ASSET SECURITIZATION CORP COM MOR PASS THR CER SER 1997 MD
8-K, 1997-04-30
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 and Exchange Act of 1934


Date of Report:  April 15, 1997
(Date of earliest event reported)


              Asset Securitization Corporation,
Commercial Mortgage Pass-Through Certificates, Series 1997-MDVII          
  (Exact name of registrant as specified in its charter)

      Delaware              33-49370-03            13-3672337
- ----------------------------------------------------------------
  (State or Other         (Commission        (I.R.S. Employer
  Jurisdiction of         File Number)     Identification No.)
   Incorporation)



Two World Financial Center, Building B, New York, New York 10281
- -------------------------------------------------------------
           Address of Principal Executive Office

Registrant's telephone number, including area code: (212) 667-9300


<PAGE>


Item 5. Other Events.

         This Current Report on Form 8-K relates to the Trust Fund 
formed, and the Commercial Mortgage Pass-Through Certificates Series 
1997-MDVII issued pursuant to a Pooling and Servicing Agreement, dated 
as of March 27, 1997 (the "Pooling and Servicing Agreement"), by and 
among Asset Securitization Corporation (the "Company"), as depositor, 
Pacific Mutual Life Insurance Company, as servicer, LaSalle National Bank, as 
trustee, and ABN AMRO Bank, N.V., as fiscal agent.  The Certificates 
have been registered pursuant to the Act under a Registration Statement 
on Form S-3 (No.33-99502) (the "Registration Statement").

                Capitalized terms used herein and not defined herein have 
the same meanings ascribed to such terms in the Pooling and Servicing 
Agreement.

                Pursuant to Section 3.22 of the Pooling and Servicing 
Agreement, Depositor is filing this Current Report containing the April 
15, 1997 monthly distribution report prepared by the Trustee pursuant to 
Section 4.02(a) thereof.
                
                The information reported and contained herein has been 
supplied to the Depositor by one or more of the Borrowers or other third 
parties without independent review or investigation by the Depositor.  
Pursuant to the Pooling and Servicing Agreement, the Depositor is not 
responsible for the accuracy or completeness of such information.



<PAGE>

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

                (c)     Exhibits


                   Item 601(a) of 
                   Regulation S-K
   Exhibit No.     Exhibit No.       Description

   5.1             99                Monthly distribution report pursuant to
                                     Section 4.2 of the Pooling and Servicing
                                     Agreement for the distribution on April 15,
                                     1997.

                                                                        
<PAGE>


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

                          ASSET SECURITIZATION CORPORATION


                          By:  /s/ Marlyn Marincas           
                               -----------------------------
                                   Marlyn Marincas
                                   Vice President

Date:  April 29, 1997



             

<PAGE>



                                  EXHIBIT INDEX



                 Item 601(a) of 
                 Regulation S-K
 Exhibit No.     Exhibit No.        Description

 5.1             99                 Monthly distribution report pursuant to
                                    Section 4.2 of the Pooling and Servicing
                                    Agreement for the distribution on April 15, 
                                    1997.




<PAGE>

                                                  EXHIBIT 1



ABN AMRO
LaSalle National Bank

Administrator:
  Juliana Man  (800) 246-5761
  135 S. LaSalle Street   Suite 1740
  Chicago, IL   60603

Pacific Mutual Life Insurance Company, as Servicer
Commercial Mortgage Pass-Through Certificates
Series 1997-MD VII

ABN AMRO Acct: 67-7723-60-3

Payment Date:               04/15/97
Prior Payment:    NA
Record Date:                04/10/97

WAC:        8.030608%
WAMM:            278


                                        Number Of Pages

Table Of Contents                                   1

REMIC Certificate Report                            3

Other Related Information                           4

Asset Backed Facts Sheets                           1

Total Pages Included  In This Package               9


Specially Serviced Loan Detail          Appendix A
Modified Loan Detail                    Appendix B
Realized Loss Detail                    Appendix C


Remic II

                 Original            Opening
Class            Face Value (1)      Balance
CUSIP            Per $1,000          Per $1,000

