BAY VIEW SECURITIZATION CORP
8-K, 1999-12-28
ASSET-BACKED SECURITIES
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<PAGE>

================================================================================
                      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):  December 15, 1999


                      BAY VIEW SECURITIZATION CORPORATION
- --------------------------------------------------------------------------------
               (Exact name of registrant as specified in charter)


<TABLE>
<CAPTION>
<S>                                          <C>                                 <C>
           Delaware                                333-16233                                  93-1225376
- ---------------------------------------------------------------------------------------------------------------------
State or other jurisdiction of               (Commission File No.)               (I.R.S. Employer Identification No.)
incorporation or organization

                        c/o Bay View Bank
                        1840 Gateway Drive
                      San Mateo, California                                                      94404
- ---------------------------------------------------------------------------------------------------------------------
              Address of principal executive offices                                           Zip Code

                         Registrant's telephone number, including area code:  (650) 573-7310

                         2121 So. El Camino Real, San Mateo, California 94403, (415) 573-7310
- ---------------------------------------------------------------------------------------------------------------------
                 (Former name, former address, and former fiscal year, if changed since last report)
</TABLE>
<PAGE>

Item 7.  Financial Statements, Pro forma Financial Information and Exhibits

Exhibit 99.1   Monthly Servicer's Report dated November 30, 1999


                                   Signatures

          Pursuant to the requirements of the Securities Exchange Act of 1934,
the registrant has caused this report to be signed on behalf of Bay View
Securitization Corporation by the undersigned thereunto duly authorized.

                                           BAY VIEW 1997 RA-1 AUTO TRUST
                                       BY: BAY VIEW SECURITIZATION CORPORATION
                                           ORIGINATOR OF TRUST


Dated:  December 23, 1999              By: /s/ David A. Heaberlin
                                           -------------------------------------
                                           David A. Heaberlin
                                           Treasurer and Chief Financial Officer


                                    Page 2

<PAGE>

                      Bay View Securitization Corporation
                     For Remittance Date: November 30, 1999


<TABLE>
<CAPTION>
A.  Principal Balance Reconciliation

                                                                                                                    Number
                                                              A-1                A-2              Total           of Accounts
<S>                                                      <C>                <C>               <C>                 <C>
    (A)  Original Principal Balance                      200,979,000.00     52,245,989.00     253,224,989.00      21106
                                                         --------------------------------------------------------------------------
    (B)  Beginning Period Principal Balance                        0.00     41,049,306.32      41,049,306.32       5141
                                                         --------------------------------------------------------------------------
    (C)  Collections (Regular Payments)                            0.00      1,403,612.84       1,403,612.84        N/A
                                                         --------------------------------------------------------------------------
    (D)  Collections (Principal Payoffs)                           0.00        996,076.68         996,076.68        228
                                                         --------------------------------------------------------------------------
    (E)  Collections (Principal Recoveries)                        0.00              0.00               0.00
                                                         --------------------------------------------------------------------------
    (F)  Withdrawal from Payahead (Principal)                      0.00         19,262.76          19,262.76        N/A
                                                         --------------------------------------------------------------------------
    (G)  Principal Reductions (Other)                              0.00              0.00               0.00          0
                                                         --------------------------------------------------------------------------
    (H)  Gross Charge Offs                                         0.00        111,726.69         111,726.69         11
                                                         --------------------------------------------------------------------------
    (I)  Repurchases                                               0.00         28,136.89          28,136.89         17
                                                         --------------------------------------------------------------------------
    (J)  Ending Balance                                            0.00     38,490,490.46      38,490,490.46       4885
                                                         --------------------------------------------------------------------------
    Notional Principal Balance:
    (K)  Beginning                                                                              2,796,733.30
                                                                                             ---------------
    (L)  Ending                                                                                 2,135,298.00
                                                           -------------------------------------------------
    (M)  Certificate Factor                                   0.0000000%       73.6716659%        15.2001154%
                                                           -------------------------------------------------

