     14,397.05     

        Repos         1       14,397.05   1     14,397.05   0     0.00     0     0.00       1   14,397.05
              --------------------------------------------------------------------------------------------

        Total     7,883  213,588,086.65  42    999,968.22   0     0.00     0     0.00      42  999,968.22
              ============================================================================================

                                                                                          0.5%       0.47%
                                                                            ==============================


</TABLE>



           Repossession Analysis                              
        Reversal          Current Month                       
      (Redemption)            Repos         Cumulative Repos  
       Principal             Principal          Principal     
    #    Balance      #       Balance     #      Balance      
- ------------------------------------------------------------  
                                                              
                                                              
   0      0.00       1      14,397.05    1     14,397.05      
                                                              
                                                              
<PAGE>




OAKWOOD MORTGAGE INVESTORS, INC. 1996-B
OAKWOOD ACCEPTANCE CORP. -  SERVICER                  REPORT DATE:  JULY 5, 1996
REMITTANCE REPORT                                     POOL REPORT # 1
REPORTING MONTH:                          Jul-96
                                                                    Page 4 of 6
REPOSSESSION LIQUIDATION REPORT
                                                                        
<TABLE>
<CAPTION>



                     Liquidated                                            Net                  Net        Current
   Account Customer  Principal     Sales  Insur.   Total   Repossession Liquidation Unrecov.  Pass Thru   Period Net      Cumulative
   Number    Name     Balance    Proceeds Refunds Proceeds   Expenses    Proceeds   Advances   Proceeds   Gain/(Loss)    Gain/(Loss)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>       <C>       <C>         <C>       <C>     <C>      <C>          <C>         <C>      <C>        <C>             <C>


                                                    0.00                   0.00                   0.00        0.00
                                                    0.00                   0.00                   0.00        0.00
                                                    0.00                   0.00                   0.00        0.00
                                                    0.00                   0.00                   0.00        0.00
                                                    0.00                   0.00                   0.00        0.00
                                                    0.00                   0.00                   0.00        0.00
                                                    0.00                   0.00                   0.00        0.00
                                                    0.00                   0.00                   0.00        0.00
                                                    0.00                   0.00                   0.00        0.00
                                                    0.00                   0.00                   0.00        0.00
                                                    0.00                   0.00                   0.00        0.00
                                                    0.00                   0.00                   0.00        0.00
                                                    0.00                   0.00                   0.00        0.00
                                                    0.00                   0.00                   0.00        0.00
                                                    0.00                   0.00                   0.00        0.00
                                                    0.00                   0.00                   0.00        0.00
                                                    0.00                   0.00                   0.00        0.00
                                                    0.00                   0.00                   0.00        0.00
                    -----------------------------------------------------------------------------------------------------
                           0.00     0.00  0.00      0.00       0.00        0.00         0.00      0.00        0.00           0.00
                    ================================================================================================================


As a percentage of the aggregate cut-off date principal balance                                                              0.00
                                                                                                                     ===============


</TABLE>




<PAGE>





OAKWOOD MORTGAGE INVESTORS, INC. 1996-B
OAKWOOD ACCEPTANCE CORP. -  SERVICER                  REPORT DATE:  JULY 5, 1996
REMITTANCE REPORT                                     POOL REPORT # 1
REPORTING MONTH:                            Jul-96
                                                                     Page 5 of 6
CERTIFICATE PRINCIPAL ANALYSIS

PRINCIPAL

<TABLE>
<CAPTION>
                                   Original       Beginning        Current       Accelerated               Ending             
               Cert.             Certificate     Certificate      Principal       Principal   Writedown  Certificate          
               Class               Balances       Balances         Payable       Distribution  Amounts    Balances            
- ------------------------------------------------------------------------------------------------------------------------------
<S>                            <C>               <C>             <C>             <C>           <C>       <C> 


A-1                               45,290,000.00   45,290,000.00   (2,074,208.37)     0.00        0.00    43,215,791.63        
A-1 Outstanding Writedown                  0.00            0.00            0.00      0.00        0.00             0.00        