A-1A             115,435,756.00      115,435,756.00
045424EG9         1000.000000000      1000.000000000
A-1B             214,279,224.00      214,279,224.00
045424EH7         1000.000000000      1000.000000000
PS-1             499,568,151.79 N    499,568,152.07
045424EJ3         1000.000000000      1000.000000560
CS-1             115,435,756.00 N    115,435,756.00
045424EK0         1000.000000000      1000.000000000
A-2               42,463,292.00       42,463,292.00
045424EL8         1000.000000000      1000.000000000
A-3               39,965,452.00       39,965,452.00
045424EM6         1000.000000000      1000.000000000
A-4               37,467,611.00       37,467,611.00
045424EN4         1000.000000000      1000.000000000
A-5               27,476,248.00       27,476,248.00
045424EP9         1000.000000000      1000.000000000
A-6                9,991,363.00        9,991,363.00
045424EQ7         1000.000000000      1000.000000000
B-1               12,488,205.00       12,488,205.00
045424FB9, U04509 1000.000000000      1000.000000000
B-1H                   1,000.79            1,000.79
9ABSA339          1000.000000000      1000.000000000
R                          0.00                0.00
045424FC7         1000.000000000         0.000000000


                 499,568,151.79        499,568,151.79

Notes:  (1) N denotes notional balance not included in total

                 Principal      Principal      Negative
Class            Payment        Adj. or Loss   Amortization
CUSIP            Per $1,000     Per $1,000     Per $1,000

A-1A              562,673.64           0.00          0.00
045424EG9         4.874344480    0.000000000   0.000000000
A-1B                    0.00           0.00          0.00
045424EH7         0.000000000    0.000000000   0.000000000
PS-1                    0.00           0.00          0.00
045424EJ3         0.000000000    0.000000000   0.000000000
CS-1                    0.00           0.00          0.00
045424EK0         0.000000000    0.000000000   0.000000000
A-2                     0.00           0.00          0.00
045424EL8         0.000000000    0.000000000   0.000000000
A-3                     0.00           0.00          0.00
045424EM6         0.000000000    0.000000000   0.000000000
A-4                     0.00           0.00          0.00
045424EN4         0.000000000    0.000000000   0.000000000
A-5                     0.00           0.00          0.00
045424EP9         0.000000000    0.000000000   0.000000000
A-6                     0.00           0.00          0.00
045424EQ7         0.000000000    0.000000000   0.000000000
B-1                     0.00           0.00          0.00
045424FB9, U04509 0.000000000    0.000000000   0.000000000
B-1H                    0.00           0.00          0.00
9ABSA339          0.000000000    0.000000000   0.000000000
R                       0.00           0.00          0.00
045424FC7         0.000000000    0.000000000   0.000000000

                  562,673.64           0.00          0.00

            Closing    Interest        Interest     Pass-Through
Class       Balance    Payment         Adjustment   Rate (2)
CUSIP       Per $1,000 Per $1,000      Per $1,000   Next Rate (3)

A-1A        114,873,082.36  328,607.12        0.00  7.32000000%
045424EG9     995.125655520 2.846666678 0.000000000  Fixed
A-1B        214,279,224.00  617,481.30        0.00  7.41000000%
045424EH7    1000.000000000 2.881666680 0.000000000  Fixed
PS-1        499,005,478.15   64,355.18        0.00  0.33125560%
045424EJ3     998.873679921 0.128821623 0.000000000 0.33121108%
CS-1        114,873,082.36   29,431.34        0.00  0.65560795%
045424EK0     995.125655520 0.254958611 0.000000000 0.65556343%
A-2          42,463,292.00  123,613.61        0.00  7.48560795%
045424EL8    1000.000000000 2.911069872 0.000000000 7.48556343%
A-3          39,965,452.00  117,741.01        0.00  7.57560795%
045424EM6    1000.000000000 2.946069770 0.000000000 7.57556343%
A-4          37,467,611.00  113,296.34        0.00  7.77560795%
045424EN4    1000.000000000 3.023847451 0.000000000 7.77556343%
A-5          27,476,248.00   85,221.03        0.00  7.97560795%
045424EP9    1000.000000000 3.101625448 0.000000000 7.97556343%
A-6           9,991,363.00   30,989.46        0.00  7.97560795%
045424EQ7    1000.000000000 3.101624873 0.000000000 7.97556343%
B-1          12,488,205.00   38,733.73        0.00  7.97560795%
045424FB9,   1000.000000000 3.101625093 0.000000000 7.97556343%
B-1H              1,000.79        3.10        0.00  7.97560795%
9ABSA339     1000.000000000 3.097552933 0.000000000 7.97556343%
R                     0.00        0.00        0.00
045424FC7       0.000000000 0.000000000 0.000000000

