FDIC REMIC TRUST 1996-C1
8-K, 1998-12-07
ASSET-BACKED SECURITIES
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                       SECURITIES AND EXCHANGE COMMISSION
                              Washington, DC 20549

                                    FORM 8-K


                                 CURRENT REPORT
               Pursuant to Section 13 or 15(d) of the Securities
                            and Exchange Act of 1934


                              Date of Report: 11/25/98
                        (Date of earliest event reported)

                    
                     Federal Deposit Insurance Corporation,
                              REMIC Trust 1996-C1
        (Exact name of registrant as specified in governing instruments)



                                    New York
                 (State or other Jurisdiction of Incorporation)

                    c/o State Street Bank and Trust Company
                           Corporate Trust Department
                       Two International Place, 5th Floor
                                Boston, MA 02110
              (Address of Principal Executive Offices) (Zip Code)

                                 (202) 664-5500
              (Registrant's telephone number, including area code)


                        Commission File Number 333-16397

                 04-3342274(I.R.S. Employer Identification No.)



                                 Not Applicable
         (Former name, former address and former fiscal year if changed
                               since last report)





<PAGE>






                     Federal Deposit Insurance Corporation,
                              REMIC Trust 1996-C1

                                    FORM 8-K


                                     INDEX



ITEM                  DESCRIPTION                    PAGE NUMBER

Item 5.               Other Event                    3

Item 7.               Financial Statements and
                      Exhibits                       3

                      Signatures                     3

Exhibit A             Trustee's Report to
                      Bondholders                    4



<PAGE>


                     Federal Deposit Insurance Corporation,
                              REMIC Trust 1996-C1



                                    FORM 8-K

                              ITEMS AND SIGNATURES

                                     ITEMS

Item 5. Other Events
See Exhibit A, the Trustee's Report to Bondholders attached hereto.

Item 7. Financial Statements and Exhibits
See Exhibit A, the Trustee's Report to Bondholders attached hereto.




                                   SIGNATURES

Pursuant  to the  requirement  of the  Securities  Exchange
Act of  1934,  the registrar  has duly  caused  this  report to
be  signed on its behalf  by the
undersigned hereunto duly authorized.

                     Federal Deposit Insurance Corporation,
                              REMIC Trust 1996-C1
                                  (Registrant)

Date:  11/25/98

  By:
  Name Julie A. Kirby
Title: Assistant Vice President
State Street Bank and Trust Company
as Trustee


Federal Deposit Insurance Corporation
Commercial Mortgage Pass-Through Certificates
Series 1996-C1
B223

Report to Certificateholders for Payment Date:                November 25, 1998
Payment Summary
<TABLE>

                     Pass-Through  Interest Original Moody's Original           Beginning       Principal
Class    CUSIP       Rate          Type     Rating           Balance            Balance         Distribution
                                                             
<S>      <C>         <C>           <C>      <C>              <C>                <C>             <C>
I-A      301936AM2   0.06750000000 Fixed    Aaa              445,218,000.00     234,503,198.39  4,517,710.23
I-B      301936AN0   0.07125000000 Fixed    Aa2              32,979,000.00      32,979,000.00   0.00
I-C      301936AP5   0.07250000000 Fixed    A1               27,483,000.00      27,483,000.00   0.00
I-D      301936AQ3   0.07250000000 Fixed    Baa2             43,972,693.00      43,972,693.00   0.00
I-XS     N/A         0.01694730954 Variable NR               549,652,693.00     338,937,891.39  0.00
II-A     301936AR1   0.05519690000 Variable Aaa              140,168,000.00     71,703,505.30   3,227,236.94
II-B     301936AS9   0.05869690000 Variable Aa2              15,018,000.00      15,018,000.00   0.00
II-C     301936AT7   0.06469690000 Variable A2               11,680,806.00      11,680,806.00   0.00
II-XS    N/A         0.03431024287 Variable NR               166,866,806.00     98,402,311.30   0.00
R-UT     N/A         0.00000000000 Residual NR               0.00               0.00            0.00
                                            Totals:          716,519,499.00     437,340,202.69  7,744,947.17
                                                                            
 
</TABLE>
<TABLE>
Interest        Total          Ending
Distribution    Payable        Balance
<S>             <C>            <C>    
1,319,080.49    5,836,790.72   229,985,488.16
195,812.81      195,812.81     32,979,000.00
166,043.13      166,043.13     27,483,000.00
265,668.35      265,668.35     43,972,693.00
478,673.78      478,673.78     334,420,181.16
329,817.60      3,557,054.54   68,476,268.36
73,459.17       73,459.17      15,018,000.00
62,975.99       62,975.99      11,680,806.00
280,645.64      280,645.64     95,175,074.36
11,719.53       11,719.53      0.00
3,183,896.49    10,928,843.66  429,595,255.52