B.  Cash Flow Reconciliation
                                                                                                 Total
                                                                                           -----------------
    (A)  Cash Wired                                                                             2,929,544.75
                                                                                           -----------------
    (B)  Interest Wired/Earned                                                                      9,559.15
                                                                                           -----------------
    (C)  Withdrawal from Payahead Account                                                          19,262.76
                                                                                           -----------------
    (D)  Advances                                                                                       0.00
                                                                                           -----------------
    (E)  Repurchases                                                                               28,136.89
                                                                                           -----------------
    (F)  Gross Charge-Off Recoveries                                                               13,647.36
                                                                                           -----------------
    (G)  Gross Charge-Off Advances                                                                  7,469.42
                                                                                           -----------------
    (H)  Spread Account Withdrawal                                                                      0.00
                                                                                           -----------------
    (I)  "A" Surety Bond Draw for "I" Interest                                                          0.00
                                                                                           -----------------
    (J)  "A" Surety Bond Draw for  "A-1" Principal or Interest                                          0.00
                                                                                           -----------------
    (K)  "A" Surety Bond Draw for "A-2" Principal or Interest                                           0.00
                                                                                           -----------------
         Total Collections                                                                      3,007,620.33
                                                                                           -----------------
 C.  Trustee Distribution
                                                                                                 Total
                                                                                           -----------------
     (A)  Total Cash Flow                                                                       3,007,620.33
                                                                                           -----------------
     (B)  Unrecovered Interest Advances                                                             7,413.97
                                                                                           -----------------
     (C)  Servicing Fee (Due and Unpaid)                                                           34,207.76
                                                                                           -----------------
     (D)  Interest to "A-1" Certificate Holders, including Overdue                                      0.00
                                                                                           -----------------
     (E)  Interest to "A-2" Certificate Holders, including Overdue                                225,429.11
                                                                                           -----------------
     (F)  Interest to "I" Certificate Holders, including Overdue                                    7,341.42
                                                                                           -----------------
     (G)  Principal to "A-1" Certificate Holders, including Overdue                                     0.00
                                                                                           -----------------
     (H)  Principal to "A-2" Certificate Holders, including Overdue                             2,558,815.86
                                                                                           -----------------
     (I)  Reinsurance Fee                                                                               0.00
                                                                                           -----------------
     (J)  Surety Bond Fee                                                                           5,131.16
                                                                                           -----------------
     (K)        First Loss Protection                                                0.00
                                                                        -----------------
     (L)        Surety Bond Premium                                              5,131.16
                                                                        -----------------
     (M)  Interest Advance Recovery Payments                                                       26,548.10
                                                                                           -----------------
     (N)  Unreimbursed Draws on Class "A" Surety Bond for Class "A-1" Interest                          0.00
                                                                                           -----------------
     (O)  Unreimbursed Draws on Class "A" Surety Bond for Class "A-2" Interest                          0.00
                                                                                           -----------------
     (P)  Unreimbursed Draws on Class "A" Surety Bond for Class "I" Interest                            0.00
                                                                                           -----------------
     (Q)  Deposit to Payahead                                                                           0.00
                                                                                           -----------------

</TABLE>

                                    Page 3
<PAGE>

Bay View Securitization Corporation
For Remittance Date:  November 30, 1999

<TABLE>
<CAPTION>
    <S>                                                                                    <C>
    (R)  Bank Account Interest to Servicer                                                          9,559.15
                                                                                           -----------------
    (S)  Excess Yield                                                                             133,173.80
                                                                                           -----------------
         Balance                                                                                        0.00
                                                                                           -----------------

D.  Spread Account and Surety Reconciliation
    <S>                                                                 <C>                    <C>
                                                                            Spread Account       Surety Bond
    (A)  Beginning Balance                                                   3,407,420.24      38,168,720.32
                                                                        ------------------------------------
    (B)  Additions to Spread Amount                                            133,173.80                N/A
                                                                        ------------------------------------
    (C)  Interest Earned                                                        14,110.05
                                                                        ------------------------------------
    (D)  Draws                                                                       0.00               0.00
                                                                        ------------------------------------
    (E)  Reimbursement for Prior Draws                                                N/A               0.00
                                                                        ------------------------------------
    (F)  Distribution of Funds to  "IC" Class or Servicer                      242,107.88               0.00
                                                                        ------------------------------------
    (G)  Ending Balance                                                      3,312,596.21      35,592,156.39
                                                                        ------------------------------------

    (H)  Required Balance                                                    3,165,312.36      35,592,156.39
                                                                        ------------------------------------
    (I)  Distribution to "IC" Class                                            147,283.85
                                                                        ------------------------------------


E.  Current Receivables Delinquency
            #Payment Delinquency                                             Number                Balance
            --------------------
    (A)  31-60                                                                     30             283,276.64
                                                               ---------------------------------------------
    (B)  61-90                                                                     10              85,532.49
                                                               ---------------------------------------------
    (C)  91+                                                                       10              75,874.19
                                                               ---------------------------------------------
    (D)  Total                                                                     50             444,683.32
                                                               ---------------------------------------------