            499,005,478.15  1,549,473.22        0.00
Total P&I Payment         2,112,146.86

(2)Interest Paid minus Interest Adjustment minus Deferred
Interest equals Accrual    (3) Estimated


Remic I

                 Original              Opening
Class       Face Value (1)        Balance
CUSIP       Per $1,000            Per $1,000

A-1A-L        115,435,756.00    115,435,756.00
None           1000.000000000    1000.000000000
A-1B-L        214,279,224.00    214,279,224.00
None           1000.000000000    1000.000000000
A-2-L          42,463,292.00     42,463,292.00
None           1000.000000000    1000.000000000
A-3-L          39,965,452.00     39,965,452.00
None           1000.000000000    1000.000000000
A-4-L          37,467,611.00     37,467,611.00
None           1000.000000000    1000.000000000
A-5-L          27,476,248.00     27,476,248.00
None           1000.000000000    1000.000000000
A-6-L           9,991,363.00      9,991,363.00
None           1000.000000000    1000.000000000
B-1-L          12,488,205.00     12,488,205.00
None           1000.000000000    1000.000000000
B-1H-L              1,000.79          1,000.79
None           1000.000000000    1000.000000000
LR                      0.00              0.00
9ABSA343       1000.000000000       0.000000000

               499,568,151.79    499,568,151.79

          Principal    Principal      Negative
Class     Payment      Adj. or Loss   Amortization
CUSIP     Per $1,000   Per $1,000     Per $1,000

A-1A-L    562,673.64          0.00          0.00
None      4.874344480   0.000000000   0.000000000
A-1B-L          0.00          0.00          0.00
None      0.000000000   0.000000000   0.000000000
A-2-L           0.00          0.00          0.00
None      0.000000000   0.000000000   0.000000000
A-3-L           0.00          0.00          0.00
None      0.000000000   0.000000000   0.000000000
A-4-L           0.00          0.00          0.00
None      0.000000000   0.000000000   0.000000000
A-5-L           0.00          0.00          0.00
None      0.000000000   0.000000000   0.000000000
A-6-L           0.00          0.00          0.00
None      0.000000000   0.000000000   0.000000000
B-1-L           0.00          0.00          0.00
None      0.000000000   0.000000000   0.000000000
B-1H-L          0.00          0.00          0.00
None      0.000000000   0.000000000   0.000000000
LR              0.00          0.00          0.00
9ABSA343  0.000000000   0.000000000   0.000000000

           562,673.64          0.00          0.00

Class      Closing          Interest       Interest         Pass-Through
CUSIP      Balance          Payment        Adjustment       Rate (2)
           Per $1,000       Per $1,000     Per $1,000       Next Rate 
(3)

A-1A-L    114,873,082.36      358,038.46          0.00   7.97560795%
None        995.125655520     3.101625288   0.000000000  7.97556343%
A-1B-L    214,279,224.00      664,613.87          0.00   7.97560795%
None       1000.000000000     3.101625335   0.000000000  7.97556343%
A-2-L      42,463,292.00      131,705.22          0.00   7.97560795%
None       1000.000000000     3.101625281   0.000000000  7.97556343%
A-3-L      39,965,452.00      123,957.86          0.00   7.97560795%
None       1000.000000000     3.101625374   0.000000000  7.97556343%
A-4-L      37,467,611.00      116,210.49          0.00   7.97560795%
None       1000.000000000     3.101625294   0.000000000  7.97556343%
A-5-L      27,476,248.00       85,221.03          0.00   7.97560795%
None       1000.000000000     3.101625448   0.000000000  7.97556343%
A-6-L       9,991,363.00       30,989.46          0.00   7.97560795%
None       1000.000000000     3.101624873   0.000000000  7.97556343%
B-1-L      12,488,205.00       38,733.73          0.00   7.97560795%
None       1000.000000000     3.101625093   0.000000000  7.97556343%
B-1H-L          1,000.79            3.10          0.00   7.97560795%
None       1000.000000000     3.097552933   0.000000000  7.97556343%
LR                  0.00            0.00          0.00
9ABSA343      0.000000000     0.000000000   0.000000000