</TABLE>
<TABLE>
Distributions per Certificate
          Beginning      Principal     Interest       Ending
Class     Cert Factor    Distribution  Distribution   Cert Factor
<S>       <C>            <C>           <C>            <C>    
I-A       0.526715448    10.1471868    2.962774394    0.516568261
I-B       1.000000000    0.0000000     5.937499924    1.000000000
I-C       1.000000000    0.0000000     6.041666849    1.000000000
I-D       1.000000000    0.0000000     6.041666586    1.000000000
I-XS      0.616640100    0.0000000     0.870865887    0.608420891
II-A      0.511554030    23.0240636    2.353016380    0.488529967
II-B      1.000000000    0.0000000     4.891408310    1.000000000
II-C      1.000000000    0.0000000     5.391407922    1.000000000
II-XS     0.589705728    0.0000000     1.681854209    0.570365531



</TABLE>
<TABLE>
Payment Details
Principal Detail
         Beginning       Scheduled    Unscheduled   Principal Realized Uncovered  Total Principal Ending          Cumulative
Class    Balance         Principal    Principal     Adj.      Losses   Portion    Distb Amount    Balance         Rlzd Losses
<S>      <C>             <C>          <C>           <C>       <C>      <C>        <C>             <C>             <C>
I-A      234,503,198.39  874,571.91   3,643,138.32  0.00      0.00     0.00       4,517,710.23    229,985,488.16  0.00
I-B      32,979,000.00   0.00         0.00          0.00      0.00     0.00       0.00            32,979,000.00   0.00
I-C      27,483,000.00   0.00         0.00          0.00      0.00     0.00       0.00            27,483,000.00   0.00
I-D      43,972,693.00   0.00         0.00          0.00      0.00     0.00       0.00            43,972,693.00   0.00
I-XS     338,937,891.39  0.00         0.00          0.00      0.00     0.00       0.00            334,420,181.16  0.00
II-A     71,703,505.30   381,363.93   2,845,873.01  0.00      0.00     0.00       3,227,236.94    68,476,268.36   0.00
II-B     15,018,000.00   0.00         0.00          0.00      0.00     0.00       0.00            15,018,000.00   0.00
II-C     11,680,806.00   0.00         0.00          0.00      0.00     0.00       0.00            11,680,806.00   0.00
II-XS    98,402,311.30   0.00         0.00          0.00      0.00     0.00       0.00            95,175,074.36   0.00
R-UT     0.00            0.00         0.00          0.00      0.00     0.00       0.00            0.00            0.00
Totals:  437,340,202.69  1,255,935.84 6,489,011.33  0.00      0.00     0.00       7,744,947.17    429,595,255.52  0.00
                                                                                                  
                                                                                                                  
                                                                                                                    
</TABLE>
<TABLE>
Interest Detail

        Accrued       Current Unpaid Prior Accr Unp Deferred Default  Prepay Int Additional  Total Interest
Class   Certf. Int    Distrib. Int   Distrib. Int   Interest Interest Shortfalls Adjustments Distribution
<S>     <C>           <C>            <C>            <C>      <C>      <C>        <C>         <C>
I-A     1,319,080.49  0.00           0.00           0.00     0.00     0.00       0.00        1,319,080.49
I-B     195,812.81    0.00           0.00           0.00     0.00     0.00       0.00        195,812.81
I-C     166,043.13    0.00           0.00           0.00     0.00     0.00       0.00        166,043.13
I-D     265,668.35    0.00           0.00           0.00     0.00     0.00       0.00        265,668.35
I-XS    478,673.78    0.00           0.00           0.00     0.00     0.00       (0.00)      478,673.78
II-A    329,817.60    0.00           0.00           0.00     0.00     0.00       0.00        329,817.60
II-B    73,459.17     0.00           0.00           0.00     0.00     0.00       0.00        73,459.17
II-C    62,975.99     0.00           0.00           0.00     0.00     0.00       0.00        62,975.99
II-XS   281,350.60    0.00           0.00           0.00     0.00     0.00       (704.96)    280,645.64
R-UT    0.00          0.00           0.00           0.00     0.00     0.00       0.00        11,719.53
Totals: 3,172,881.92  0.00           0.00           0.00     0.00     0.00       (704.96)    3,183,896.49


</TABLE>
Delinquencies, Realized losses and Limited Guaranty Coverage Information
<TABLE>

Delinquent Loans            One Month      Two Months      Three Months +        REO              Foreclosures  Total
<S>                         <C>            <C>             <C>                   <C>              <C>           <C>
Sub-Pool I                                                                       
Aggregate Number            18             10              10                    2                4             44
Aggregate Principal Balance 4,108,743.19   1,544,081.21    2,557,915.87          912,251.29       2,265,265.50  11,388,257.06
Sub-Pool II                                                                      
Aggregate Number            14             2               4                     0                2             22
Aggregate Principal Balance 2,581,913.08   571,672.09      1,353,800.54          0.00             1,112,901.93  5,620,287.64
Total                                                                            
Number                      32             12              14                    2                6             66
Principal Balance           6,690,656.27   2,115,753.30    3,911,716.41          912,251.29       3,378,167.43  17,008,544.70
Percentage Delinquent       0.0152984      0.0048377       0.0089443             0.0020859        0.0077243     0.0388906
                                                                                