A-2                               35,585,000.00   35,585,000.00            0.00      0.00        0.00    35,585,000.00        
A-2 Outstanding Writedown                  0.00            0.00            0.00      0.00        0.00             0.00        

A-3                               32,350,000.00   32,350,000.00            0.00      0.00        0.00    32,350,000.00        
A-3 Outstanding Writedown                  0.00            0.00            0.00      0.00        0.00             0.00        

A-4                               22,642,000.00   22,642,000.00            0.00      0.00        0.00    22,642,000.00        
A-4 Outstanding Writedown                  0.00            0.00            0.00      0.00        0.00             0.00        

A-5                               32,350,000.00   32,350,000.00            0.00      0.00        0.00    32,350,000.00        
A-5 Outstanding Writedown                  0.00            0.00            0.00      0.00        0.00             0.00        

A-6                               19,409,000.00   19,409,000.00            0.00      0.00        0.00    19,409,000.00        
A-6 Outstanding Writedown                  0.00            0.00            0.00      0.00        0.00             0.00        

B-1                               17,253,000.00   17,253,000.00            0.00      0.00        0.00    17,253,000.00        
B-1 Outstanding Writedown                  0.00            0.00            0.00      0.00        0.00             0.00        

B-2                               10,783,295.00   10,783,295.00            0.00      0.00        0.00    10,783,295.00        
B-2 Outstanding Writedown                  0.00            0.00            0.00      0.00        0.00             0.00        

Excess Asset Principal Balance             0.00            0.00            0.00      0.00        0.00             0.00


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

                                 215,662,295.00  215,662,295.00   (2,074,208.37)     0.00        0.00   213,588,086.63
                                 =====================================================================================

</TABLE>


                                                        Principal Paid        
          Cert.                           Pool             Per $1,000         
         Class                           Factor           Denomination        
- -------------------------------   ----------------------------------------    
                                                                           
                                                                           
A-1                                                                        
A-1 Outstanding Writedown               95.42016%        45.80             
                                         0.00             0.00             
A-2                                                                        
A-2 Outstanding Writedown              100.00000%         0.00             
                                         0.00             0.00             
A-3                                                                        
A-3 Outstanding Writedown              100.00000%         0.00             
                                         0.00             0.00             
A-4                                                                        
A-4 Outstanding Writedown              100.00000%         0.00             
                                         0.00             0.00             
A-5                                                                        
A-5 Outstanding Writedown              100.00000%         0.00             
                                         0.00             0.00             
A-6                                                                        
A-6 Outstanding Writedown              100.00000%         0.00             
                                         0.00             0.00             
B-1                                                                        
B-1 Outstanding Writedown              100.00000%         0.00             
                                         0.00             0.00             
B-2                                                                        
B-2 Outstanding Writedown              100.00000%         0.00             
                                         0.00             0.00             


                                                                           
                                                                           
                                                                           
                                                                           
<PAGE>



OAKWOOD MORTGAGE INVESTORS, INC. 1996-B
OAKWOOD ACCEPTANCE CORP. -  SERVICER                  REPORT DATE:  JULY 5, 1996
REMITTANCE REPORT                                     POOL REPORT # 1
REPORTING MONTH:                          Jul-96
                                                                     Page 6 of 6
 
CERTIFICATE INTEREST ANALYSIS


<TABLE>
<CAPTION>
                                                                                                       Interest Paid
           Certificate     Remittance  Beginning       Current       Total     Interest        Ending   Per $1,000     Cert.    
              Class           Rate     Balance        Accrual         Paid     Shortfall       Balance  Denomination   Class    
                         -------------------------------------------------------------------------------------------------------
<S>                        <C>       <C>          <C>          <C>           <C>            <C>        <C>          <C>


A-1                        5.5475%      0.00        146,560.33    146,560.33        0.00        0.00         3.24      A-1      
A-1  Carryover Interest    0.00         0.00              0.00          0.00        0.00        0.00         0.00
A-1  Writedown Interest    0.00         0.00              0.00          0.00        0.00        0.00         0.00