          499,005,478.15    1,549,473.22          0.00
Total P&I Payment               0.00

(2)Interest Paid minus Interest Adjustment minus Deferred
Interest equals Accrual    (3) Estimated


Grantor Trust

           Original        Opening
Class      Face Value (1)  Balance
CUSIP      Per $1,000      Per $1,000

V-1                 0.00            0.00
9ABSA340   1000.000000000     0.000000000
V-2                 0.00            0.00
9ABSA341   1000.000000000     0.000000000

                    0.00            0.00


            Principal    Principal      Negative
Class       Payment      Adj. or Loss   Amortization
CUSIP       Per $1,000   Per $1,000     Per $1,000

V-1               0.00          0.00          0.00
9ABSA340    0.000000000   0.000000000   0.000000000
V-2               0.00          0.00          0.00
9ABSA341    0.000000000   0.000000000   0.000000000

                  0.00          0.00          0.00


           Closing      Interest      Interest    Pass-Through
Class      Balance      Payment       Adjustment  Rate (2)
CUSIP      Per $1,000   Per $1,000    Per $1,000  Next Rate (3)

V-1             0.00          0.00         0.00
9ABSA340  0.000000000   0.000000000  0.000000000
V-2             0.00          0.00         0.00
9ABSA341  0.000000000   0.000000000  0.000000000

                0.00          0.00         0.00
Total P&I Payment                     0.00

(2)Interest Paid minus Interest Adjustment minus Deferred
Interest equals Accrual    (3) Estimated


Other Related Information

         Accrued        Prepayment               Current
         Certificate    Interest     Prepayment  Interest
Class    Interest       Shortfall    Premiums    Shortfall

A-1A     328,607.12       0.00         0.00       0.00
A-1B     617,481.30       0.00         0.00       0.00
PS-1      64,355.18       0.00         0.00       0.00
CS-1      29,431.34       0.00         0.00       0.00
A-2      123,613.61       0.00         0.00       0.00
A-3      117,741.01       0.00         0.00       0.00
A-4      113,296.34       0.00         0.00       0.00
A-5       85,221.03       0.00         0.00       0.00
A-6       30,989.46       0.00         0.00       0.00
B-1       38,733.73       0.00         0.00       0.00
B-1H           3.10       0.00         0.00       0.00

Totals:  1,549,473.22      0.00        0.00         0.00

         Prior      Ending       Actual
         Unpaid     Unpaid       Distribution
Class    Interest   Interest     of Interest

A-1A         0.00        0.00     328,607.12
A-1B         0.00        0.00     617,481.30
PS-1         0.00        0.00      64,355.18
CS-1         0.00        0.00      29,431.34
A-2          0.00        0.00     123,613.61
A-3          0.00        0.00     117,741.01
A-4          0.00        0.00     113,296.34
A-5          0.00        0.00      85,221.03
A-6          0.00        0.00      30,989.46
B-1          0.00        0.00      38,733.73
B-1H         0.00        0.00           3.10

  Totals:    0.00        0.00   1,549,473.22

Advances
                               Prior Outstanding
                          Principal     Interest
                           0.00         0.00
 Made by Servicer:         0.00         0.00
 Made by Trustee:          0.00         0.00
 Made by Fiscal Agent:     0.00             0.00

                                Current Month
                          Principal     Interest
 Made by Servicer:          0.00         0.00
 Made by Trustee:           0.00         0.00
 Made by Fiscal Agent:      0.00         0.00

                                Recovered
                          Principal     Interest
 Made by Servicer:             0.00         0.00
 Made by Trustee:              0.00         0.00
 Made by Fiscal Agent:         0.00         0.00

                              Advances Outstanding
                       Principal     Interest
 Made by Servicer:          0.00         0.00
 Made by Trustee:           0.00         0.00
 Made by Fiscal Agent:      0.00         0.00

                                 Servicing Compensation
Compensation                  Servicer    Trustee     Servicer
Current Accrued Fees:         9,713.83     971.38         0.00
Addl. Servicing Compensation      0.00       0.00         0.00
Interest on Advances              0.00       0.00         0.00

Totals:                       9,713.83     971.38         0.00


REO Property Information
                                        Principal   Appraisal
 #      Collateral Id   Date of REO     Balance     Value
1.
2.   No REO Information to Report as of the Most Recent Collection 
Period
3.