</TABLE>                                                                      

                                                   

Realized Losses
                                  Realized Losses  Cumulative
                 Realized Losses  Recoveries       Realized Loss
                 (current period) (current period) (net of recoveries)

Sub-Pool I       154,382.07       0.00             2,505,736.74
Sub-Pool II      0.00             0.00             1,074,240.99
Totals           154,382.07       0.00             3,579,977.73



<TABLE>

Limited Guaranty Coverage Information

                                                               Sub Pool I                         Sub Pool II
                                                               Current          Cumulative        Current        Cumulative
<S>              <C>                                           <C>              <C>               <C>            <C>   

Beginning Coverage Amount                                      162,294,177.78   166,817,831.00    64,333,924.34  66,746,723.00
Limited Guaranty Draws:
                Realized Losses                                154,382.07       2,505,736.74      0.00           1,074,240.99
                Temporary Reduction                            4,770.19         60,811.22         1,457.01       0.00
                Discounted Mortgage Loan                       0.00             0.00              0.00           13,807.73
                Deficiency Valuation                           0.00             276,014.05        24,405.53      0.00
                Appraisal Reduction                            0.00             0.00              0.00           426,510.42
                Extraordinary Trust Fund Expenses              102,659.84       2,022,943.34      28,368.08      989,452.57
Recoveries of Realized Loss                                    0.00             0.00              0.00           0.00
Recoveries of Extraordinary Trust Fund Expenses                0.00             89,629.20         0.00           37,863.04
Residual Cash Flow applied to Inspection Expenses              1,100.00         10,689.17         0.00           880.61
Ending Coverage Amount                                         162,031,265.68   162,031,265.68    64,279,693.72  64,279,693.72


</TABLE>
<TABLE>

Other Information
                                                            Sub-Pool I          Sub-Pool II       Aggregate
<S>                                                         <C>                 <C>               <C>    
Current Principal Advances                                  96,679.12           48,168.57         144,847.69
Current Interest Advances                                   225,984.71          91,254.37         317,239.08
Cumulative Principal Advances                               274,013.49          117,025.24        391,038.73
Cumulative Interest Advances                                780,940.46          371,514.99        1,152,455.45
Current Servicer Advances                                   45,267.60           25,676.50         70,944.10
Cumulative Servicer Advances                                218,356.30          65,931.87         284,288.17
                                                                                
Beginning Scheduled Principal Balance                       338,939,937.81      98,402,936.35     437,342,874.16
Ending Scheduled Principal Balance                          334,422,227.58      95,175,699.41     429,597,926.99
                                                                                                   
Number of Mortgage Loans                                    847                 411               1,258
Weighted Average Amortization Term                          N/A                 N/A               N/A
Weighted Average Remaining Months to Maturity               N/A                 N/A               N/A
Weighted Average Effective Net Mortgage Rate                0.0859              0.0912            N/A
                                                                                
Optimal Principal Distribution Amount                       4,517,710.23        3,227,236.94      7,744,947.17
                                                                                
Outstanding Principal Balance Deleted Mortgage Loans        0.00                0.00              0.00
Outstanding Principal Balance Substitute Mortgage Loans     0.00                0.00              0.00
Outstanding Principal Balance Loans Repurchased by FDIC     0.00                0.00              0.00
                                                                            

</TABLE>
Fee Information
Servicing Fee                     61,956.91
Liquidation Fee                   0.00
Resolution Fee                    0.00
Other Reimbursable Amounts        0.00
Trustee's Fee                     2,368.94
Includes Custodian Fee


Basis Risk Shortfall Information
Basis Risk Shortfalls             0.00
Basis Risk Shortfall Support Amt  478,673.78
Basis Risk Shortfall Payment      0.00
Unfunded Basis Risk Shortfall     0.00
                   
                                                            


<TABLE>


Subordinate Support Percentage and Maturities:
                       Original          Current           Orig. Class Maturity
Class                  Subordination %   Subordination %   @ 0% CPR

<S>                    <C>               <C>               <C>    

I-A                    0.1900            0.3123            July 25, 2005
I-B                    0.1300            0.2137            October 25, 2005
I-C                    0.0800            0.1315            January 25, 2006
I-D                    0.0000            0.0000            July 25, 2023
I-XS                   N/A               N/A               N/A
II-A                   0.2713            0.2805            March 25, 2007
II-B                   0.1187            0.1227            January 25, 2012
II-C                   0.0000            0.0000            January 25, 2024
II-XS                  N/A               N/A               N/A
R-UT                   N/A               N/A               N/A


</TABLE>
                                                                              




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