F.  Excess Yield
                                                             Excess Yield Balance           Pool            Excess Yield
Month                                                                                     Balance          (Annualized %)
- -----
<S>                                                          <C>                          <C>              <C>
(A)  Current                                                           133,173.80          38,490,490.46           4.1519%
                                                           --------------------------------------------------------------
(B)  1st Previous                                                      227,915.16          41,049,306.32           6.6627%
                                                           --------------------------------------------------------------
(C)  2nd Previous                                                      137,409.27          43,572,955.44           3.7843%
                                                           --------------------------------------------------------------
(D)  3rd Previous                                                      350,355.04          46,455,455.36           9.0501%
                                                           --------------------------------------------------------------
(E)  4th Previous                                                      145,948.49          49,663,174.10           3.5265%
                                                           --------------------------------------------------------------
(F)  5th Previous                                                      223,814.48          52,935,062.57           5.0737%
                                                           --------------------------------------------------------------
(G)  Six-Month Rolling Excess Yield (>=1.75%)                          203,102.71          45,361,074.04           5.3730%
                                                           --------------------------------------------------------------


G.  Delinquency Rate (31+)
                                                                    Month                   Pool
            Month                                                  Balance                Balance                %
            -----
(A)  Current                                                           444,683.32          38,490,490.46           1.1553%
                                                           --------------------------------------------------------------
(B)  1st Previous                                                      442,085.95          41,049,306.32           1.0770%
                                                           --------------------------------------------------------------
(C)  2nd Previous                                                      360,629.12          43,572,955.44           0.8276%
                                                           --------------------------------------------------------------
(D)  Three-Month Rolling Average (less than 2%)                        415,799.46          41,037,584.07           1.0132%
                                                           --------------------------------------------------------------

H.  Net Loss Rate
                                                                                    Liquidation         Average         Defaulted
Month                                                              Balance            Proceeds          Balance       (Annualized)
- -----
(A)  Current                                                           118,542.99       20,463.66    39,769,898.39          2.9594%
                                                           -----------------------------------------------------------------------
(B)  1st Previous                                                       52,529.59       42,033.92    42,311,130.88          0.2977%
                                                           -----------------------------------------------------------------------
(C)  2nd Previous                                                      173,868.05       80,813.06    45,014,205.40          2.4807%
                                                           -----------------------------------------------------------------------
(D)  Three-Month Rolling Average Net Default Rate
     less than 3%                                                      114,980.21       47,770.21    42,365,078.22          1.9037%
                                                           -----------------------------------------------------------------------
</TABLE>

                                    Page 4
<PAGE>

Bay View Securitization Corporation
For Remittance Date:  November 30, 1999

<TABLE>
<CAPTION>

I.  Charge-Off / Recoveries
                                                                        Number                Balance
<S>                                                        <C>                             <C>
(A)  Collection Period Charge-Off Receivables                                  11             111,726.69
                                                           ---------------------------------------------
(B)  Gross Charge-Offs Cumulative Receivables                                1050           7,581,928.56
                                                           ---------------------------------------------
(C)  Collection Period Recoveries on Charge-Offs                               NA              13,647.36
                                                           ---------------------------------------------
(D)  Recoveries on Charge-Offs To-Date                                         NA           1,075,839.40
                                                           ---------------------------------------------



J. Repossessions

(A)  Collection Period Repossessions                                            5              69,238.48
                                                           ---------------------------------------------
(B)  Aggregate Repossessions                                                  656           7,653,093.94
                                                           ---------------------------------------------
(C)  Unliquidated Repossessions                                                 6              77,706.83
                                                           ---------------------------------------------


K.  Forced Place Insurance

(A)  FPI Charge-Offs                                                            0                   0.00
                                                           ---------------------------------------------
(B)  FPI Canceled/Waived/Removed/ Reversed                                      0                   0.00
                                                           ---------------------------------------------


L.  Payahead Reconciliation

(A)  Beginning Balance                                                 153,476.27
                                                           ----------------------
(B)  Deposit                                                                 0.00
                                                           ----------------------
(C)  Withdrawal                                                         19,262.76
                                                           ----------------------
(D)  Ending Balance                                                    134,213.51
                                                           ----------------------

</TABLE>

Approved By:  /s/ Michael LaOrange
              -------------------------
              Michael LaOrange
              Vice President, Controller
              Bay View Acceptance Corp

                                    Page 5


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