REO Property Information
                     Other Revenues       Date of  Amount of
 #    Collateral Id       Collected Final Recovery   Proceeds
1.
2.
3.


Repurchased Loans
                         Outstanding  Repurchase
 #      Collateral Id        Balance       Price
1.                              0.00        0.00
2.                              0.00        0.00
3.                              0.00        0.00

Totals:                         0.00        0.00


Realized Principal Losses
                              Current   Cumulative
 Mortgage Pool                    0.00        0.00
 Certificates                     0.00        0.00

                                 

Totals:                           0.00        0.00


Fairfield Inns by Marriott

Ground Rent Reserve Account:                      53,666.66
Tax & Insurance  Reserve:                              0.00
Debt Service Reserve Account:                      2,662.78
Capital Expenditure and FF&E Reserve Account:  3,013,609.08
Subordinated Rental Obligations:                       0.00
Incentive Management Fees:                             0.00
ADA Compliance Reserve:                          222,656.00
Environmental Reserve:                           111,750.00
Deferred Maintenance Reserve:                  3,552,260.00
Earthquake Restoration Reserve Account:          300,000.00


101 Hudson Street

Tax & Insurance Account:                         971,715.17
Debt Service Reserve Account:                        600.00
Capital Expenditure Reserve Account:              75,316.00
Lease Rollover Reserve Account:                  110,000.00
ADA Compliance Reserve:                           99,000.00
Deferred Maintenance Reserve:                     62,500.00
Additional Amortization Reserve Account:               0.00
UDC Reserve Account:                                   0.00


M&H Retail

Basic Carrying Costs Sub-Account:                635,000.00
Debt Service Payment Sub-Account:                      0.00
Extraordinary Operating Expense Sub-Account:     303,522.84
Tenant Improvement Sub-Account:                  400,000.00
Operating Expense Sub-Account:                         0.00


Innkeepers

Tax and Insurance Escrow Fund:        252,700.65
Monthly Debt Service Payment:               0.00
Capital Reserve Fund:                       0.00
Additional Capital Reserve Fund:      700,000.00
Approved Operating Expenses:                0.00
Required Repair Account:                    0.00


Design Center of the Americas

Tax & Insurance  Reserve:             511,977.28
Debt Service Reserve:                       0.00
Alternative Tax & Insurance Fund:           0.00
Capital Reserve Fund:                       0.00
Special Escrow Fund:                        0.00
Alternative Capital Reserve Fund:     589,632.72
Casualty/Condemnation:                171,335.00


G&L Medical Office

Basic Carrying Costs:                 511,665.06
Security Deposit:                     411,215.06
Debt Service Reserve:                       0.00
Capital Reserve :                      47,682.78
Leasing Reserve:                      525,000.00
Cigna Replacement Lease Reserve:            0.00


Insurance Company of the West

Debt Service Payment:                     0.00


Balance of the Mortgage Loans at the Beginning of the Interest Accrual 
Period:

  499,568,152.07
Balance of the Mortgage Loans at the End of the Interest Accrual Period:
  499,005,478.15

Prepayment Interest Shortfalls:                     0.00
Servicer Prepayment Interest Shortfalls:            0.00

Prepayment Premiums:                                0.00
Default Interest:                                   0.00
Net Default Interest:                               0.00
Excess Interest:                                    0.00



Distribution     Delinq 1 Month
Date             #        Balance
4/15/97             0         0
                 0.00%    0.000%
 1/0/00             0         0
                 0.00%    0.000%
 1/0/00             0         0
                 0.00%    0.000%
 1/0/00             0         0
                 0.00%    0.000%
 1/0/00             0         0
                 0.00%    0.000%
 1/0/00             0         0
                 0.00%    0.000%
 1/0/00             0         0
                 0.00%    0.000%
 1/0/00             0         0
                 0.00%    0.000%
 1/0/00             0         0
                 0.00%    0.000%
 1/0/00             0         0
                 0.00%    0.000%
 1/0/00             0         0
                 0.00%    0.000%
 1/0/00             0         0
                 0.00%    0.000%
 1/0/00             0         0
                 0.00%    0.000%
 1/0/00             0         0
                 0.00%    0.000%
 1/0/00             0         0
                 0.00%    0.000%
 1/0/00             0         0
                 0.00%    0.000%