A-2                        6.8000%      0.00        201,648.33    201,648.33        0.00        0.00         5.67      A-2      
A-2  Carryover Interest    0.00         0.00              0.00          0.00        0.00        0.00         0.00
A-2  Writedown Interest    0.00         0.00              0.00          0.00        0.00        0.00         0.00

A-3                        7.1000%      0.00        191,404.17    191,404.17        0.00        0.00         5.92      A-3      
A-3  Carryover Interest    0.00         0.00              0.00          0.00        0.00        0.00         0.00
A-3  Writedown Interest    0.00         0.00              0.00          0.00        0.00        0.00         0.00

A-4                        7.3500%      0.00        138,682.25    138,682.25        0.00        0.00         6.13      A-4      
A-4  Carryover Interest    0.00         0.00              0.00          0.00        0.00        0.00         0.00
A-4  Writedown Interest    0.00         0.00              0.00          0.00        0.00        0.00         0.00

A-5                        7.6500%      0.00        206,231.25    206,231.25        0.00        0.00         6.38      A-5      
A-5  Carryover Interest    0.00         0.00              0.00          0.00        0.00        0.00         0.00
A-5  Writedown Interest    0.00         0.00              0.00          0.00        0.00        0.00         0.00

A-6                        8.0000%      0.00        129,393.33    129,393.33        0.00        0.00         6.67      A-6      
A-6  Carryover Interest    0.00         0.00              0.00          0.00        0.00        0.00         0.00
A-6  Writedown Interest    0.00         0.00              0.00          0.00        0.00        0.00         0.00

B-1                        8.3920%      0.00        120,655.98    120,655.98        0.00        0.00         6.99      B-1      
B-1  Carryover Interest    0.00         0.00              0.00          0.00        0.00        0.00         0.00
B-1  Writedown Interest    0.00         0.00              0.00          0.00        0.00        0.00         0.00

B-2                        9.6440%      0.00         86,661.75     86,661.75        0.00        0.00         8.04      B-2      
B-2  Carryover Interest    0.00         0.00              0.00          0.00        0.00        0.00         0.00
B-2  Writedown Interest    0.00         0.00              0.00          0.00        0.00        0.00         0.00

X                                       0.00        609,733.39    609,733.39        0.00        0.00                    X       

Service Fee                             0.00        179,718.58          0.00        0.00  179,718.58                            
                             ---------------------------------------------------------------------                              

                                        0.00      2,010,689.36  1,830,970.78        0.00  179,718.58                            

</TABLE>


   Mezzanine Reserve Fund Deposit                                 431,325.00
   B-1 Reserve Fund                                               323,494.00
   B-2 Reserve Fund                                                34,632.97





           Certificate            TOTAL                                  
              Class            DISTRIBUTION                               
                         ---------------------------------                  
                                                                             
                                                                             
                                     2,220,768.70                            
A-1                                                                      
A-1  Carryover Interest                                                      
A-1  Writedown Interest      
                                       201,648.33  
A-2                                                                 
A-2  Carryover Interest                                       
A-2  Writedown Interest                                          
                                       191,404.17                 
A-3                                                            
A-3  Carryover Interest                                               
A-3  Writedown Interest                      
                                       138,682.25                       
A-4                                                                     
A-4  Carryover Interest                                                  
A-4  Writedown Interest                                             
                                       206,231.25                       
A-5                                                   
A-5  Carryover Interest                                               
A-5  Writedown Interest                                   
                                       129,393.33                   
A-6                                                                 
A-6  Carryover Interest                                                
A-6  Writedown Interest                                                 
                                       120,655.98                      
B-1                                                                       
B-1  Carryover Interest                                                
B-1  Writedown Interest                                              
                                        86,661.75                         
B-2                                                                     
B-2  Carryover Interest                                              
B-2  Writedown Interest                                          
                                       609,733.39                 
X                                                                  
                                             0.00                    
Service Fee                 ---------------------                     
                                                                     
                                     3,905,179.15                      
                          



                         
                                                            
  Mezzanine Reserve Fund Deposit       431,325.00
   B-1 Reserve Fund                    323,494.00
   B-2 Reserve Fund                     34,632.97


                                                             


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