Distribution   Delinq 2 Months
Date           #         Balance
 4/15/97             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%

Distribution   Delinq 3+  Months
Date           #         Balance
 4/15/97             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%

Distribution  Foreclosure/Bankruptcy
Date          #           Balance
 4/15/97            0            0
                 0.00%       0.000%
  1/0/00            0            0
                 0.00%       0.000%
  1/0/00            0            0
                 0.00%       0.000%
  1/0/00            0            0
                 0.00%       0.000%
  1/0/00            0            0
                 0.00%       0.000%
  1/0/00            0            0
                 0.00%       0.000%
  1/0/00            0            0
                 0.00%       0.000%
  1/0/00            0            0
                 0.00%       0.000%
  1/0/00            0            0
                 0.00%       0.000%
  1/0/00            0            0
                 0.00%       0.000%
  1/0/00            0            0
                 0.00%       0.000%
  1/0/00            0            0
                 0.00%       0.000%
  1/0/00            0            0
                 0.00%       0.000%
  1/0/00            0            0
                 0.00%       0.000%
  1/0/00            0            0
                 0.00%       0.000%
  1/0/00            0            0
                 0.00%       0.000%

Distribution  REO
Date          #           Balance
4/15/97            0            0
                0.00%       0.000%
 1/0/00            0            0
                0.00%       0.000%
 1/0/00            0            0
                0.00%       0.000%
 1/0/00            0            0
                0.00%       0.000%
 1/0/00            0            0
                0.00%       0.000%
 1/0/00            0            0
                0.00%       0.000%
 1/0/00            0            0
                0.00%       0.000%
 1/0/00            0            0
                0.00%       0.000%
 1/0/00            0            0
                0.00%       0.000%
 1/0/00            0            0
                0.00%       0.000%
 1/0/00            0            0
                0.00%       0.000%
 1/0/00            0            0
                0.00%       0.000%
 1/0/00            0            0
                0.00%       0.000%
 1/0/00            0            0
                0.00%       0.000%
 1/0/00            0            0
                0.00%       0.000%
 1/0/00            0            0
                0.00%       0.000%

Distribution   Modifications
Date           #           Balance
 4/15/97             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%
  1/0/00             0          0
                  0.00%     0.000%

Distribution  Prepayments
Date          #         Balance
4/15/97            0          0
                0.00%     0.000%
 1/0/00            0          0
                0.00%     0.000%
 1/0/00            0          0
                0.00%     0.000%
 1/0/00            0          0
                0.00%     0.000%
 1/0/00            0          0
                0.00%     0.000%
 1/0/00            0          0
                0.00%     0.000%
 1/0/00            0          0
                0.00%     0.000%
 1/0/00            0          0
                0.00%     0.000%
 1/0/00            0          0
                0.00%     0.000%
 1/0/00            0          0
                0.00%     0.000%
 1/0/00            0          0
                0.00%     0.000%
 1/0/00            0          0
                0.00%     0.000%
 1/0/00            0          0
                0.00%     0.000%
 1/0/00            0          0
                0.00%     0.000%
 1/0/00            0          0
                0.00%     0.000%
 1/0/00            0          0
                0.00%     0.000%

Distribution   Curr Weighted Avg.
Date           Coupon    Remit
 4/15/97        8.0306%   7.9756%

  1/0/00        0.0000%   0.0000%

  1/0/00        0.0000%   0.0000%

  1/0/00        0.0000%   0.0000%

  1/0/00        0.0000%   0.0000%

  1/0/00        0.0000%   0.0000%

  1/0/00        0.0000%   0.0000%

  1/0/00        0.0000%   0.0000%

  1/0/00        0.0000%   0.0000%

  1/0/00        0.0000%   0.0000%

  1/0/00        0.0000%   0.0000%

  1/0/00        0.0000%   0.0000%

  1/0/00        0.0000%   0.0000%

  1/0/00        0.0000%   0.0000%

  1/0/00        0.0000%   0.0000%

  1/0/00        0.0000%   0.0000%


Specially Serviced Loan Detail
             Beginning
Disclosure   Scheduled  Interest   Maturity
Control #    Balance    Rate       Date









                             Specially
Disclosure     Property      Serviced
Control #      Type          Status Code (1)   Comments










(1)Legend :
   1)  Request for waiver of Prepayment Penalty
   2)   Payment default
   3)   Request for Loan Modification or Workout
   4)  Loan with Borrower Bankruptcy
   5)  Loan in Process of Foreclosure
   6)  Loan now REO Property
   7)  Loans Paid Off
   8)  Loans Returned to Master Servicer

Modified Loan Detail

Disclosure  Modification                                                      
Modification
Control #   Date                                                              
Description








Realized Loss Detail

Dist.    Disclosure    Appraisal
Date     Control #     Date
    0        0              0
    0        0              0
    0        0              0
    0        0              0
    0        0              0
    0        0              0
    0        0              0
    0        0              0
    0        0              0
    0        0              0
    0        0              0
    0        0              0
    0        0              0
    0        0              0
    0        0              0
    0        0              0
    0        0              0
    0        0              0
    0        0              0
    0        0              0
    0        0              0
    0        0              0
    0        0              0
    0        0              0
    0        0              0
    0        0              0
    0        0              0
    0        0              0
    0        0              0
    0        0              0
Current Total               0
Cumulative                  0


  *Aggregate liquidation expenses also include outstanding 
  P&I advances and unpaid servicing fees, unpaid trustee fees, etc..


Disclosure  Appraisal Scheduled  Gross
Control #   Value     Balance    Proceeds
    0           0          0         0
    0           0          0         0
    0           0          0         0
    0           0          0         0
    0           0          0         0
    0           0          0         0
    0           0          0         0
    0           0          0         0
    0           0          0         0
    0           0          0         0
    0           0          0         0
    0           0          0         0
    0           0          0         0
    0           0          0         0
    0           0          0         0
    0           0          0         0
    0           0          0         0
    0           0          0         0
    0           0          0         0
    0           0          0         0
    0           0          0         0
    0           0          0         0
    0           0          0         0
    0           0          0         0
    0           0          0         0
    0           0          0         0
    0           0          0         0
    0           0          0         0
    0           0          0         0
    0           0          0         0
    0           0          0         0
                0          0         0

             Gross Proceeds   Aggregate     Net
Disclosure   as a % of        Liquidation   Liquidation
Control #    Sched Principal  Expenses *    Proceeds
   0                              0
   0                              0
   0            0                 0            0
   0            0                 0            0
   0            0                 0            0
   0            0                 0            0
   0            0                 0            0
   0            0                 0            0
   0            0                 0            0
   0            0                 0            0
   0            0                 0            0
   0            0                 0            0
   0            0                 0            0
   0            0                 0            0
   0            0                 0            0
   0            0                 0            0
   0            0                 0            0
   0            0                 0            0
   0            0                 0            0
   0            0                 0            0
   0            0                 0            0
   0            0                 0            0
   0            0                 0            0
   0            0                 0            0
   0            0                 0            0
   0            0                 0            0
   0            0                 0            0
   0            0                 0            0
   0            0                 0            0
   0            0                 0            0
   0            0                 0            0
   0            0                 0            0

              Net Proceeds
Disclosure    as a % of        Realized
Control #     Sched. Balance   Loss
   0
   0
   0             0                 0
   0             0                 0
   0             0                 0
   0             0                 0
   0             0                 0
   0             0                 0
   0             0                 0
   0             0                 0
   0             0                 0
   0             0                 0
   0             0                 0
   0             0                 0
   0             0                 0
   0             0                 0
   0             0                 0
   0             0                 0
   0             0                 0
   0             0                 0
   0             0                 0
   0             0                 0
   0             0                 0
   0             0                 0
   0             0                 0
   0             0                 0
   0             0                 0
   0             0                 0
   0             0                 0
   0             0                 0
   0             0                 0
   0             0                 0








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